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Ordinance No. 15-08 CITY OF TIGARD, OREGON TIGARD CITY COUNCIL ORDINANCE NO. 15- O S AN ORDINANCE REPEALING ORDINANCE NO. 95-28 AND 93-33 IN THEIR ENTIRETY AND ADOPTING A METHODOLOGY AND OTHER PROVISIONS RELATING TO THE IMPOSITION AND COLLECTION OF SYSTEM DEVELOPMENT CHARGES FOR TRANSPORTATION FACILITIES AND REPLACING TMC 3.24. " oto 4irrLQ WHEREAS,the City has commissioned and authorized the preparation of a methodology for calculation of transportation related system development charges (SDCs) for the City of Tigard, resulting in a new"Parks SDC Methodology Report" and "Transportation SDC Methodology Report," ;and WHEREAS,the City intends to use its transportation SDCs as a way to balance the capital funding needed for improved transportation facilities between existing residents and future residents of this community,and, WHEREAS,the City Council desires to adopt a revised and updated system development charge program that reflects the current requirements and authorizations of ORS 223.297 through 223.314. NOW,THEREFORE,THE CITY OF TIGARD ORDAINS AS FOLLOWS: SECTION 1: TMC 3.24 set by Ordinance No. 95-28 and 93-33 are hereby repealed in their entirety SECTION 2: The System Development Charge program in Exhibit A is hereby adopted pursuant to ORS 223.297 through 223.314 and replaces TMC 3.24. SECTION 3: 23e-mks-SAEtlied6F.@porr;n FY1,; Bic R-e U Ise d SECTION 4: The Transportation SDC Methodology Report in Exhibit Cis adopted. SECTION 5: This ordinance shall be effective on July 1, 2015 after its passage by the council,signature by the mayor,and posting by the city recorder. ORDINANCE No. 15-08 Page 1 PASSED: By &A41UMd d-- vote of allcouncil members presen%afterbeig read by number and title only,this ?R 5'�- day of , 2015. Carol A Krager,GtyRecordeV APPROVED: By Tigard City Council this 2$ kday of -�2/1.1�C ,2015. ;on . Snider, Council President Approved as to form: r Attorney 2J Date ORDINANCE No. 15-O8 Page 2 Exhibit A System Development Charge Program Sections 3.24.010 Purpose 3.24.020 Scope 3.24.030 Definitions 3.24.040 System Development Charge Established 3.24.050 Methodology 3.24.060 Authorized Expenditures 3.24.070 Expenditure Restrictions 3.24.080 Capital Improvement Plan 3.24.090 Collection of Charge 3.24.100 Installment Payments 3.24.110 Exemptions 3.24.120 Credits 3.24.130 Notice 3.24.140 Segregation and Use of SDC Revenue 3.24.150 Appeals and Procedure 3.24.160 Prohibited Connection 3.24.170 Penalty 3.24.180 Severability 3.24.190 Effective Date 3.24.010 Purpose A. This ordinance is intended to implement the authority provided by ORS 223.297 through 223.314 adopting and imposing system development charges (SDC) for capital improvements for the purpose of creating a fund to pay for the installation, construction, extension, and expansion of capital improvements. The purpose of the system development charge is to impose a portion of the cost of capital improvements for water, wastewater drainage, streets, flood control, and parks upon those developments and redevelopments that create the need for or increase the demands on the system. ORDINANCE No. 15- Page 3 3.24.020 Scope A. The SDC created and imposed by this ordinance is separate from, and in addition to, any applicable tax, assessment, charge, fee in lieu of assessment, or fee otherwise provided by law or imposed as a condition of development. 3.24.030 Definitions For purposes of this Ordinance, the following definitions apply: A. "Accessory dwelling unit" means a second residential dwelling unit created on a single lot with a single-family or a manufactured housing dwelling unit. The second unit is created auxiliary to, and is always smaller than, the single family or manufactured housing residential dwelling unit. B. "Administrator" means that person, or persons, appointed by the City to manage and implement the SDC program or portions thereof. C. "Applicant" means the person who applies for a building permit. D. 'Building Official" means that person, or designee, certified by the State and designated as such to administer the State Building Codes for the City. E. 'Building Permit" means that permit issued by a Building Official pursuant to the State of Oregon Structural Specialty Code Section 301 or as amended, and the State of Oregon One and Two Family Dwelling Code Section R-109 or as amended. In addition,"Building Permit" shall mean a Manufactured Home Installation Permit issued by the Building Official, relating to the placement of manufactured homes in the City. F. "Capital Improvements"means facilities or assets used for the following: 1. Water supply, treatment, distribution, or any combination; 2. Sewage and wastewater collection, transmission, and disposal; 3. Drainage or flood control; 4. Transportation; or 5. Parks and Recreation. G. "Capital Improvements Plan" also called the CIP, means the City program that identifies facilities and improvements projected to be funded, in whole or in part, with SDC revenues. H. "City" means the City of Tigard, Oregon. 