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Capital Improvement Program FY2011-2016 2011 – 2016 Ca pital Improvement Plan | 1 City of Tigard Finance & i n F ormation Service S Department | 13125 SW Hall Boulevard | t igard, or 97223 | www.tigard-or.gov Capital Improvement Plan ADOPTED JUNE 14, 2011 2011 – 2016 2011 – 2016 Ca pital Improvement Plan | 2 ABOUT THE COVER – BURNHAM STREET COMPLETION Burnham Street is one of the Tigard’s oldest streets. Before becoming the city’s first “green” street, it was in great need of an overhaul including rebuilding the sewer, water, utilities and pavement. The need to repair the street also provided the opportunity to add “green” features like storm water treatment areas upstream of Fanno Creek and installing LED street lights. The street now provides an entrance to downtown that is safe for vehicles, pedestrians and cyclists – reflecting the city’s values and aspirations. It reopened with a celebration on July 24, 2011. Funding for this project came from multiple sources including Gas Tax, Transportation Development Tax, Traffic Impact Fees, Underground Utility Fees, the Water Capital Improvement Program, and Urban Renewal. The project was completed for just over $4 million, half of the original estimate, due to an exceptional bidding climate. BURNHAM STREET – BEFORE 2011 – 2016 Ca pital Improvement Plan | 1 Fiscal Year 2011–2016 Capital Improvement Program Introduction The Capital Improvement Program (CIP) establishes Tigard’s annual budget for capital improvements to its public facility system. Public facilities addressed by the CIP are roads, parks, sanitary sewer, storm drainage, water quality management, domestic water, public buildings, and operations facilities. The CIP is also an important budget-planning tool that prioritizes and assigns costs to needed public facility capital projects ove r a fi ve-year period including each budget year. Tigard’s CIP management team updates the program annually. The management team consists of various representatives from all departments including Public Works, Community Development, and Finance and Information Services. The Process The development of the CIP includes coordination of city master plans, departments and comments from Tigard residents. The update process provides the public opportunities to identify needed community infrastructure investments. Maintenance expenditures are recurring capital expenditures. Therefore, they are not considered capital investments. The Capital Improvement Program includes only those projects that are fully funded. Projects are evaluated and ranked by the city staff, as well as city advisory boards. These advisory boards include the Tigard Transportation Advisory Committee (TTAC) for street related projects, and the Parks and Recreation Advisory Board (PRAB) for parks projects (see appendix). The CIP for FY 2011–16 consists of 47 projects that have an estimated total cost of approximately $185 million. Of this total amount, $27.6 million (15 percent) is being funded by either federal grants or bonds. Capital Improvement Plan Prepared by the CIP Project Team Toby LaFrance Finance & Information Services Director Dennis Koellermeier Public Works Director Ron Bunch Community Development Director Ted Kyle City Engineer Carissa Collins Senior Management Analyst Meghan Carlsrud Graphic Designer DEFINITION OF CAPITAL IMPROVEMENT A capital improvement project is any project that improves or adds value to the city’s infrastructure, costs $50,000 or more, and has a useful life or extends the useful life of infrastructure for five years or more. 2011 – 2016 Ca pital Improvement Plan | 2 General Facilities — Summary ............................................. 3 Permit Center/Police/City Hall Exterior Walls ..................................... 4 Campus Parking ........................................................................ 5 Parks System — Summary ..................................................... 6 East Butte Heritage Parks Development ......................................... 7 Fanno Creek House .................................................................. 8 Parks System Development Charge Update ..................................... 9 Tree Canopy Replacement Program .............................................. 10 Entryway Monuments ............................................................... 11 Fanno Creek Trail – Main Street to Grant Street ................................. 12 Park Land Acquisition ............................................................... 13 Park Land Development ............................................................. 14 Downtown Land Acquisition ........................................................ 15 Downtown Park Improvements ..................................................... 16 Sanitary Sewer — Summary ................................................ 17 Citywide Sanitary Sewer Extension Program .................................... 18 Sanitary Sewer Major Maintenance Program ................................... 18 Fanno Creek Slop Stabilization (Arthur Court) ................................... 20 Derry Dell Creek & Sewer Interceptor Relocation ............................... 21 Main Street Sewer/Fanno Creek Crossing Elimination .......................... 22 128 th Avenue/Shore Drive Sewer Replacement ................................. 23 East Tigard Sewer Replacement ................................................... 24 Benchview Creek Sewer Stabilization ............................................. 25 Dartmouth Street Sewer Repair .................................................... 26 Sewer Rehabilitation Program ...................................................... 27 Community Tree Planting ............................................................ 28 Summer Creek Tree Planting – 116 th Avenue to 113 th Place ................... 29 Summer Creek Tree Planting – 121 th Avenue to Mary Woodard Elementary ... 30 Capital Improvement Plan | Table of Contents Storm System — Summary .................................................. 31 Storm Drainage Major Maintenance .............................................. 32 Culvert Improvements – Walnut Street (Derry Dell/Fanno Creek) ............... 33 Copper Creek Bank Stabilization ................................................. 34 Green fi eld Storm Drain Replacement ............................................ 35 103 rd Avenue & McDonald Street Storm System Improvement .............. 36 Storm Facility Replacement – Green fi eld Drive near Pine View .................. 37 Street System — Summary ................................................... 38 Pavement Management Program ................................................. 39 Citywide Sidewalk & Pedestrian Improvements ................................. 40 Paci fi c Highway/Gaarde Street/McDonald Street Improvements ........... 41 Crosswalk Beacon Upgrade ........................................................ 42 72 nd Avenue/Dartmouth Street Intersection Improvement ................... 43 Utility Undergrounding ............................................................... 44 Main Street/Green Street Retro fi t ................................................. 45 Water System — Summary ................................................... 46 Water Meter Replacement Program .............................................. 47 Water Main Line Oversizing ........................................................ 48 Aquifer Storage & Recovery Well #3 ............................................. 49 550’ Zone Improvements (10 MG Transfer Pump Station Upgrade) ............ 50 Lake Oswego · Tigar d Water Partnership ........................................ 51 Sherwood Partnership ............................................................... 52 Water Line Replacement Program ................................................. 53 New Pump Station Reservoir #2 ................................................... 54 Fire Hydrant Replacement Program ............................................... 55 Appendix — Summary .......................................................... 56 Glossary .......................................................................... 57 – 59 Cap ital Improvement Program Process Chart .................................... 60 Unfunded Projects ............................................................. 61 – 63 5-ye ar Summary Report by Fund .................................................. 64 All Ranked Projects ............................................................ 65 – 70 2011 – 2016 Ca pital Improvement Plan | 3 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Totals 4 91013 Permit Center/Police/City Hall Exterior Walls 0 0 $176,898 $668,881 $10,000 $527,464 $1,383,243 5 91016 Campus Parking 0 $310,800 $110,700 0 0 0 $421,500 Total Funded 0 $310,800 $287,598 $668,881 $10,000 $527,464 $1,804,743 General Facilities Fiscal Year 2011–2016 | Capital Improvement Plan 2011 – 2016 Ca pital Improvement Plan | 4 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 0 $106,500 0 0 0 $106,500 Construction 0 0 0 0 $59,565 $649,714 0 $527,464 $1,236,743 TOTAL 0 0 0 0 $166,065 $649,714 0 $527,464 $1,343,243 INTERNAL EXPENSES Project Management 0 0 0 0 $10,000$10,000$10,000 0 $30,000 Construction Management 0 0 0 0 $833 $9,167 0 0 $10,000 TOTAL 0 0 0 0 $10,833 $19,167 $10,000 0 $40,000 TOTAL PROJECT EXPENSE 0 0 0 0 $176,898 $668,881 $10,000 $527,464 $1,383,243 REVENUE FUNDING SOURCE General Fund 0 0 0 0 $176,898$668,881 $10,000 $527,464 $1,383,243 TOTAL 0 0 0 0 $176,898 $668,881 $10,000 $527,464 $1,383,243 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Permit Center/Police/City Hall Exterior Walls This project requires the removal, repair and painting of the Exterior Insulation Finishing System (EIFS) stucco at the Permit Center, City Hall and Police Department. After reviewing test data, it is apparent that these buildings have numerous water in fi ltration points resulting in framing and drywall damage. Improvements will begin with the Permit Center and will be completed in FY 2015. City Hall improvements will be done in FY 2016 with improvements being completed for the Police Department in FY 2017 at a cost of $412,081. 91013 Permit Center/Police/City Hall Exterior Walls Location 13125 SW Hall Blvd. Funding Status Fully Funded Project Manager(s) Nick Nissen Public Works 2011 – 2016 Ca pital Improvement Plan | 5 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 0 $300,000 0 0 0 0 $300,000 Design and Engineering 0 0 0 $10,000 0 0 0 0 $10,000 Construction 0 0 0 0 $100,500 0 0 0 $100,500 TOTAL 0 0 0 $310,000$100,500 0 0 0 $410,500 INTERNAL EXPENSES Project Management 0 0 0 $800 $200 0 0 0 $1,000 Construction Management 0 0 0 0 $10,000 0 0 0 $10,000 TOTAL 0 0 0 $800$10,200 0 0 0 $11,000 TOTAL PROJECT EXPENSE 0 0 0 $310,800 $110,700 0 0 0 $421,500 REVENUE FUNDING SOURCE General Fund 0 0 0 $310,800 $110,700 0 0 0 $421,500 TOTAL 0 0 0 $310,800 $110,700 0 0 0 $421,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Campus Parking This project will provide off-street parking for city facilities. Campus Parking Location To Be Determined Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 91016 2011 – 2016 Ca pital Improvement Plan | 6 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Projected Totals 7 92003 East Butte Heritage Parks Development 0 $146,250 $213,250 0 0 0 $359,500 8 92006 Fanno Creek House 0 $75,000 0 0 0 0 $75,000 9 92012 Parks System Development Charge Update 0 $16,000 0 0 0 0 $16,000 10 92017 Tree Canopy Replacement Program $204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 11 92018 Entryway Monuments 0 $67,389 $60,000$60,000$60,000 0 $247,389 12 92024 Fanno Creek Trail – Main Street to Grant Street $115,000$100,000 0 0 0 0 $215,000 13 92026 Park Land Acquisition $9,094,000 $4,025,000 0 0 0 0 $13,119,000 14 92027 Park Land Development 0 $260,000$3,400,000$400,000 0 0 $4,060,000 15 92028 Downtown Land Acquisition 0 $1,360,000 0 0 0 0 $1,360,000 16 92029 Downtown Park Improvements 0 $190,000$250,000 0 0 0 $440,000 Total Funded $9,413,500 $6,389,639 $4,073,250 $610,000$210,000$150,000 $20,846,389 Parks System Fiscal Year 2011–2016 | Capital Improvement Plan VOTERS APPROVE $17 MILLION PARKS BOND Tigard voters approved a $17 million parks bond in November 2010. Sites that have already been purchased are the Sunrise property, Summer Creek and Potso Dog Park. Additional sites will be suggested by the Parks and Recreation Advisory Board (PRAB). PRAB advises and advocates for park and recreation opportunities in Tigard. 