1. "Condition of Development Approval" is any requirement imposed on an Applicant by the City, a City or County land use or limited land use decision, or site plan approval. J. "Construction Cost Index" means the Engineering News Record (Seattle) Construction Cost Index. K. "County" means Washington County, Oregon. ORDINANCE No. 15-0 Page 4 L. "Credit" means the amount by which an Applicant may be able to reduce the SDC fee as provided in this Ordinance. M. "Development" means a building or other land construction, or making a physical change in the use of a structure or land, in a manner which increases the usage of capital improvements or which may contribute to the need for additional or enlarged capital facilities. N. "Duplex" means two attached single-family dwelling units on a single lot. O. "Improvement Fee" means a fee for costs associated with capital improvements to be constructed after the effective date of this ordinance. P. "Multi-Family Housing" means three or more attached residential dwelling units located on a single lot. Q. "New Development" means development for which a Building Permit is required. R. "Over-capacity" means that portion of an improvement that is built larger or with greater capacity than is necessary to serve the Applicant's New Development or mitigate for system impacts attributable to the Applicant's New Development. S. "Permit" means a Building Permit. T. "Permittee"means the person to whom a building permit, development permit, a permit or plan approval to connect to the sewer or water system, or right-of-way access permit is issued. U. "Previous use" means the most intensive use conducted at a particular property within the past 18 months prior to the date of application for a building permit. Where the site was used simultaneously for several different uses (mixed use) then, for the purposes of this Ordinance, all of the specific use categories shall be considered. Where the previous use is composed of a primary use with one or more ancillary uses that support the primary use and are owned and operated in common, that primary use shall be deemed to be the sole use of the property for purposes of this Ordinance. V. "Proposed use"means the use proposed by the Applicant for the New Development. Where the Applicant proposes several different uses(mixed use) for the New Development then, for purposes of this Ordinance, all of the specific use categories shall be considered. Where the proposed use is composed of a primary use with one or more ancillary uses that support the primary proposed use and are owned and operated in common, that primary use shall be deemed to be the sole proposed use of the property for purposes of this Ordinance. W. "Qualified Public Improvement" means any system capital facility or conveyance or an interest in real property that increases the capacity of the City's System and is: 1. Required as a condition of development approval; 2. Identified as a need in the SDC Methodology Report; and ORDINANCE No. 15-016 Page 5 3. Not located on or contiguous to property that is the subject of development approval, or 4. Located in whole or in part on or contiguous to property that is the subject of development approval and, in the opinion of the Administrator, is required to be built larger or with greater capacity (over-capacity) than is necessary for the Applicant's New Development or mitigate for system impacts attributable to the Applicant's New Development. There is a rebuttable presumption that improvements built to the City's minimum standards are required to serve the Applicant's New Development and to mitigate for system impacts attributable to the Applicant's New Development. X. "Reimbursement Fee" means a fee for costs associated with capital improvements that have been constructed or were under construction prior to the effective date of this ordinance. Y. "Remodel" or"remodeling" means to alter, expand or replace an existing structure. Z. "Residential Dwelling Unit" means a building or a portion of a building consisting of one or more rooms, which include sleeping, cooking, and plumbing facilities and are arranged and designed as permanent living quarters for one family or household. AA. "Row house" means an attached single-family residential dwelling unit on a single lot. BB. "Single-family dwelling unit" means one detached residential dwelling unit, or one-half of a duplex, or one row house. CC. "Parks SDC Methodology Report" means the report entitled Parks and Recreation System Development Charge Methodology Report, dated April 27, 2015. DD. "Transportation SDC Methodology Report" means the report entitled Transportation System Development Charge Methodology Report, dated April 27, 2015. EE."SDC Administration Procedures Guide"means that report entitled System Development Charges Administration Procedures Guide, dated April 27, 2015. 3.24.040 Systems Development Charge Established A. SDCs shall be established and may be revised from time to time by resolution of the council. The resolution shall set the amount of the charge, the type of permit to which the charge applies, the methodology used to set the amount of the charge, and if the charge applies to a geographic area smaller than the entire city, the geographic area subject to the charge. ORDINANCE No. 15- p$ Page 6 B. Unless otherwise exempted by the provisions of this ordinance or any other applicable local or state law, a SDC is hereby imposed upon all development within the city. SDCs are imposed upon the act of making a connection to the City water or sewer system within the City, upon all development outside the boundary of the City that connects to or otherwise uses the sewer or water facilities of the City, and whenever the City Council has authorized an intergovernmental agreement which permits the City to impose a parks SDC outside the City limits. 