2011 – 2016 Ca pital Improvement Plan | 7 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering $16,116 0 0 $120,250 0 0 0 0 $120,250 Construction 0 0 0 0 $180,250 0 0 0 $180,250 TOTAL $16,116 0 0 $120,250 $180,250 0 0 0 $300,500 INTERNAL EXPENSES Project Management 0 0 0 $26,000$13,000 0 0 0 $39,000 Construction Management 0 0 0 0 $20,000 0 0 0 $20,000 TOTAL 0 0 0 $26,000$33,000 0 0 0 $59,000 TOTAL PROJECT EXPENSE $16,116 0 0 $146,250 $213,250 0 0 0 $359,500 REVENUE FUNDING SOURCE General Fund 0 0 0 $87,750 $213,250 0 0 0 $215,700 Parks SDC Fund $16,116 0 0 $58,500 $85,300 0 0 0 $143,800 TOTAL $16,116 0 0 $146,250 $213,250 0 0 0 $359,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 East Butte Heritage Park Development The city has purchased property to develop a neighborhood park. Park development will include a playground structure, picnic shelter, basketball court, portable restroom, picnic tables, benches, garbage cans, and soft and hard surface trails. This project will be presented to the Parks and Recreation Advisory Board (PRAB) for consideration of funding by parks bond proceeds. The general fund will be utilized if the board chooses not to use parks bond proceeds as a funding option. 92003 East Butte Heritage Park Development Location 103 rd Ave. & Canterbury Lane Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 8 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction $21,540 $135,000 0 $75,000 0 0 0 0 $75,000 TOTAL $21,540 $135,000 0 $75,000 0 0 0 0 $75,000 INTERNAL EXPENSES Project Management 0 $9,600 0 0 0 0 0 0 0 TOTAL 0 $9,600 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE $24,540 $144,600 0 $75,000 0 0 0 0 $75,000 REVENUE FUNDING SOURCE General Fund 0 $144,600 0 $75,000 0 0 0 0 $75,000 TOTAL 0 $144,600 0 $75,000 0 0 0 0 $75,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Fanno Creek House The city’s Fanno Creek House will begin its second phase of improvement. Phase 1 consisted of remodeling the house in FY 2010–11. Phase 2 includes landscaping, parking, and riparian improvements. This project will be presented to the Parks and Recreation Advisory Board (PRAB) for consideration of funding by parks bond proceeds. The general fund will be utilized if the board chooses not to use parks bond proceeds as a funding option. Grant funding will also be sought in order to complete the remaining work on this project. Fanno Creek House Location 13335 SW Hall Blvd. Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 92006 2011 – 2016 Ca pital Improvement Plan | 9 Location N/A Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering $5,155 $16,000 0 $16,000 0 0 0 0 $16,000 TOTAL $5,155 $16,000 0 $16,000 0 0 0 0 $16,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE $5,155 $16,000 0 $16,000 0 0 0 0 $16,000 REVENUE FUNDING SOURCE Parks SDC Fund $5,155 $16,000 0 $16,000 0 0 0 0 $16,000 TOTAL $5,155 $16,000 0 $16,000 0 0 0 0 $16,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Parks System Development Charge Update The city will complete the update of its Parks System Development Charge (SDC) methodology in FY 2012. A consultant will conduct the update which will establish new rates and determine the methodology for applying SDC’s. 92012 Parks System Development Charge Update Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 10 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction $11,143 $204,500$204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 TOTAL $11,143 $204,500$204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE $11,143 $204,500$204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 REVENUE FUNDING SOURCE Urban Forestry Fund $11,143 $204,500$204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 TOTAL $11,143 $204,500$204,500 $150,000$150,000$150,000$150,000$150,000 $954,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Tree Canopy Replacement Program The City of Tigard collects funds from developers who remove trees and are unable to meet replacement requirements. This program utilizes the urban forestry fund for planting trees, thereby replacing lost tree canopy. Annually, the city will deliver and plant free street trees in the fall/winter for eligible Tigard residents requesting trees. After the free street tree program is completed in the spring, the city will then pursue a large scale planting opportunity in stream corridors, on school grounds, along highways, or where canopy replacement is needed. Funds will also be used to maintain prior planting during an establishment period. Tree Canopy Replacement Program Location Various Funding Status Fully Funded Project Manager(s) Todd Prager Community Development 92017 2011 – 2016 Ca pital Improvement Plan | 11 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering $100 0 0 $7,389 0 0 0 0 $7,389 Construction 0 0 0 $52,500$52,500$52,500$52,500 0 $210,000 TOTAL $100 0 0 $59,889 $52,500$52,500$52,500 0 $217,389 INTERNAL EXPENSES Project Management 0 0 0 $2,500$2,500$2,500$2,500 0 $10,000 Construction Management 0 0 0 $5,000$5,000$5,000$5,000 0 $20,000 TOTAL 0 0 0 $7,500$7,500$7,500$7,500 0 $30,000 TOTAL PROJECT EXPENSE $100 0 0 $67,389 $60,000$60,000$60,000 0 $247,389 REVENUE FUNDING SOURCE General Fund 100 0 0 $67,389 $60,000$60,000$60,000 0 $247,389 TOTAL $100 0 0 $67,389 $60,000$60,000$60,000 0 $247,389 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Entryway Monuments The city will build monument signs for Tigard entryway portals. 92018 Entryway Monuments Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 12 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 $115,000 0 0 0 0 0 $115,000 Design and Engineering 0 $10,000 0 $10,000 0 0 0 0 $10,000 Construction 0 $70,000 0 $70,000 0 0 0 0 $70,000 TOTAL 0 $80,000$115,000$80,000 0 0 0 0 $195,000 INTERNAL EXPENSES Project Management 0 $10,000 0 $10,000 0 0 0 0 $10,000 Construction Management 0 $10,000 0 $10,000 0 0 0 0 $10,000 TOTAL 0 $20,000 0 $20,000 0 0 0 0 $20,000 TOTAL PROJECT EXPENSE 0 $100,000$115,000$100,000 0 0 0 0 $215,000 REVENUE FUNDING SOURCE General Fund 0 $75,000 $86,250 $75,000 0 0 0 0 $161,250 Parks SDC Fund 0 $25,000 $28,750 $25,000 0 0 0 0 $53,750 TOTAL 0 $100,000$115,000$100,000 0 0 0 0 $215,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Fanno Creek Trail – Main Street to Grant Street This project includes the installation of a trail from Main Street to Grant Street. This trail is a key part of the Fanno Creek Regional Trail System from Portland to Tualatin. The funding provided is for land acquisition, conceptual design and permitting as needed. Construction is expected to begin in FY 2011–12. Fanno Creek Trail – Main Street to Grant Street Location To Be Determined Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 92024 2011 – 2016 Ca pital Improvement Plan | 13 Location Summer Creek Park 1, Summer Creek Park 2, Sunrise Park, Tigard Street Trail, Potso Park Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 $9,094,000 $4,025,000 0 0 0 0 $13,119,000 TOTAL 0 0 $9,094,000$4,025,000 0 0 0 0 $13,119,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 $9,094,000$4,025,000 0 0 0 0 $13,119,000 REVENUE FUNDING SOURCE Parks Bond Fund 0 0 $9,094,000 $3,025,000 0 0 0 0 $12,119,000 Parks SDC Fund 0 0 0 $1,000,000 0 0 0 0 $1,000,000 TOTAL 0 0 $9,094,000$4,025,000 0 0 0 0 $13,119,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Park Land Acquisition Potential land acquisitions have been identi fi ed as a result of the $17 million parks bond to be completed in FY 2011. The Parks and Recreation Advisory Board is currently working to identify potential site acquisitions for FY 2012. 92026 Park Land Acquisition Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 14 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $260,000 0 0 0 0 $260,000 Construction 0 0 0 0 $3,400,000$400,000 0 0 $3,800,000 TOTAL 0 0 0 $260,000$3,400,000$400,000 0 0 $4,060,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $260,000$3,400,000$400,000 0 0 $4,060,000 REVENUE FUNDING SOURCE Parks Bond Fund 0 0 0 $60,000$3,000,000 0 0 0 $3,060,000 Parks SDC Fund 0 0 0 $200,000$400,000$400,000 0 0 $1,000,000 TOTAL 0 0 0 $260,000$3,400,000$400,000 0 0 $4,060,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Park Land Development This project consists of the development of land that has been purchased via the $17 million Park Bond. Locations for future development have yet to be determined. Park Land Development Location To Be Determined Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 92027 2011 – 2016 Ca pital Improvement Plan | 15 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 0 $1,360,000 0 0 0 0 $1,360,000 TOTAL 0 0 0 $1,360,000 0 0 0 0 $1,360,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $1,360,000 0 0 0 0 $1,360,000 REVENUE FUNDING SOURCE Parks Bond Fund 0 0 0 $1,360,000 0 0 0 0 $1,360,000 TOTAL 0 0 0 $1,360,000 0 0 0 0 $1,360,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Downtown Land Acquisition This project includes costs associated with potential sites the city will purchase within the downtown area. 92028 Downtown Land Acquisition Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 16 Downtown Park Improvements This project will earmark funding for development of potential sites within the downtown area. Downtown Park Improvements Location To Be Determined Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 92029 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $40,000 0 0 0 0 $40,000 Construction 0 0 0 $150,000$250,000 0 0 0 $400,000 TOTAL 0 0 0 $190,000$250,000 0 0 0 $440,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $190,000$250,000 0 0 0 $440,000 REVENUE FUNDING SOURCE Parks Bond Fund 0 0 0 $190,000$150,000 0 0 0 $340,000 Parks SDC Fund 0 0 0 0 $100,000 0 0 0 $100,000 TOTAL 0 0 0 $190,000$250,000 0 0 0 $440,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 2011 – 2016 Ca pital Improvement Plan | 17 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Projected Totals 18 93002 Citywide Sanitary Sewer Extension Program $574,784 $546,500 $412,000$110,000 0 0 $1,643,284 19 93003 Sanitary Sewer Major Maintenance Program 0 $100,000$100,000$100,000$100,000$100,000 $500,000 20 93009 Fanno Creek Slope Stabilization (Arthur Court)$42,405 $21,859 $360,000 0 0 0 $424,264 21 93010 Derry Dell Creek & Sewer Interceptor Relocation 0 $1,105,000 0 0 0 0 $1,105,000 2293011 Main Street Sewer/Fanno Creek Crossing Elimination0 $71,000 $115,000 0 0 0 $186,000 23 93012 128 th Avenue/Shore Drive Sewer Replacement 0 $68,515 $638,992 $57,993 0 0 $765,500 24 93013 East Tigard Sewer Replacement 0 $27,500 $92,667 $245,833 0 0 $366,000 25 93014 Benchview Creek Sewer Stabilization 0 0 $536,333 $1,214,167 0 0 $1,750,500 26 93015 Dartmouth Street Sewer Repair 0 $290,000 0 0 0 0 $290,000 27 93016 Sewer Rehabilitation Program 0 $100,000$250,000 $1,716,666$1,716,666$1,516,666 $5,299,998 28 94013 Community Tree Planting 0 0 0 $35,000$35,000 0 $70,000 29 94019 Summer Creek Tree Planting – 116 th Avenue to 113 th Place 0 $44,000 0 0 0 0 $44,000 30 94020 Summer Creek Tree Planting – 121 st Avenue to Mary Woodward Elementary 0 0 $44,000 0 0 0 $44,000 Total Funded $617,189 $2,374,374 $2,548,992 $3,479,659 $1,851,666 $1,616,666 $12,488,546 Sanitary Sewer Fiscal Year 2011–2016 | Capital Improvement Plan 2011 – 2016 Ca pital Improvement Plan | 18 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 $20,000 $17,574 $30,000$20,000 0 0 0 $67,574 Construction $312,297 $632,000 $478,210 $420,500 $352,000$100,000 0 0 $1,350,710 Land/Right of Way Acquisition 0 0 0 $40,000 0 0 0 0 $40,000 TOTAL $312,297 $652,000 $495,784 $490,500 $372,000$100,000 0 0 $1,458,284 INTERNAL EXPENSES Project Management 0 $16,167 $39,000$16,000$15,000$5,000 0 0 $75,000 Construction Management 0 0 $40,00 $40,000$25,000$5,000 0 0 $110,000 TOTAL 0 $16,167 $79,000$56,000$40,000$10,000 0 0 $185,000 TOTAL PROJECT EXPENSE $312,297 $668,167 $574,784 $546,500 $412,000$110,000 0 0 $1,643,284 REVENUE FUNDING SOURCE Sanitary Sewer Fund $312,297 $668,167 $574,784 $546,500 $412,000$110,000 0 0 $1,643,284 TOTAL $312,297 $668,167 $574,784 $546,500 $412,000$110,000 0 0 $1,643,284 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Citywide Sanitary Sewer Extension Program The Sanitary Sewer Extension Program began in FY 2001–02 in order to extend sewers to all developed but unserved residential areas citywide. The city utilizes the formation of reimbursement districts to construct the sewers. The Commercial Area Sewer Extension Program is also funded from the Sanitary Sewer Fund and offers commercial entities the opportunity to participate in reimbursement districts for extension of sewer service. Sewer extensions are expected to be conducted at 100th Avenue, View Terrace and Varns Street. This program is expected to be completed by FY 2014–15. 93002 Citywide Sanitary Sewer Extension Program Funding Status Fully Funded Project Manager(s) Steve Martin Public Works 2011 – 2016 Ca pital Improvement Plan | 19 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction $1,154 $50,000 0 $90,000$90,000$90,000$90,000$90,000 $450,000 TOTAL $1,154 $50,000 0 $90,000$90,000$90,000$90,000$90,000$450,000 INTERNAL EXPENSES Project Management 0 0 0 $10,000$10,000$10,000$10,000$10,000 $50,000 TOTAL 0 0 0 $10,000$10,000$10,000$10,000$10,000$50,000 TOTAL PROJECT EXPENSE $1,154 $50,000 0 $100,000$100,000$100,000$100,000$100,000$500,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund $1,154 $50,000 0 $100,000$100,000$100,000$100,000$100,000 $500,000 TOTAL $1,154 $50,000 0 $100,000$100,000$100,000$100,000$100,000$500,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Sanitary Sewer Major Maintenance Program This program is used for urgent projects to renew, repair or replace sections of the sewer system that have failed or are near failure. Normal operations and maintenance includes work on sewers that keep the system functioning but do not result in renewing the pipe or other assets. These projects go beyond normal operations and maintenance as they result in a new pipeline with a renewed service life. Sanitary Sewer Major Maintenance Program Location Citywide Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 93003 2011 – 2016 Ca pital Improvement Plan | 20 Location Fanno Creek near Arthur Court Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 $32,197 0 0 0 0 0 $32,197 Construction 0 $51,000 0 $14,567 $350,000 0 0 0 $364,547 TOTAL 0 $51,000 $32,197 $14,567 $350,000 0 0 0 $396,764 INTERNAL EXPENSES Project Management 0 $10,500$10,208 $7,292 0 0 0 0 $17,500 Construction Management 0 0 0 0 $10,000 0 0 0 $10,000 TOTAL 0 $10,500$10,208 $7,292 $10,000 0 0 0 $27,500 TOTAL PROJECT EXPENSE 0 $61,500 $42,405 $21,859 $360,000 0 0 0 $424,264 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 $61,500 $42,405 $21,859 $360,000 0 0 0 $424,264 TOTAL 0 $61,500 $42,405 $21,859 $360,000 0 0 0 $424,264 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Fanno Creek Slope Stabilization – Arthur Court The Fanno Creek bank near Arthur Court has been eroded since the winter of 2009 due to high water levels. The erosion has damaged the outfall of a storm line and is threatening a sewer main near the creek bank. A portion of the Fanno Creek trail that runs along the top of the bank may also be undermined if the erosion is not addressed properly. This project provides funding to perform emergency repair work including design and stabilization of approximately 250 feet of bank to protect the existing sanitary sewer main. 93009 Fanno Creek Slope Stabilization – Arthur Court Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 21 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 0 $1,100,000 0 0 0 0 $1,100,000 TOTAL 0 0 0 $1,100,000 0 0 0 0 $1,100,000 INTERNAL EXPENSES Project Management 0 0 0 $5,000 0 0 0 0 $5,000 TOTAL 0 0 0 $5,000 0 0 0 0 $5,000 TOTAL PROJECT EXPENSE 0 0 0 $1,105,000 0 0 0 0 $1,105,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $1,105,000 0 0 0 0 $1,105,000 TOTAL 0 0 0 $1,105,000 0 0 0 0 $1,105,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Derry Dell Creek & Sewer Interceptor Relocation Replace existing sewers along a new route and reroute Derry Dell Creek in order to protect from future erosion. Derry Dell Creek & Sewer Interceptor Relocation Location Derry Dell Creek Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 93010 2011 – 2016 Ca pital Improvement Plan | 22 Location Fanno Creek at Main Street Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $14,333 0 0 0 0 $14,333 Construction 0 0 0 0 $100,000 0 0 0 $100,000 Land/Right of Way Acquisition 0 0 0 $50,000 0 0 0 0 $50,000 TOTAL 0 0 0 $64,333 $100,000 0 0 0 $164,333 INTERNAL EXPENSES Project Management 0 0 0 $6,667 $5,000 0 0 0 $11,667 Construction Management 0 0 0 0 $10,000 0 0 0 $10,000 TOTAL 0 0 0 $6,667 $15,000 0 0 0 $21,667 TOTAL PROJECT EXPENSE 0 0 0 $71,000$115,000 0 0 0 $186,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $71,000 $115,000 0 0 0 $186,000 TOTAL 0 0 0 $71,000$115,000 0 0 0 $186,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Main Street Sewer/Fanno Creek Crossing Elimination The eight-inch (diameter) sewer line that runs over Fanno Creek under the Main Street bridge is vulnerable to being knocked off its piers i n a fl ood. The pip e and its supporting piers are located in th e fl oodway and can be hit by logs. A release of raw sewage into the creek would compromise public health, violate both federal Clean Water Act and state water pollution laws. The project would reroute the sewer so that the crossing is eliminated. This would eliminate the risk of dumping raw sewage into the creek. 93011 Main Street Sewer/Fanno Creek Crossing Elimination Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 23 Location 128th Avenue/Shore Drive Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $60,000 0 0 0 0 $60,000 Construction 0 0 0 0 $582,250 $52,917 0 0 $635,167 TOTAL 0 0 0 $60,000 $582,250 $52,917 0 0 $695,167 INTERNAL EXPENSES Project Management 0 0 0 $8,515 $10,909 $909 0 0 $20,333 Construction Management 0 0 0 0 $45,833 $4,167 0 0 $50,000 TOTAL 0 0 0 $8,515 $56,742 $5,076 0 0 $70,333 TOTAL PROJECT EXPENSE 0 0 0 $68,515 $638,992 $57,993 0 0 $765,500 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $68,515 $638,992 $57,993 0 0 $765,500 TOTAL 0 0 0 $68,515 $638,992 $57,993 0 0 $765,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 128 th Avenue/Shore Drive Sewer Replacement This project increases the side of the sewer that runs along 128th Avenue and Shore Drive through Summerlake Park. Additional pipe capacity is needed to prevent over fl ows into Summer Lake during hig h fl ow events. 128 th Avenue/Shore Drive Sewer Replacement Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 93012 2011 – 2016 Ca pital Improvement Plan | 24 Location Hunziker Street to the Railroad Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $18,333 $11,667 0 0 0 $30,000 Construction 0 0 0 0 $64,333 $221,667 0 0 $286,000 TOTAL 0 0 0 $18,333 $76,000 $221,667 0 0 $316,000 INTERNAL EXPENSES Project Management 0 0 0 $9,167 $10,000 $833 0 0 $20,000 Construction Management 0 0 0 0 $6,667 $23,333 0 0 $30,000 TOTAL 0 0 0 $9,167 $16,667 $24,166 0 0 $50,000 TOTAL PROJECT EXPENSE 0 0 0 $27,500 $92,667$245,833 0 0 $366,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $27,500 $92,667 $245,833 0 0 $366,000 TOTAL 0 0 0 $27,500 $92,667$245,833 0 0 $366,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 East Tigard Sewer Replacement This project increases the side of the sewer that runs from Hunziker Street to the railroad. Additional pipe capacity is needed to prevent over fl ows during high fl ow events. 93013 East Tigard Sewer Replacement Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 25 Location Benchview Road Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 0 $200,000 0 0 0 $200,000 Construction 0 0 0 0 $218,167 $1,083,333 0 0 $1,301,500 Land/Right of Way Acquisition 0 0 0 0 $50,000 0 0 0 $50,000 TOTAL 0 0 0 0 $468,167 1,083,333 0 0 $1,551,500 INTERNAL EXPENSES Project Management 0 0 0 0 $46,666 $23,334 0 0 $70,000 Construction Management 0 0 0 0 $21,500 $107,500 0 0 $129,000 TOTAL 0 0 0 0 $68,166 $130,834 0 0 $199,000 TOTAL PROJECT EXPENSE 0 0 0 0 $536,333 $1,214,167 0 0 $1,750,500 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 0 $185,500 $365,000 0 0 $550,500 Water Quality/Quantity Fund 0 0 0 0 $350,833 $849,167 0 0 $1,200,000 TOTAL 0 0 0 0 $536,333 $1,214,167 0 0 $1,750,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Benchview Creek Sewer Stabilization Benchview Creek is an unnamed creek that runs parallel to Benchview Drive. This creek is cutting a deeper channel each year. The channel i s fi ve feet wide and over 15 feet deep at certain places. Several backyards have slid into the creek. This project will reduce the pea k fl ow in the creek which will reduce the erosion of the stream bottom. This combined sewer and storm project will cover the area from the creek’s headwaters to its crossing with Walnut Street. It also includes building a detention facility to moderate peak fl ow before this water is released to the creek near Jack Park. Benchview Creek Sewer Stabilization Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 93014 2011 – 2016 Ca pital Improvement Plan | 26 Location Dartmouth Street Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $40,000 0 0 0 0 $40,000 Construction 0 0 0 $200,00 0 0 0 0 $200,00 TOTAL 0 0 0 $240,000 0 0 0 0 $240,000 INTERNAL EXPENSES Project Management 0 0 0 $20,000 0 0 0 0 $20,000 Construction Management 0 0 0 $30,000 0 0 0 0 $30,000 TOTAL 0 0 0 $50,000 0 0 0 0 $50,000 TOTAL PROJECT EXPENSE 0 0 0 $290,000 0 0 0 0 $290,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $290,000 0 0 0 0 $290,000 TOTAL 0 0 0 $290,000 0 0 0 0 $290,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Dartmouth Street Sewer Repair The 43-year-old sewer line that crosses Dartmouth Street near Costco is broken and requires repair. The break is located under concrete pavement and cannot be easily excavated and repaired without affecting traf fi c for several weeks. This project may require alternative trenchless technology so that traf fi c impacts can be minimized. 93015 Dartmouth Street Sewer Repair Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 27 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $50,000$200,000$200,000$200,000 0 $650,000 Construction 0 0 0 0 0 $1,333,333$1,333,333$1,333,333 $3,999,999 TOTAL 0 0 0 $50,000$200,000 $1,533,333$1,533,333$1,333,333 $4,649,999 INTERNAL EXPENSES Project Management 0 0 0 $50,000$50,000$50,000$50,000$50,000 $250,000 Construction Management 0 0 0 0 0 $133,333$133,333$133,333 $399,999 TOTAL 0 0 0 $50,000$50,000 $183,333$183,333$183,333 $649,999 TOTAL PROJECT EXPENSE 0 0 0 $100,000$250,000 $1,716,666$1,716,666$1,516,666 $5,299,998 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 $100,000$250,000 $1,716,666$1,716,666$1,516,666 $5,299,998 TOTAL 0 0 0 $100,000$250,000 $1,716,666$1,716,666$1,516,666 $5,299,998 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Sewer Rehabilitation Program The Sanitary Sewer Master Plan identi fi ed areas of the sewer system where water is leaking into the system that comes through old leaking pipes and manholes. This program starts the process of replacing the older portions of the system that experience excessive in fi ltration and in fl ow (rainfall runoff that is directed into the sanitary sewer). The early years of this long term pipe renewal program will focus on the areas identi fi ed in the master plan as high leakage areas. Later years of the program will continue the work through the other older portions of the system where pipe conditions warrants replacement. Sewer Rehabilitation Program Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 93016 2011 – 2016 Ca pital Improvement Plan | 28 Location Various Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 0 0 0 0 $35,000$35,000 0 $70,000 TOTAL 0 0 0 0 0 $35,000$35,000 0 $70,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 0 0 $35,000$35,000 0 $70,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 0 0 $35,000$35,000 0 $70,000 TOTAL 0 0 0 0 0 $35,000$35,000 0 $70,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Community Tree Planting The city will plant native trees and shrubs along creeks and streams in order to meet the community tree planting goals identi fi ed in the Healthy Streams Plan. 94013 Community Tree Planting Funding Status Fully Funded Project Manager(s) Carla Staedter Public Works 2011 – 2016 Ca pital Improvement Plan | 29 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction $6,460 0 0 $40,000 0 0 0 0 $40,000 TOTAL $6,460 0 0 $40,000 0 0 0 0 $40,000 INTERNAL EXPENSES Project Management 0 0 0 $4,000 0 0 0 0 $4,000 TOTAL 0 0 0 $4,000 0 0 0 0 $4,000 TOTAL PROJECT EXPENSE $6,460 0 0 $44,000 0 0 0 0 $44,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund $6,460 0 0 $44,000 0 0 0 0 $44,000 TOTAL 0 0 0 $44,000 0 0 0 0 $44,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Tree Planting Summer Creek – 116 th Avenue to 113 th Place This project will restore 5.34 acres of riparian corridors through the removal of non-native vegetation and the installation of 8,000 native trees and shrubs. The project meets a community tree planting goal identi fi ed in the Healthy Streams Plan and provides stream buffer mitigation on the parcel near Tippitt Drive. Planting sites are subject to change pending new restoration opportunities. Tree Planting Summer Creek Location 116th Avenue to 135th Place Funding Status Fully Funded Project Manager(s) Carla Staedter Public Works 94019 2011 – 2016 Ca pital Improvement Plan | 30 Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 0 0 0 $40,000 0 0 0 $40,000 TOTAL 0 0 0 0 $40,000 0 0 0 $40,000 INTERNAL EXPENSES Project Management 0 0 0 0 $4,000 0 0 0 $4,000 TOTAL 0 0 0 0 $4,000 0 0 0 $4,000 TOTAL PROJECT EXPENSE 0 0 0 0 $44,000 0 0 0 $44,000 REVENUE FUNDING SOURCE Sanitary Sewer Fund 0 0 0 0 $44,000 0 0 0 $44,000 TOTAL 0 0 0 0 $44,000 0 0 0 $44,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Tree Planting Summer Creek – 121 st Avenue to Mary Woodward Elementary Projects tentatively slated for stream corridor restoration in FY 2012–13 include Summer Creek from 121st Avenue to Mary Woodward Elementary; a tributary to Summer Creek located next to the entry drive to the school; and a Summer Creek tributary which crosses under Gaarde Street. This project will remove non-native vegetation and install 15,000 native trees and shrubs. These tree plantings will restore 16.03 acres of riparian corridor that will meet a community tree planting goal identi fi ed in the Healthy Streams Plan and will provide a potential stream buffer mitigation area on the parcels which front Gaarde Street. The location for plant sites listed are subject to change pending new restoration opportunities or partnerships that would warrant a more accelerated schedule. Tree Planting Summer Creek Location 121st Avenue to Mary Woodward Elementary Funding Status Fully Funded Project Manager(s) Carla Staedter Public Works 94020 2011 – 2016 Ca pital Improvement Plan | 31 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Projected Totals 32 94001 Storm Drainage Major Maintenance $50,000$150,000$50,000$50,000$50,000 0 $350,000 33 94011 Culvert Improvements – Walnut Street (Derry Dell/Fanno Creek)$51,122 $157,071 $111,143 0 0 0 $319,336 34 94022 Copper Creek Bank Stabilization $46,083 $29,667 $145,000 0 0 0 $220,750 35 94023 Green fi eld Storm Drain Replacement $56,000$132,000 0 0 0 0 $188,000 36 94024 103 rd Avenue & McDonald Street Storm System Improvement 0 $190,500 0 0 0 0 $190,500 37 94025 Storm Facility Replacement – Green fi eld Drive near Pine View 0 $90,500 0 0 0 0 $90,500 Total Funded $203,205 $749,738 $306,143 $50,000$50,000 0 $1,359,086 Storm System Fiscal Year 2011–2016 | Capital Improvement Plan HOW STORM WATER PROJECTS ARE FUNDED Storm water projects are funded with fees paid by Tigard residential and non-residential customers. These rates are set by Clean Water Services (CWS) and the city. 2011 – 2016 Ca pital Improvement Plan | 32 Location Citywide Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 $50,000$50,000$150,000$50,000$50,000$50,000 0 $350,000 TOTAL 0 $50,000$50,000$150,000$50,000$50,000$50,000 0 $350,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 $50,000$50,000$150,000$50,000$50,000$50,000 0 $350,000 REVENUE FUNDING SOURCE Stormwater Fund 0 $50,000$50,000$150,000$50,000$50,000$50,000 0 $350,000 TOTAL 0 $50,000$50,000$150,000$50,000$50,000$50,000 0 $350,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Storm Drainage Major Maintenance This yearly program addresses minor storm drainage problems requiring more than the normal maintenance efforts provided by the Public Works Department. The program includes projects located at various locations throughout the city. Storm Drainage Major Maintenance Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 94001 2011 – 2016 Ca pital Improvement Plan | 33 Location Walnut Street (Derry Dell/Fanno Creek) Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 $85,000 $48,836 $42,500 0 0 0 0 $91,336 Construction 0 0 0 $100,000$100,000 0 0 0 $200,000 TOTAL 0 $85,000 $48,836 $142,500 $100,000 0 0 0 $291,336 INTERNAL EXPENSES Project Management 0 $4,444 $2,286 $4,571 $1,143 0 0 0 $8,000 Construction Management 0 0 0 $10,000$10,000 0 0 0 $20,000 TOTAL 0 $4,444 $2,286 $14,571 $11,143 0 0 0 $28,000 TOTAL PROJECT EXPENSE 0 $89,444 $51,122 $157,071 $111,143 0 0 0 $319,336 REVENUE FUNDING SOURCE Stormwater Fund 0 $89,444 $51,122 $157,071 $111,143 0 0 0 $319,336 TOTAL 0 $89,444 $51,122 $157,071 $111,143 0 0 0 $319,336 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Culvert Improvements – Walnut Street (Derry Dell/Fanno Creek) This project replaces the existing culvert on Walnut Street at Derry Dell Creek. The new, larger culvert will increase capacity, provid e fi sh passage and enhance water quality. Funding will be used for hydraulic analysis, hydraulic study and preliminary design. Culvert Improvements – Walnut Street Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 94011 2011 – 2016 Ca pital Improvement Plan | 34 Location SW corner of Durham Road and Copper Creek Drive Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 $30,000 $40,250 0 0 0 0 0 $40,250 Construction 0 0 0 $25,500 $130,000 0 0 0 $155,500 TOTAL 0 $30,000 $40,250 $25,500 $130,000 0 0 0 $195,750 INTERNAL EXPENSES Project Management 0 $5,556 $5,833 $4,167 0 0 0 0 $10,000 Construction Management 0 0 0 0 $15,000 0 0 0 $15,000 TOTAL 0 $5,556$5,833 $4,167 $15,000 0 0 0 $25,000 TOTAL PROJECT EXPENSE 0 $35,556 $46,083 $29,667 $145,000 0 0 0 $220,750 REVENUE FUNDING SOURCE Stormwater Fund 0 $35,556 $46,083 $29,667 $145,000 0 0 0 $220,750 TOTAL 0 $35,556 $46,083 $29,667 $145,000 0 0 0 $220,750 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Copper Creek Bank Stabilization The banks of Copper Creek at the southwest corner of Durham Road and Copper Creek Drive are eroded. The erosion resulted from heavy rain and high strea m fl ow from a 36-inch culvert under the streets. This project funds preliminary design and wetland permitting in FY 2010–2011 an d fi nal design and construction in FY 2011–2012. The work will include bank stabilization, culvert repair, energy dissipation and planting required by wetland permits. 94022 Copper Creek Bank Stabilization Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 35 Location Greenfield Drive Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 $50,000 $33,333 $100,000 0 0 0 0 $133,333 TOTAL 0 $50,000 $33,333 $100,000 0 0 0 0 $133,333 INTERNAL EXPENSES Project Management 0 $10,667 $12,000 0 0 0 0 0 $12,000 Construction Management 0 $13,333 $10,667 $32,000 0 0 0 0 $42,667 TOTAL 0 $24,000 $22,667 $32,000 0 0 0 0 $54,667 TOTAL PROJECT EXPENSE 0 $74,000$56,000$132,000 0 0 0 0 $188,000 REVENUE FUNDING SOURCE Stormwater Fund 0 $74,000$56,000$132,000 0 0 0 0 $188,000 TOTAL 0 $74,000$56,000$132,000 0 0 0 0 $188,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Greenfield Storm Drain Replacement A storm drainage pipe crossing Green fi eld Drive, 600 feet south of Morningstar Drive, is cracked and potentially collapsed. The “slip lining” method will be used to pull a new pipe into the existing pipe. This will minimize excavation and restoration work. Greenfield Storm Drain Replacement Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 94023 2011 – 2016 Ca pital Improvement Plan | 36 Location 103rd Avenue & McDonald Street Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $15,000 0 0 0 0 $15,000 Construction 0 0 0 $150,500 0 0 0 0 $150,500 TOTAL 0 0 0 $165,500 0 0 0 0 $165,500 INTERNAL EXPENSES Project Management 0 0 0 $10,000 0 0 0 0 $10,000 Construction Management 0 0 0 $15,000 0 0 0 0 $15,000 TOTAL 0 0 0 $25,000 0 0 0 0 $25,000 TOTAL PROJECT EXPENSE 0 0 0 $190,500 0 0 0 0 $190,500 REVENUE FUNDING SOURCE Stormwater Fund 0 0 0 $190,500 0 0 0 0 $190,500 TOTAL 0 0 0 $190,500 0 0 0 0 $190,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 103 rd Avenue & McDonald Street Storm System Improvement The storm water system along 103rd Avenue is undersized and cannot carry the water from intense rain storms. The existing system is a corrugated metal pipe that is rusting through. New pipe is needed in order to carry water that is currently running down the street and through neighboring properties. 94024 Storm System Improvement Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 2011 – 2016 Ca pital Improvement Plan | 37 Location Greenfield Drive near Pine View Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $10,000 0 0 0 0 $10,000 Construction 0 0 0 $70,500 0 0 0 0 $70,500 TOTAL 0 0 0 $80,500 0 0 0 0 $80,500 INTERNAL EXPENSES Project Management 0 0 0 $5,000 0 0 0 0 $5,000 Construction Management 0 0 0 $5,000 0 0 0 0 $5,000 TOTAL 0 0 0 $10,000 0 0 0 0 $10,000 TOTAL PROJECT EXPENSE 0 0 0 $90,500 0 0 0 0 $90,500 REVENUE FUNDING SOURCE Stormwater Fund 0 0 0 $90,500 0 0 0 0 $90,500 TOTAL 0 0 0 $90,500 0 0 0 0 $90,500 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Storm Facility Replacement – Greenfield Drive near Pine View This project retro fi ts a storm water quality facility so that storm water is not released onto the downhill back yards of the neighbors. Storm Facility Replacement Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 94025 2011 – 2016 Ca pital Improvement Plan | 38 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Projected Totals 39 95001Pavement Management Program $882,144$1,115,400 $1,390,400$1,690,400$1,690,400$1,690,400 $8,459,144 40 95027 Citywide Sidewalk & Pedestrian Improvements $141,000$141,000$141,000$141,000$141,000$141,000 $846,000 41 95033 Paci fi c Highway/Gaarde Street/McDonald Street Improvements 0 $327,871 $242,265 $234,689 $221,053 $3,509 $1,029,387 42 95034 Crosswalk Beacon Upgrade 0 $75,000 0 0 0 0 $75,000 43 95035 72 nd Avenue/Dartmouth Street Intersection Improvement 0 $55,000$445,000 0 0 0 $500,000 44 95036 Utility Undergrounding 0 0 $21,401 $147,495 $281,104 0 $450,000 45 97003 Main Street/Green Street Retro fi t $55,300 $122,825 $435,454 $66,667 0 0 $680,246 Total Funded $1,078,444 $1,837,096 $2,675,520 $2,280,251 $2,333,557 $1,834,909 $12,039,777 Street System Fiscal Year 2011–2016 | Capital Improvement Plan HOW STREET PROJECTS ARE FUNDED  Transportation Development Tax and Traffic Impact Fees paid by de velopers  Gas Tax collected by the state  City Gas Tax (local tax)  Street Maintenance Fees collected via utility billing charges 2011 – 2016 Ca pital Improvement Plan | 39 Location Citywide Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 $40,000$40,000$40,000$40,000$40,000$40,000$40,000 $240,000 Construction $734,028 $737,500 $798,411 $1,025,000 $1,300,000$1,600,000$1,600,000$1,600,000 $7,923,411 TOTAL $734,028 $777,500 $838,411 $1,065,000$1,340,000$1,640,000$1,640,000$1,640,000 $8,163,411 INTERNAL EXPENSES Project Management 0 $40,000 $33,333 $40,000$40,000$40,000$40,000$40,000 $233,333 Construction Management 0 $10,400$10,400$10,400$10,400$10,400$10,400$10,400 $62,400 TOTAL 0 $50,400 $43,733 $50,400$50,400$50,400$50,400$50,400 $295,733 TOTAL PROJECT EXPENSE $734,028 $827,900 $882,144 $1,115,400$1,390,400$1,690,400$1,690,400$1,690,400 $8,459,144 REVENUE FUNDING SOURCE Street Maintenance Fund $734,028 $827,900 $882,144$1,115,400 $1,390,400$1,690,400$1,690,400$1,690,400 $8,459,144 TOTAL $734,028 $827,900 $882,144 $1,115,400$1,390,400$1,690,400$1,690,400$1,690,400 $8,459,144 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Pavement Management Program This program, funded by the Street Maintenance Fee, consists of pavement overlays and slurry seals on various streets throughout the city in order to preserve the city’s investment in the existing street surface. Pavement overlays are planned in the summer and fall of 2011. 95001 Pavement Management Program Funding Status Fully Funded Project Manager(s) Mike McCarthy Public Works 2011 – 2016 Ca pital Improvement Plan | 40 Location Citywide Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 $10,000$10,000$10,000$10,000$10,000$10,000$10,000 $60,000 Design and Engineering 0 $10,000$10,000$10,000$10,000$10,000$10,000$10,000 $60,000 Construction 0 $101,000$101,000$101,000$101,000$101,000$101,000$101,000 $606,000 TOTAL 0 $121,000$121,000$121,000$121,000$121,000$121,000$121,000$726,000 INTERNAL EXPENSES Project Management 0 $10,000$10,000$10,000$10,000$10,000$10,000$10,000 $60,000 Construction Management 0 $10,000$10,000$10,000$10,000$10,000$10,000$10,000 $60,000 TOTAL 0 $20,000$20,000$20,000$20,000$20,000$20,000$20,000$120,000 TOTAL PROJECT EXPENSE 0 $141,000$141,000$141,000$141,000$141,000$141,000$141,000$846,000 REVENUE FUNDING SOURCE Gas Tax 0 $141,000$141,000$141,000$141,000$141,000$141,000$141,000 $846,000 TOTAL 0 $141,000$141,000$141,000$141,000$141,000$141,000$141,000$846,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Citywide Sidewalk & Pedestrian Improvements This program will allow the addition of sidewalks, short trail connections and related facilities in order to link key gaps in the city’s pedestrian system. Projects will be chosen each year based on pedestrian need, safety, bene fi t, mobility options and ability to leverage other resources. Candidate locations have been identi fi ed in the Transportation System Plan (TSP) and include 121st Avenue, Tiedeman Avenue, Tigard Street, North Dakota Street, and crossings of busy streets such as McDonald Street and Greenburg Road. Areas around city schools include 97th Avenue and Murdock Street, pedestrian facilities in Town and Regional Centers, connections to transit stops, and short trail sections identi fi ed in the Neighborhood Trails Plan. Citywide Sidewalk & Pedestrian Improvements Funding Status Fully Funded Project Manager(s) Mike McCarthy Public Works 95027 2011 – 2016 Ca pital Improvement Plan | 41 Location Citywide Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Land/Right of Way Acquisition 0 0 0 $233,333$166,667 0 0 0 $400,000 Design and Engineering 0 0 0 $73,485 $54,545 $13,636 0 0 $141,666 Construction 0 0 0 0 0 $200,000$200,000 0 $400,000 TOTAL 0 0 0 $306,818 $221,212 $213,636 $200,000 0 $941,666 INTERNAL EXPENSES Project Management 0 0 0 $21,053$21,053$21,053$21,053 $3,509 $87,721 TOTAL 0 0 0 $21,053$21,053$21,053$21,053 $3,509 $87,721 TOTAL PROJECT EXPENSE 0 0 0 $327,871 $242,265 $234,689 $221,053 $3,509 $1,029,387 REVENUE FUNDING SOURCE Transportation Development Tax 0 0 0 $327,871 $242,265 $234,689 $221,053 $3,509 $1,029,387 TOTAL 0 0 0 $327,871 $242,265 $234,689 $221,053 $3,509 $1,029,387 OTHER REVENUE SOURCE Oregon Department of Transportation 0 0 0 $1,610,068$1,399,841 $2,407,417 $2,271,053 $3,509 $7,691,888 TOTAL 0 0 0 $1,610,068 $1,399,841 $2,407,417 $2,271,053 $3,509 $7,691,888 Pacific Highway/Gaarde Street/ McDonald Street Improvements The Paci fi c Highway, Gaarde Street and McDonald Street intersection has the highest accident count of any intersection in Tigard. It also limits traf fi c capacity along all three roadways. This project proposes to improve the intersection by possibly adding both straight through and new turn lanes. The project is being done in conjunction with the Oregon Department of Transportation, who is funding the preliminary design work that is currently underway. Final design and construction will follow as funding is provided. 95033 Pacific Hwy/Gaarde St./McDonald St. Improvements Funding Status Fully Funded Project Manager(s) Mike McCarthy Public Works 2011 – 2016 Ca pital Improvement Plan | 42 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $5,000 0 0 0 0 $5,000 Construction 0 0 0 $70,000 0 0 0 0 $70,000 TOTAL 0 0 0 $75,000 0 0 0 0 $75,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $75,000 0 0 0 0 0 REVENUE FUNDING SOURCE Gas Tax 0 0 0 $75,000 0 0 0 0 $75,000 TOTAL 0 0 0 $75,000 0 0 0 0 $75,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Crosswalk Beacon Upgrade Funding Status Fully Funded Project Manager(s) Mike McCarthy Public Works 95034 Crosswalk Beacon Upgrade Upgrade the pedestrial signals at three intersections to eliminate in pavement lights and install overhead signal lights. Locations that are being considered for the upgrade are Walnut Street at Grant Street, Bonita Road at Milton Court, 121st Avenue at Katherine Street, and 68th Avenue south of Hampton Street. 2011 – 2016 Ca pital Improvement Plan | 43 Location 72nd Avenue & Dartmouth Street Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $50,000 0 0 0 0 $50,000 Construction 0 0 0 0 $400,000 0 0 0 $400,000 TOTAL 0 0 0 $50,000$400,000 0 0 0 $450,000 INTERNAL EXPENSES Project Management 0 0 0 $5,000$5,000 0 0 0 $10,000 Construction Management 0 0 0 0 $40,000 0 0 0 $40,000 TOTAL 0 0 0 $5,000$45,000 0 0 0 $50,000 TOTAL PROJECT EXPENSE 0 0 0 $55,000$445,000 0 0 0 $500,000 REVENUE FUNDING SOURCE Traffic Impact Fee 0 0 0 $55,000$445,000 0 0 0 $500,000 TOTAL 0 0 0 $55,000$445,000 0 0 0 $500,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 72 nd Avenue/Dartmouth Street Intersection Improvement This project will fund a reimbursement district to signalize the intersection of 72nd Avenue and Dartmouth Street. The intersection is currently con fi gured as an “all-way stop” and is one of the most heavily traveled intersections in Tigard. 95035 Intersection Improvement Funding Status Fully Funded Project Manager(s) Mike McCarthy Public Works 2011 – 2016 Ca pital Improvement Plan | 44 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 0 $14,583 $20,417 0 0 $35,000 Construction 0 0 0 0 0 $101,000$250,000 0 $351,000 TOTAL 0 0 0 0 $14,583 $121,417 $250,000 0 $386,000 INTERNAL EXPENSES Project Management 0 0 0 0 $6,818 $16,364 $6,818 0 $30,000 Construction Management 0 0 0 0 0 $9,714 $24,286 0 $34,000 TOTAL 0 0 0 0 $6,818 $26,078 $31,104 0 $64,000 TOTAL PROJECT EXPENSE 0 0 0 0 $21,401 $147,495 $281,104 0 $450,000 REVENUE FUNDING SOURCE Underground Utility Fund 0 0 0 0 $24,104 $147,495 $281,104 0 $450,000 TOTAL 0 0 0 0 $24,104 $147,495 $281,104 0 $450,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Utility Undergrounding Funding Status Fully Funded Project Manager(s) Ted Kyle Public Works 95036 Utility Undergrounding This program funds the work needed to move utility wires (power, phone and cable TV) underground. The funds are derived from a fee paid by developers where moving overhead wires underground is not feasible for a single development. By aggregating the funds from several developments larger projects can be completed. This program funded installation of conduits and vaults needed undergrounding of the overhead wires along Burnham Street. During the nex t fi ve years the funds will be used to move overhead wires underground on other streets in Tigard as these streets are prioritized. 2011 – 2016 Ca pital Improvement Plan | 45 Location Main Street (ra ilroad tracks south to Pacific Highway) Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering $61,583 $27,300$27,300 $36,667 $3,333 0 0 0 $67,300 Construction 0 0 0 $55,613 $406,666$66,667 0 0 $528,946 TOTAL $61,583 $27,300$27,300 $92,280 $409,999$66,667 0 0 $596,246 INTERNAL EXPENSES Project Management 0 $28,000$28,000 $30,545 $25,455 0 0 0 $84,000 TOTAL 0 $28,000$28,000 $30,545 $25,455 0 0 0 $84,000 TOTAL PROJECT EXPENSE $61,583 $55,300$55,300 $122,825 $435,454 $66,667 0 0 $680,246 REVENUE FUNDING SOURCE Gas Tax $61,583 $55,300$55,300 $86,158 $298,788 0 0 0 $440,246 Water Fund 0 0 0 $36,667 $136,666$66,667 0 0 $240,000 TOTAL $61,583 $55,300$55,300 $122,825 $435,454 $66,667 0 0 $680,246 O THER R EVENUE S OURCE Metropolitan Transportation Improvement Program 0 $241,217$241,217 $328,298 $1,667,494 $813,333 0 0 $3,050,342 TOTAL 0 $241,217$241,217 $32,298 $1,667,494 $813,333 0 0 $3,050,342 Main Street/Green Street Retrofit The Main Street project is a multi-year project including comprehensive redesign and construction of the full length of Main Street. The project is divided into 2 phases. Phase 1 starts at the railroad tracks and proceeds south to Paci fi c Highway. Phase 2 will start at the railroad tracks and terminate at Scof fi ns Street, where the Paci fi c Highway project completed improvements in FY 2010–11. Phase 1, funded through the Metropolitan Transportation Improvement Program (MTIP), reconstructs the street in accordance with Green Street Standards for 1,400 lineal feet of Main Street. It encompasses the entire public right-of-way (ROW) and includes streets, curbs, sidewalks, landscape and drainage improvements. Design will be based on concept plans as approved in the Downtown Streetscape Plan. 97003 Main Street/Green Street Retrofit Funding Status Fully Funded Project Manager(s) Kim McMillan Public Works 2011 – 2016 Ca pital Improvement Plan | 46 Page ProjectProject Name Projected 2010-11 2011 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 Projected Totals 47 96003 Water Meter Replacement Program 0 $200,000$200,000$200,000$200,000$200,000 $1,000,000 48 96008 Water Main Line Oversizing $100,000$325,000 $75,000 $150,000$150,000$150,000 $950,000 49 96010 Aquifer Storage & Recovery Well #3 0 $265,000$2,421,000$50,000 0 0 $2,736,000 50 96013 550’ Zone Improvements (10 MG Transfer Pump Station Upgrade)$4,157,230 $732,866 0 0 0 0 $4,890,096 51 96018 Lake Oswego – Tigar d Water Partnership $5,456,960 $8,238,000 $14,471,000 $57,323,000$34,751,000 0 $120,239,960 52 96023 Sherwood Partnership 0 $4,333,333 0 0 0 0 $4,333,333 53 96024 Water Line Replacement Program 0 $50,000 $498,800 0 0 0 $548,800 54 96027 New Pump Station to Reservoir #2 0 $50,000$226,000 $962,666 $481,334 0 $1,720,000 55 96028 Fire Hydrant Replacement Program 0 $100,000$100,000$100,000$100,000$100,000 $500,000 Total Funded $9,714,190 $14,294,199 $17,991,800 $58,785,666$35,682,334 $450,000 $136,918,189 Water System Fiscal Year 2011–2016 | Capital Improvement Plan HOW WATER PROJECTS ARE FUNDED Funding comes from the Water and Water System Development Charge (SDC) funds. The revenues for these funds are provided by residential and commercial residents through water utility charges. 2011 – 2016 Ca pital Improvement Plan | 47 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 0 0 $200,000$200,000$200,000$200,000$200,000 $1,000,000 TOTAL 0 0 0 $200,000$200,000$200,000$200,000$200,000$1,000,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $200,000$200,000$200,000$200,000$200,000$1,000,000 REVENUE FUNDING SOURCE Water CIP Fund 0 0 0 $200,000$200,000$200,000$200,000$200,000 $1,000,000 TOTAL 0 0 0 $200,000$200,000$200,000$200,000$200,000$1,000,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Water Meter Replacement Program Replacement of large and small water meters that are deemed defective or at the end of their useful service life (over 20 years). 96003 Water Meter Replacement Program Funding Status Fully Funded Project Manager(s) John Goodrich Public Works 2011 – 2016 Ca pital Improvement Plan | 48 Location To Be Determined Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 $100,000$100,000$325,000$75,000$150,000$150,000$150,000 $950,000 TOTAL 0 $100,000$100,000$325,000$75,000$150,000$150,000$150,000$950,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 $100,000$100,000$325,000$75,000$150,000$150,000$150,000$950,000 REVENUE FUNDING SOURCE Water CIP Fund 0 $100,000$100,000$325,000$75,000$150,000$150,000$150,000 $950,000 TOTAL 0 $100,000$100,000$325,000$75,000$150,000$150,000$150,000$950,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Water Main Line Oversizing Funding Status Fully Funded Project Manager(s) Rob Murchison Public Works 96008 Water Main Line Oversizing The city may elect to upsize water transmission lines in conjunction with new development. Lines earmarked for upsizing are identi fi ed in the Water Distribution System Hydraulic Study. 2011 – 2016 Ca pital Improvement Plan | 49 Location 13001 SW Bull Mountain Road Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $251,000 0 0 0 0 $251,000 Construction 0 0 0 0 $2,220,000$50,000 0 0 $2,250,000 TOTAL 0 0 0 $251,000$2,200,000$50,000 0 0 $2,501,000 INTERNAL EXPENSES Project Management 0 0 0 $14,000$21,000 0 0 0 $35,000 Construction Management 0 0 0 0 $200,000 0 0 0 $200,000 TOTAL 0 0 0 $14,000$221,000 0 0 0 $235,000 TOTAL PROJECT EXPENSE 0 0 0 $265,000 $2,421,000 $50,000 0 0 $2,736,000 REVENUE FUNDING SOURCE Water CIP Fund 0 0 0 $265,000$2,421,000$50,000 0 0 $2,736,000 TOTAL 0 0 0 $265,000 $2,421,000 $50,000 0 0 $2,736,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Aquifer Storage & Recovery Well #3 The Water Distribution System Hydraulic Study identi fi ed a need for the expansion of the city’s Aquifer Storage and Recovery Program. In FY 2007–2008, a 1,000-foot deep well was successfully drilled. Well head improvements which include the installation of a pump, motor, and accompanying pipe and chlorination system are scheduled in 2012. The pump station will provide 2.5 million gallons of water per day during dry summer months. 96010 Aquifer Storage & Recovery Well #3 Funding Status Fully Funded Project Manager(s) Rob Murchison Public Works 2011 – 2016 Ca pital Improvement Plan | 50 Funding Status Bull Mountain Road & 125th Avenue Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering $318,662 0 $167,826 $14,485 0 0 0 0 $182,311 Construction $586,777 $3,299,186 $3,854,080 $676,381 0 0 0 0 $4,530,461 TOTAL $905,439 $3,299,186 $4,021,906$690,866 0 0 0 0 $4,712,772 INTERNAL EXPENSES Project Management 0 $126,000$126,000$42,000 0 0 0 0 $168,000 Construction Management 0 $117,857 $9,324 0 0 0 0 0 $9,324 Public Involvement $315 0 0 0 0 0 0 0 0 TOTAL $315 $243,857 $135,324 $42,000 0 0 0 0 $177,324 TOTAL PROJECT EXPENSE $905,754 $3,543,034 $4,157,230 $732,866 0 0 0 0 $4,890,096 REVENUE FUNDING SOURCE Water CIP Fund $245,022 0 0 0 0 0 0 0 0 Water Fund 0 0 0 $732,866 0 0 0 0 $732,866 TOTAL $245,022 0 0 $732,866 0 0 0 0 $680,246 O THER R EVENUE S OURCE American Recovery & Reinvestment Act $660,732 $3,543,043 $4,157,230 0 0 0 0 0 $4,157,230 TOTAL $660,732 $3,543,043 $4,157,230 0 0 0 0 0 $4,157,230 550’ Zone Improvements Funding Status Fully Funded Project Manager(s) Rob Murchison Public Works 96013 550’ Zone Improvements (10 MG Transfer Pump Station Upgrade) The existing transfer pump station located on the 10-million gallon reservoir site, serves both the 550-foot and 713-foot service zones. Construction of this improvement increases pumping capacity from 2,000 to 3,300 gallons per minute (gpm) for the 713-foot service zone. The pump station will also provide 3,900 gpm to the 550-foot Zone Reservoir No. 2. In addition, a seismic evaluation of the existing 10-million gallon reservoir will be completed to determine what upgrades shall be incorporated during construction as a part of the overall project. 2011 – 2016 Ca pital Improvement Plan | 51 Location Tigard Water Service Area Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $3,803,000$3,881,000 $2,095,000 $134,000 0 $9,913,000 Construction $2,128,779 $4,800,000$5,363,000$130,000 $7,596,000 $52,175,000 $31,580,000 0 $96,844,000 Project Management 0 $93,960$93,960 $4,255,000$2,944,000$3,003,000$2,987,000 0 $13,282,960 TOTAL $2,128,779 $4,893,960 $5,456,960 $8,188,000 $14,421,000$57,273,000$34,701,000 0 $120,039,960 INTERNAL EXPENSES Project Management 0 0 0 $50,000$50,000$50,000$50,000 0 $200,000 TOTAL 0 0 0 $50,000$50,000$50,000$50,000 0 $200,000 TOTAL PROJECT EXPENSE $2,128,779 $4,893,960 $5,456,960 $8,238,000 $14,471,000 $57,323,000 $34,751,000 0 $120,239,960 REVENUE FUNDING SOURCE Water CIP Fund $2,128,779 $4,893,960$5,456,960$8,238,000 $14,471,000 $57,323,000 $34,751,000 0 $120,329,960 TOTAL $2,128,779 $4,893,960 $5,456,960 $8,238,000 $14,471,000 $57,323,000 $34,751,000 0 $120,239,960 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 96018 Lake Oswego · Tigard W ater Partnership Funding Status Fully Funded Project Manager(s) Dennis Koellermeier Public Works Lake Oswego · Tiga rd Water Partnership In 2008, Tigard entered into an agreement to develop a long-term water supply with the City of Lake Oswego. The new water supply is expected to be online in 2016. Capital construction projects include: expansion of the raw water intake structure on the Clackamas River, and increases in treatment plant capacity, transmission pipe sizing, storage capacity, and pumping capacity. Tigard’s share of the total project cost is estimated at $110 million. Revenue bonds will likely be used t o fi nance partnership projects. 2011 – 2016 Ca pital Improvement Plan | 52 Funding Status Tigard Water Service Area Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction $1,557 $1,000,000 0 $4,333,333 0 0 0 0 $4,333,333 TOTAL $1,557 $1,000,000 0 $4,333,333 0 0 0 0 $4,333,333 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE $1,557 $1,000,000 0 $4,333,333 0 0 0 0 $4,333,333 REVENUE FUNDING SOURCE Water CIP Fund $1,557 $1,000,000 0 $4,333,333 0 0 0 0 $4,333,333 TOTAL $1,557 $1,000,000 0 $4,333,333 0 0 0 0 $4,333,333 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Sherwood Partnership Funding Status Fully Funded Project Manager(s) Dennis Koellermeier Public Works 96023 Sherwood Partnership The city has agreed to invest in upsizing a water pipleline through Tualatin into Sherwood for future water needs. 2011 – 2016 Ca pital Improvement Plan | 53 Location Monaco Lane & Kable Street at Hoodview Lane Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 0 $25,000 0 0 0 $25,000 Construction 0 0 0 $50,000 $375,800 0 0 0 $425,800 TOTAL 0 0 0 $50,000$400,800 0 0 0 $450,800 INTERNAL EXPENSES Project Management 0 0 0 0 $44,000 0 0 0 $44,000 Construction Management 0 0 0 0 $54,000 0 0 0 $54,000 TOTAL 0 0 0 0 $98,000 0 0 0 $98,000 TOTAL PROJECT EXPENSE 0 0 0 $50,000 $498,800 0 0 0 $548,800 REVENUE FUNDING SOURCE Water CIP Fund 0 0 0 $50,000 $498,800 0 0 0 $548,800 TOTAL 0 0 0 $50,000 $498,800 0 0 0 $548,800 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Water Line Replacement Program This program includes replacement of water lines that have shown signs of deterioration. Water line breaks are a key indicator of long term pipe degradation. Lines have been identi fi ed along Kable Street and in King City. This program includes replacement of water lines that are not serviceable, or have reached the end of their 50 year life cycle. Funding beginning in FY 2012 for the replacement of approximately 600 feet of 4-inch pipe, the addition of tw o fi re hydrants at the end of each lane, and the transfer of 23 service connections. Paving will be coordinated with King City administration. 96024 Water Line Replacement Program Funding Status Fully Funded Project Manager(s) John Goodrich Public Works 2011 – 2016 Ca pital Improvement Plan | 54 Location Reservoir at the south end of 119th Place Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Design and Engineering 0 0 0 $50,000$226,000 0 0 0 $276,000 Construction 0 0 0 0 0 $869,333 $434,667 0 $1,304,000 TOTAL 0 0 0 $50,000$226,000 $869,333 $434,667 0 $1,580,000 INTERNAL EXPENSES Construction Management 0 0 0 0 0 $93,333 $46,667 0 $140,000 TOTAL 0 0 0 0 0 $93,333 $46,667 0 $140,000 TOTAL PROJECT EXPENSE 0 0 0 $50,000$226,000 $962,666 $481,334 0 $1,720,000 REVENUE FUNDING SOURCE Water CIP Fund 0 0 0 $50,000$226,000 $962,666 $481,334 0 $1,720,000 TOTAL 0 0 0 $50,000$226,000 $962,666 $481,334 0 $1,720,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 New Pump Station to Reservoir #2 This new pump station will be used to pump water from the new joint water supply that is being delivered through the existing lower service zone piping to the 10 million gallon terminal reservoir. The pump station will be located at a reservoir site near 119th Place. This pump station is a recommendation based on the results of the Water System Master Plan that was adopted last year. This project will allow the large capacity 10 million gallon reservoir to store water for high demand days as well as emergencies. New Pump Station to Reservoir #2 Funding Status Fully Funded Project Manager(s) Rob Murchison Public Works 96027 2011 – 2016 Ca pital Improvement Plan | 55 Location Citywide Actual 2009 – 10 Revi sed 2010 – 11 Pro jected 2010 – 11 201 1 – 1220 12 – 1320 13 – 1420 14 – 1520 15 – 16 PROJECTED TOTAL EXTERNAL EXPENSES Construction 0 0 0 $100,000$100,000$100,000$100,000$100,000 $500,000 TOTAL 0 0 0 $100,000$100,000$100,000$100,000$100,000$500,000 INTERNAL EXPENSES Project Management 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 TOTAL PROJECT EXPENSE 0 0 0 $100,000$100,000$100,000$100,000$100,000$500,000 REVENUE FUNDING SOURCE Water CIP Fund 0 0 0 $100,000$100,000$100,000$100,000$100,000 $500,000 TOTAL 0 0 0 $100,000$100,000$100,000$100,000$100,000$500,000 OTHER REVENUE SOURCE 0 0 0 0 0 0 0 0 0 TOTAL 0 0 0 0 0 0 0 0 0 Fire Hydrant Replacement Program There are currently 2,041 hydrants in the city system. There are 550 hydrants that have been identi fi ed for replacement due to parts that are no longer available, which in turn limits the city’s ability to maintain them. This program will allow for the replacement of 50 aging hydrants per year. It is estimated that it will take approximately 11 years to replace all 550 hydrants. 96028 Fire Hydrant Replacement Program Funding Status Fully Funded Project Manager(s) John Goodrich Public Works 2011 – 2016 Cap ital Improvement Plan | 56 Appendix 57 – 59 Glossary 60 Capit al Improvement Program Process Chart 61 – 63 Unfun ded Projects 64 5-year Summary Report by Fund 65 – 70 All Ra nked Projects Fiscal Year 2011–2016 | Capital Improvement Plan 2011 – 2016 Ca pital Improvement Plan | 57 Glossary Adopted Budget Approved Budget Assets Bond Budget Capital Improvement Projects (CIP) Capital Improvement Program Capital Outlay City Center Development Agency (CCDA) Clean Water Services (CWS) Expenditure The bud get amended and approved by the Budget Committee becomes the adopted budget after City Council takes action on it. The adopted budget becomes effective July 1. The proposed budget as amended and approved by the Budget Committee and recommended to the City Council for adoption is referred to as the Approved Budget. Property owned by the city, which has monetary value. A written promise to pay a speci fi ed sum of money, called the face value or principal amount, at a speci fi ed date or dates in the future, called the maturity date(s), together with periodic interest at a speci fi ed rate. A plan o f fi nancial operation embodying an estimate of adopted revenue and expenditures for a given year. The budget is the legal spending limit for city activities. Expenditures which result in the acquisition of land, improvements to existing facilities, and construction of streets, sewers, storm drains, park facilities and other public facilities. Long-range plan for city facilities and infrastructure. Expenditures equal to or greater than $5,000 for equipment, vehicles or machinery that results in the acquisition or addition t o fi xed assets. The Urban Renewal Agency approved by the voters in May 2006. The CCDA is comprised of members of the City Council as its governing body. A county agency formerly named the Uni fi ed Sewerage Agency (USA). Clean Water Services owns and operates all major sewage treatment plants within Washington County. CWS establishes sewer rates and contracts with most cities to collect monthly charges from residents and perform most sewer maintenance and repair within city limits. Actual payment made by city check or wire transfer for services or goods received or obligations extinguished. 2011 – 2016 Ca pital Improvement Plan | 58 Fees Fiscal Year (FY) Fund General Facilities Capital Project General Fund Intergovernmental Revenues Local Improvement District (LID) Metro Metropolitan Transportation Improvement Program ODOT Proposed Budget General term used for any charge levied by local government in connection with providing a service, permitting an activity, or imposin g a fi ne or penalty. Major types of fees include building permits, business and non-business licenses , fi nes, and user charges. Period used for accounting year. The City of Tigard ha s a fi scal year of July 1 through the following June 30. A fi scal and accounting unit with a self-balancing set of accounts in which cash and othe r fi nancial resources, liabilities, equities and changes therein are recorded to carry on speci fi c activities and/or objectives. An improvement to or construction of city-owned buildings and their corresponding utilities, grounds, sidewalks and parking lots. The primary discretionary fund of the city, which accounts for general-purpose revenues (such as property tax) and general-purpose operations. Revenue from other governments, primarily Federal and State grants and State shared revenues, but also payments from other local governments. An LID is an entity formed by a group of property owners or the city to construct public improvements (such as streets, sewers, storm drains, streetlights, etc.) to bene fi t properties. Costs of such improvements are then assessed among bene fi ted properties. The only directly elected regional government in the nation. Metro is responsible for regional transportation and land use planning. It also manages the Oregon Zoo, the Oregon Convention Center, the Portland Center for the Performing Arts, and the Exposition Center. Metro is also responsible for regional solid waste disposal. The federally required documentation of transportation investments scheduled for the Portland metro region during a four-year cycle. The MTIP comprises projects and programs administered by Metro, ODOT, TriMet and SMART. Oregon Department of Transportation. City budget developed by the city manager and submitted to the Budget Committee for their deliberation. 2011 – 2016 Ca pital Improvement Plan | 59 Systems Development Charges (SDC) Special Assessment Special Revenue Fund Traffic Impact Fee (TIF) Transportation Development Tax (TDT) Urban Renewal District SDCs are paid by developers and builders to fund expansion of infrastructure necessary due to increased usage. Such charges are collected for sewers, storm drains, streets, and parks. A charge made against certain properties to defray all or part of the cost of a speci fi c capital improvement or service deemed to bene fi t primarily those properties. A fund used to account for the proceeds of speci fi c revenue sources that are legally restricted to expenditure for speci fi ed purposes. A TIF is a charge on new development assessed by Washington County, but collected by cities. The TIF was replaced by the Transportation Development Tax on July 1, 2009 and will be phased out over an approximately three year period. Fund revenues may only be used for highway and transit capital improvements that provide additional capacity to major transportation systems and to pay the costs of administering the program. The Countywide Transportation Development Tax (TDT) is a Washington County Tax approved by the voters in November 2008, that is administered and collected by the City of Tigard. It went into effect on July 1, 2009, replacing the Traf fi c Impact Fee (TIF) program. Like TIF, TDT is assessed on new development to help provide funds for the increased capacity transportation improvements needed to accommodate the additional vehicle traf fi c and demand for transit facilities generated by that development. It provides funds for these capacity improvements to county and city arterials, certain collectors, and certain state and transit facilities as listed in the County’s Capital Improvements Project List. The TDT is categorized as an Improvement Fee: revenue must be dedicated to capital improvements that expand capacity and may not be used for maintenance, repair, or other non-capital improvements. In May 2006, Tigard voters approved the formation of an Urban Renewal District encompassing the downtown and surrounding areas. With the formation of this district, future increases in property tax revenues from property within the district, called tax increment, will provide an important source of funding for a number of needed capital projects. 2011 – 2016 Ca pital Improvement Plan | 60 JULY  Capital needs assessment developed from Master Plans or existing CIP AUGUST  Kick-off meeting with departments  Departments submit project lists to Engineering SEPTEMBER  Public comment period (September–October) includes project nominations  Public project nominations submitted to Engineering  Public Works evaluates project lists and prepares CIP project request forms OCTOBER  Public Works prepares project list to be ranked NOVEMBER  CIP team and citizen committees prioritizes projects on ranking criteria  Prioritized project list presented to city manager DECEMBER  Public Works updates the initial list of CIP projects with new projects and submits it to Finance  CIP team evaluates and ranks projects JANUARY  Public Works provides fial CIP project list to Finance FEBRUARY  Neighborhood Network open house – CIP and process  Meet with city manager on Proposed Budget/CIP APRIL  Final revisions completed to CIP Plan and is published with the Proposed Budget  CIP is approved by Budget Committee JUNE  CIP adopted by City Council Capital Improvement Program Process 2011 – 2016 Ca pital Improvement Plan | 61 table continued... Internal Costs Unfunded Projects Project Name Land/ROW Acquisition Design & Engineering Construction Environmental Project Management Construction Management Public Involvement TOTALS General Facilities Expand City Hall into Police Facility 0 $316,154 $2,107,692 0 $105,385 $210,769 0 $2,740,000 New Police Facility 1,035,927 $1,672,962$12,649,431 0 $297,680 $2,000,000 0 $17,656,000 New Public Works Yard/ Decommission Ash Street Yard $3,500,000$1,215,000$8,101,000 0 $125,000$810,000 0 $13,751,000 Relocate Police to Intermediate Facility at Water Building $435,000 $702,500 $4,401,500 0 $125,000$1,750,000 0 $7,414,000 Police Department Exterior Walls 0 0 $412,081 0 0 0 0 $412,081 Parks System Fanno Creek Trail – Bridge Replacement (CWS Remeander)0 $29,470 $235,600 0 $10,000$40,000 0 $315,070 Fanno Creek Trail – Woodard Park to Grant Street 0 $25,000 $560,000 0 $21,000$10,000 0 $616,000 Senn Park 0 $7,708 $135,000 0 $42,000 0 0 $184,708 Westside Trail (T10)$2,100,000$320,000$2,457,000 0 $42,000$78,000 0 $4,997,000 Fanno Creek Park – Plaza $2,100,000$320,000$2,457,000 0 $42,000$78,000 0 $4,997,000 Fanno Creek Trall – Bonita Road/74th Avenue to Cook Park $40,000$40,000$650,000 0 $20,000$60,000 0 $810,000 Tigard Triangle Area (P3)0 $80,000 $176,300 0 $32,000 0 0 $288,300 Jack Park Extension $400,043 $80,000 $176,300 0 $32,000 0 0 $688,343 Paci fi c Highway at Hall Boulevard Gateway 0 $35,000$225,000 0 $21,000 0 0 $281,000 Cach Community Park 0 $40,000$401,000 0 $75,000$40,000 0 $556,000 Bonneville Power Admin Trail $45,000 $26,500 $65,000 0 $5,000$5,000 0 $146,500 Fanno Creek Trail – Railroad ROW Loop $2,146 $44,000 $550,000 0 $10,000$10,000 0 $616,146 Brown Property Trail 0 $70,260 $505,780 0 $15,000$15,000 0 $606,040 External Costs 2011 – 2016 Ca pital Improvement Plan | 62 table continued... Unfunded Projects Internal Costs Project Name Land/ROW Acquisition Design & Engineering Construction Environmental Project Management Construction Management Public Involvement TOTALS Parks System Proposed Trail Corridor (T4)0 0 $200,000 0 0 0 0 $200,000 Fanno Creek Park – Gateway 0 $85,000$765,000 0 0 0 0 $850,000 Fanno Creek Park – Reconstruction of other paths and bridges 0 $394,844 $1,847,350 0 $50,000 0 0 $2,292,194 Street System Walnut Street Complete Street – 116 th Avenue to Tiedeman Avenue 0 $400,000$2,161,000 0 $84,000 0 0 $2,645,000 Walnut Street Complete Street – Tiedeman Avenue to Paci fi c Highway $1,500,000$300,000$3,001,000 0 $84,000$250,000 0 $5,135,000 121 st Avenue Complete Street – Whistler Loop to Tippitt Street 0 $75,000$1,001,000 0 $37,500 $100,000 0 $1,213,500 Paci fi c Highway/Dartmouth Street $1,000,000$450,000$6,000,000 0 $50,000$500,000 0 $8,000,000 Citizen Request – Scof fi ns Street/Hall Boulevard/Hunziker Street Realignment 0 $175,000$4,700,000 0 $84,000$125,000 0 $5,084,000 Main Street Phase II $100,000$121,000$580,000 0 $73,600 $60,000 0 $934,600 Paci fi c Highway/72 nd Avenue $200,000$140,000$1,600,000 0 $50,000$120,000 0 $2,110,000 Hall Boulevard/McDonald Street Intersection Improvement $75,000$75,000$250,000 0 $42,000$50,000 0 $492,000 Tiedeman Avenue/North Dakota Street/ Tigard Street Realignment $2,000,000$799,000$6,001,000 0 $200,000$500,000 0 $9,500,000 Commercial Street – Lincoln Street to Main Street 0 $45,000$1,200,500 0 $31,000$130,000$50,000 $1,456,500 Citizen Request – Ash Street crossing of the WES Rail Line $2,000,000$250,000$1,000,000 0 $100,000$150,000 0 $3,500,000 135 th Avenue/Walnut Street Intersection Improvement 0 $50,000$351,000 0 $50,000$50,000 0 $501,000 Frewing Street Sidewalks 0 $20,000$200,000 0 $20,000$20,000 0 $260,000 External Costs 2011 – 2016 Ca pital Improvement Plan | 63 Unfunded Projects Internal Costs Project Name Land/ROW Acquisition Design & Engineering Construction Environmental Project Management Construction Management Public Involvement TOTALS Street System 100 th Avenue Improvements – Sattler Street to Lady Marian Drive 0 $40,000$225,000 0 $40,000$120,000 0 $425,000 72 nd Avenue Improvements – Bonita Road to Hunziker Street $2,000,000$300,000$8,001,000 0 $84,000$120,000 0 $10,505,000 72 nd Avenue Improvements – Hunziker Street to Dartmouth Street $2,000,000$400,000$6,000,000 0 $84,000$120,000 0 $8,604,000 121 st Avenue Improvements – Walnut Street to North Dakota Street $300,000$75,000$1,000,000 0 $42,000$100,000 0 $1,517,000 Greenburg Road Improvements at Cascade Avenue $100,000$110,000 $333,000 0 $70,800 $60,000 0 $673,800 Tigard Triangle LID 0 $167,242 $2,154,503 0 $55,200 $125,000 0 $2,501,945 Citizen Request – Pedestrian/Bike bridge along railroad tracks 0 0 0 0 0 0 0 0 Citizen Request – Tunnel/Connector to Tigard Street Trail at 95 th Place 0 0 0 0 0 0 0 0 Citizen Request – Sidewalks at Greenburg Road and North Dakota Street 0 0 0 0 0 0 0 0 Burnham Street Public Parking Lot 0 0 $80,000 0 0 0 0 $80,000 North Dakota Street Bridge Replacement 0 $200,000$2,000,000 0 $63,000$200,000 0 $2,463,000 Tigard Street Bridge Replacement 0 $200,000$2,000,000 0 $63,000$200,000 0 $2,463,000 Water System Annual Fire Flow Improvement Allocation 0 0 $290,000 0 $10,000 0 0 $300,000 Aquifer Storage & Recovery Well #4 0 $804,000 $2,231,000 0 $50,000$200,000 0 $3,285,000 Pipeline connecting 550G Zone to 530 Zone 0 $196,700 $1,770,300 0 0 0 0 $1,967,000 Sanitary Sewer System 72 nd Avenue Sewer Replacement – Bonita Road 0 $10,000$100,500 0 $10,000$10,000 0 $130,500 Storm System Slope Stabilization – Derry Dell at 118th Avenue 0 $50,000$200,500 0 $10,000$20,000 0 $280,500 External Costs 2011 – 2016 Ca pital Improvement Plan | 64 5-year Summary Report by Fund FY 2011-16 Capital Improvement Program 5-Year Summary Report By Fund Project Name General Fund 100 Gas Tax Fund 200 Urban Forestry Fund 260 Sanitary Sewer Fund 500 Stormwater Fund 510Water Fund 530 Transportation Development Tax 405 Traffic Impact Fee Fund 410 Underground Utilities Fund 411 Parks Capital Fund 420Parks Bond Fund 421Parks SDC Fund 425 City Gas Tax 205 Facilities Fund 400 Street Maintenance Fund 412 Water Quality/Quantity Fund 511 Water SDC Fund 531 Water CIP Fund 532 Urban Renewal Capital Projects 940 Funding Paid By Other Jurisdictions** Total Streets System 72nd Avenue/Dartmouth Street Intersection Improvement 500,000 $ 500,000 $ Citywide Sidewalk and Pedestrian Improvements 705,000 $ 705,000 $ Crosswalk Beacon Upgrade 75,000 $ 75,000 $ Main Street/Green Street Retrofit 384,946 $ 240,000 $ 2,809,125 $ 3,434,071 $ Pacific Highway/Gaarde Street/McDonald Street Improvements 1,029,387 $ 7,691,888 $ 8,721,275 $ Pavement Management Program 7,577,000 $ 7,577,000 $ Utility Undergrounding 450,000 $ 450,000 $ Streets System Totals -$ 1,164,946 $ -$ -$ -$ 240,000 $ 1,029,387 $ 500,000 $ 450,000 $ -$ -$ -$ -$ -$ 7,577,000 $ -$ -$ -$ -$ 10,501,013 $ 21,462,346 $ Water System Water Meter Replacement Program 1,000,000 $ 1,000,000 $ Water Main Line Oversizing 850,000 $ 850,000 $ Aquifer Storage & Recovery Well # 3 2,736,000 $ 2,736,000 $ 550' Zone Improvements (10 MG Transfer Pump Station Upgrade)732,866 $ 732,866 $ Lake Oswego - Tigard Water Partnership 114,783,000 $ 114,783,000 $ Sherwood Partnership 4,333,333 $ 4,333,333 $ Water Line Replacement Program 548,800 $ 548,800 $ Fire Hydrant Replacements Program 500,000 $ 500,000 $ New Pump Station to Reservoir #2 1,720,000 $ 1,720,000 $ Water System Totals -$ -$ -$ -$ -$ 732,866 $ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 126,471,133 $ -$ -$ 127,203,999 $ Parks System East Butte Heritage Park Development 215,700 $ 143,800 $ 359,500 $ Fanno Creek House 75,000 $ 75,000 $ Tree Canopy Replacement Program 750,000 $ 750,000 $ Entryway Monuments 247,389 $ 247,389 $ Fanno Creek Trail-Main Street to Grant Street 75,000 $ 25,000 $ 100,000 $ Park Land Acquisition 3,025,000 $ 1,000,000 $ 4,025,000 $ Park Land Development 3,060,000 $ 1,000,000 $ 4,060,000 $ Parks System Development Charge Update 16,000 $ 16,000 $ Downtown Land Acquisition 1,360,000 $ 1,360,000 $ Downtown Park Improvements 340,000 $ 100,000 $ 440,000 $ Parks System Totals 613,089 $ -$ 750,000 $ -$ -$ -$ -$ -$ -$ -$ 7,785,000 $ 2,284,800 $ -$ -$ -$ -$ -$ -$ -$ -$ 11,432,889 $ Storm System 103rd Avenue & McDonald Storm System Improvement 190,500 $ 190,500 $ Copper Creek Bank Stabilization 174,667 $ 174,667 $ Culvert Improvements - Walnut Street (DerryDell/Fanno Creek)268,214 $ 268,214 $ Greenfield Storm Drain Replacement 132,000 $ 132,000 $ Storm Drainage Major Maintenance 300,000 $ 300,000 $ Storm Facility Replacement (Greenfield Drive near Pine View)90,500 $ 90,500 $ Storm System Totals -$ -$ -$ -$ 1,155,881 $ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 1,155,881 $ Sanitary Sewer System Citywide Sanitary Sewer Extension Program 1,068,500 $ 1,068,500 $ Sanitary Sewer Major Maintenance Program 500,000 $ 500,000 $ Fanno Creek Slope Stabilization (Arthur Court)381,859 $ 381,859 $ Community Tree Planting 70,000 $ 70,000 $ Tree Planting Summer Creek - 116th Avenue to 113th Place 44,000 $ 44,000 $ Tree Planting-Summer Creek (121st Avenue to Mary Woodward Elementary)44,000 $ 44,000 $ Benchview Creek Sewer Stabilization 550,500 $ 1,200,000 $ 1,750,500 $ Dartmouth Street Sewer Repair 290,000 $ 290,000 $ Sewer Rehabilitation Program 5,299,998 $ 5,299,998 $ Derry Dell Creek & Sewer Interceptor Relocation 1,105,000 $ 1,105,000 $ Main Street Sewer/Fanno Creek Crossing Elimination 186,000 $ 186,000 $ 128th Ave/Shore Dr Sewer Replacement 765,500 $ 765,500 $ East Tigard Sewer Replacement 366,000 $ 366,000 $ Sanitary Sewer System Totals -$ -$ -$ 10,671,357 $ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 1,200,000 $ -$ -$ -$ -$ 11,871,357 $ Facilities System Permit Center/Police/City Hall Exterior Walls 1,383,243 $ 1,383,243 $ Campus Parking 421,500 $ 421,500 $ Facilities System Totals 1,804,743 $ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 1,804,743 $ 2,417,832 $ 1,164,946 $ 750,000 $ 10,671,357 $ 1,155,881 $ 972,866 $ 1,029,387 $ 500,000 $ 450,000 $ -$ 7,785,000 $ 2,284,800 $ -$ -$ 7,577,000 $ 1,200,000 $ -$ 126,471,133 $ -$ 10,501,013 $ 174,931,215 $ 2011 – 2016 Ca pital Improvement Plan | 65 table continued... All Ranked Projects Rank Funded Project Name Comments Total Project Cost Street System 0 Yes Citywide Sidewalk & Pedestrian Improvements (Local Match) Project complies with ORS 366.514 (3) that requires 1% of Gas Tax Funds be used for sidewalks and pedestrian walkway improvements. $846,000 0 Yes Main Street/Green Street Retro fi t Federal funding provided in the amount of $2,809,125.$680,246 0 Yes Pavement Management Program Program funded by Street Maintenance Fees.$8,459,144 1 No Walnut Street Complete Street – 116 th Avenue to Tiedeman Street Project delayed outside of 5-year forecast due to loss of federal funding.$2,645,000 2 Yes Paci fi c Highway/Gaarde Street/McDonald Street Improvements Federal funding provided in the amount of $7,691,888.$1,029,387 3 No North Dakota Street Bridge Replacement Project quali fi es for State Bridge Replacement Funding through ODOT with 10% city match beginning in FY 2016. $2,423,000 4 No Walnut Street Complete Street – Tiedeman Avenue to Paci fi c Highway Project unfunded due to lack of funding. Project scheduled to begin FY 2016 and quali fi es for federal funding. $5,135,000 5 No 121 st Avenue Complete Street – Whistler Street to Tippitt Street Lack of available funding.$1,213,500 6 No Paci fi c Highway/Dartmouth Street Lack of available funding.$8,000,000 7 No Citizen Request – Scof fi ns Street/Hall Boulevard/Hunziker Street Realignment Lack of available funding.$5,084,000 8 No Tigard Street Bridge Replacement Lack of available funding.$2,463,000 9 No Main Street Phase II Lack of available funding.$934,600 10 No Paci fi c Highway/72 nd Avenue Lack of available funding.$2,110,000 11 Yes 72 nd Avenue/Dartmouth Street Intersection Improvement Project eligible for TIF and TDT funding.$500,000 12 Yes Crosswalk Beacon Upgrade In-expensive project.$75,000 2011 – 2016 Ca pital Improvement Plan | 66 table continued... All Ranked Projects Rank Funded Project Name Comments Total Project Cost 13 No Hall Boulevard/McDonald Street Intersection Improvement Lack of available funding.$492,000 14 No Citizen Request – Sidewalks at Greenburg Road and North Dakota Street Project may be part of a future street improvement $ – 15 No Commercial Street – Lincoln Street to Main StreetLack of available funding.$1,456,500 16 No Citizen Request – Ash Street crossing of the WES rail line Lack of available funding.$3,500,000 17 No 135 th Avenue/Walnut Street Intersection Improvement Lack of available funding.$501,000 18 No Citizen Request – Pedestrian/Bike Bridge along railroad tracks Lack of available funding.$ – 19 No Citizen Request – Tunnel/Connector to Tigard Street Trail at 95 th Place Lack of available funding.$ – N/A No Tiedeman Avenue/North Dakota Street/Tigard Street Realignment Lack of available funding.$9,500,000 N/A No 72 nd Avenue Improvements – Bonita Road to Hunziker StreetLack of available funding.$10,505,000 N/A No 72 nd Avenue Improvements – Hunziker Street to Dartmouth Street Lack of available funding.$8,604,000 N/A No 121 st Avenue Improvements – Walnut Street to North Dakota Street Lack of available funding.$1,517,000 N/A No Frewing Street Sidewalks Lack of available funding.$260,000 N/A No 100 th Avenue Improvements – Sattler Street to Lady Marian Drive Lack of available funding.$425,000 N/A No Greenburg Road Improvements – Cascade AvenueLack of available funding.$673,800 N/A No Tigard Triangle LID Lack of available funding.$2,501,945 New No Burnham Street Public Parking Lot Lack of available funding.$80,000 New Yes Utility Undergrounding Project funded by Underground Utility Fund.$450,000 Total Streets $82,104,122 2011 – 2016 Ca pital Improvement Plan | 67 table continued... All Ranked Projects Rank Funded Project Name Comments Total Project Cost Water System 0 Yes Water Main Line Oversizing Lines identi fi ed in Water Distribution System Hydraulic Study.$950,000 0 Yes 550' Zone Improvements – 10 MG Transfer Pump Station Upgrade American Recovery & Reinvestment Act (ARRA) project.$4,890,096 0 Yes Lake Oswego Partnership Project expected to be online by FY 2015.$120,239,960 0 Yes Sherwood Partnership Project funded by Water CIP.$4,333,333 1 Yes New Pump Station to Reservoir 2 Project recommended by Water System Master Plan.$1,720,000 2 No Pipeline Connecting 550G Zone to 530 Zone Project not within 5-year CIP.$1,967,000 3 Yes Aquifer Storage & Recovery Well #3 Project recommended by Water System Master Plan.$2,736,000 4 No Aquifer Storage & Recovery Well #4 Lack of available funding.$3,285,000 5 No Annual Fire Flow Improvement Allocation Program begins in FY 2014.$300,000 6 Yes Water Line Replacement Program Program funded by Water CIP.$548,800 New Yes Water Meter Replacement Program Program recommended by Water Financial Plan.$1,000,000 New Yes Fire Hydrant Replacement Program Program recommended by Water Financial Plan.$500,000 Total Water $142,470,189 Parks System 0 Yes Fanno Creek House Outside to be sought to complete project.$75,000 0 Yes Fanno Creek Trail – Main Street to Grant Street Trail part of Fanno Creek Regional Trail System.$215,000 0 Yes Parks System Development Charge Update Project funded by 100% Parks SDC.$16,000 0 Yes Tree Canopy Replacement Program Program funded by Urban Forestry Fund.$954,500 0 No Cach Community Park (approx. 22 acres)Development to be completed with water tower project.$556,000 2011 – 2016 Capi tal Improvement Plan | 68 table continued... All Ranked Projects Rank Funded Project Name Comments Total Project Cost 1 No Fanno Creek Trail – Bridge Replacement (CWS Remeander)No available funding.$315,070 2 No Tigard Street Trail Land acquisition completed in FY 2011.$1,000,000 3 No Potso Dog Park (NIC) Partnership Land acquisition completed in FY 2011.$625,000 4 Yes East Butte Heritage Park Development Project quali fi es for parks bond proceeds.$359,500 5 No Fanno Creek Park – Reconstruction of other Paths & Bridges Project cannot qualify for Park SDC. General Fund is the only available funding .$2,292,194 6 No Senn Park No available funding.$184,708 7 No Westside Trail (T10)No available funding.$4,997,000 8 No Fanno Creek Park/Plaza No available funding.$4,997,000 9 Yes Summer Creek Park – Restroom & Shelter Project completed in FY 2011.$250,000 10 No Fanno Creek Trail – Bonita Road/74 th Avenue to Cook ParkNo available funding.$810,000 11 No Proposed Trail Corridor (T4)No available funding.$200,000 12 No Tigard Triangle Area (P3)No available funding.$288,300 13 No Jack Park Extension No available funding.$688,343 14 No Fanno Creek Park – Gateway No available funding.$850,000 15 Yes Entryway Monuments Project funds four monuments with in the 5-year CIP.$247,389 N/A No Paci fi c Highway at Hall Boulevard Gateway No available funding.$281,000 N/A No Bonneville Power Admin Trail No available funding.$146,500 N/A No Fanno Creek Trail – Railroad ROW Loop No available funding.$616,146 N/A No Brown Property Trail No available funding.$606,040 N/A No Fanno Creek Trail – Woodard Park to Grant StreetNo available funding.$616,000 New Yes Park Land Acquisition Parks bond project.$13,119,000 New Yes Park Land Development Parks bond project.$4,060,000 New Yes Downtown Land Acquisition Parks bond project.$1,360,000 New Yes Downtown Land Development Parks bond project.$440,000 Total Parks $41,165,690 2011 – 2016 Ca pital Improvement Plan | 69 table continued... All Ranked Projects Rank Funded Project Name Comments Total Project Cost Storm System 0 Yes Storm Drainage Major Maintenance Program funding source from Stormwater Funds.$350,000 0 Yes Culvert Improvements – Walnut Street (Derry Dell/Fanno Creek) Program funding source from Stormwater Funds.$319,336 0 Yes Copper Creek Bank Stabilization Program funding source from Stormwater Funds.$220,750 0 Yes Green fi eld Storm Drain Replacement Program funding source from Stormwater Funds.$188,000 1 Yes Tree Planting Summer Creek – Mary Woodward to Summerlake Project to be completed in FY 2011.$55,000 2 Yes Storm Facility Replacement – Green fi eld Drive near Pin View Program funding source from Stormwater Funds.$90,500 3 No Slope Stabilization – Derry Dell at 118 th Avenue No available funding.$280,500 New Yes 103 rd Avenue & McDonald Street Storm System Improvement Program funding source from Stormwater Funds.$190,500 Total Storm Water $1,694,586 Sanitary Sewer System 0 Yes Citywide Sanitary Sewer Extension Program Program expected to be completed in FY 2015.$1,643,284 0 Yes Sanitary Sewer Major Maintenance Program Funded by Sanitary Sewer Fund.$500,000 0 Yes Fanno Creek Slop Stabilization (Arthur Court)Funded by Sanitary Sewer Fund.$424,264 0 Yes Community Tree Planting Moved from Storm System $70,000 0 Yes Tree Planting Summer Creek – 116 th Avenue to 113 th Place Moved from Storm System $44,000 0 Yes Tree Planting Summer Creek – 121 st Avenue to Mary Woodward Moved from Storm System $44,000 1 Yes Derry Dell Creek & Sewer Interceptor Relocation Funded by Sanitary Sewer Fund.$1,105,000 2 Yes Main Street Sewer/Fanno Creek Crossing EliminationFunded by Sanitary Sewer Fund.$186,000 2011 – 2016 Ca pital Improvement Plan | 70 All Ranked Projects Rank Funded Project Name Comments Total Project Cost 3 Yes 128 th Avenue/Shore Drive Sewer Replacement Project recommended by Sanitary Sewer Master Plan.$765,500 4 No 72 nd Avenue Sewer Replacement – Bonita Road Project recommended by Sanitary Sewer Master Plan.$130,500 5 No Shore Drive Sewer Replacement Project combined with 128 th Avenue Sewer Replacement $ – 6 Yes East Tigard Sewer Replacement Project recommended by Sanitary Sewer Master Plan.$366,000 7 Yes Benchview Creek Stabilization Funded by Sanitary Sewer Fund.$1,750,500 New Yes Dartmouth Street Sewer Repair Funded by Sanitary Sewer Fund.$290,000 New Yes Sewer Rehabilitation Program Funded by Sanitary Sewer Fund.$5,299,998 Total Sanitary Sewer $12,619,046 General Facilities System 0 Yes Permit Center/City Hall/Police Exterior Walls Project expected to be completed in FY 2017.$1,383,243 1 No New Public Works Yard/Decommission Ash Street YardNo available funding.$13,751,000 2 No Relocate Police to Intermediate Facility at Water Building No available funding.$7,414,000 3 No New Police Facility No available funding.$17,656,000 4 No Expand City Hall into Police Facility No available funding.$2,740,000 New Yes Campus Parking Project funded by General Fund.$421,500 New No Police Department Exterior Walls No available funding; project would occur in FY 2017.$412,081 Total General Facilities $43,777,824 * The number "0" denotes project is in-progress. * N/A denotes that projects were from past CIP lists and were added after the FY 2011–16 projects were ranked.