3.24.050 Methodology A. The methodology used to establish the reimbursement fee shall be based on ratemaking principles employed to finance publicly owned capital improvements, prior contributions by then-existing users, gifts or grants from federal or state government or private persons, the value of unused capacity available to future system users or the cost of the existing facilities, and other relevant factors identified by the city council. The methodology shall promote the objective that future systems users shall contribute no more than an equitable share of the cost of then-existing facilities and shall be available for public inspection. B. The methodology used to establish the improvement fee shall consider the projected cost of capital improvements identified in the plan and list adopted pursuant to Section 3.24.080 that are needed to increase the capacity of the systems to which the fee is related and for which the need for increased system capacity will be required to serve the demands placed on the system by future users. Improvement fees shall be calculated to obtain the cost of capital improvements for the projected need for available system capacity for future users. C. The methodology shall also provide for periodic indexing of system development charges for inflation, as long as the index used satisfies the following criteria: 1. "(A) A relevant measurement of the average change in prices or costs over an identified time period for materials, labor, real property or a combination of the three; 2. (B)Published by a recognized organization or agency that produces the index or data source for reasons that are independent of the system development charge methodology; and 3. (C) Incorporated as part of the established methodology or identified and adopted in a separate ordinance, resolution or order." D. Except when authorized in methodology adopted under subsection 3.24.050, any fees imposed or required to be paid, assessed, or collected as part of a local improvement district or a charge in lieu of a local improvement district assessment,or the cost of complying with requirements or conditions imposed by a land use decision are separate from and in addition to the SDC and shall not be used as a credit against an SDC. ORDINANCE No. 15- Page 7 E. The methodology used to establish the improvement fee or the reimbursement fee, or both, shall be adopted by resolution by the council. 3.24.060 Authorized Expenditures A. Reimbursement fees. Reimbursement fees shall be applied only to capital improvements(and not operating expenses) associated with the system for which the fees are associated, including expenditures relating to repayment of indebtedness. B. Improvement Fees. 1. Improvement fees shall be spent only on capacity increasing capital improvements, including expenditures relating to repayment of debt for the improvements. An increase in system capacity may be established if a capital improvement increases the level of performance or service provided by existing facilities or provides new facilities. The portion of the improvements funded by improvement fees must be related to the need for increased capacity to provide service for future users. 2. A capital improvement being funded wholly or in part from revenues derived from the improvement fee shall be included in the plan adopted by the city pursuant to Section 3.24.080. 3. Notwithstanding subsections 3.24.060.B.1 and .2, SDC revenues may be expended on the costs of complying with the provisions of this Chapter, including the costs of developing systems development charge methodologies and providing an annual accounting of systems development charge funds. 3.24.070 Expenditure Restrictions A. SDCs shall not be expended for the following: 1. Costs associated with the construction of administrative office facilities that are more than an incidental part of other capital improvements; or 2. Costs of the operation or routine maintenance of capital improvements. 3.24.080 Capital Improvement Plan A. The council shall adopt a capital improvement plan that: 1. Lists the capital improvements that may be funded with improvement fee revenues; and ORDINANCE No. 15-Q g Page 8 2. Lists the estimated cost,percentage of costs eligible to be funded with revenues from the improvement fee for each improvement, and time of construction; and 3. Describes the process for modifying the plan. If a SDC will be increased by a proposed modification of the list to include a capacity increasing capital improvement, the city shall provide, at least thirty (30) days prior to the adoption of the modification, notice of the proposed modification to the persons who have requested written notice under Section 3.24.130. The city shall hold a public hearing if a written request for a hearing on the proposed modification is received within seven(7) days of the date the proposed modification is scheduled for adoption. 3.24.090 Collection of Charge A. The SDC is payable upon issuance of: 1. A building or construction permit of any kind, including any permit or permits issued in connection with the set-up or installation of any trailer, mobile or manufactured home; 2. A development permit; 3. A development permit for development not requiring the issuance of a building permit; 4. A permit to connect to the sewer system; or 5. A permit to connect to the water system. B. If development is commenced or connection is made to the water system, sewer system, or storm system without an appropriate permit, the SDC shall be immediately due and payable upon the earliest date that a permit was required. C. The Administrator shall collect the applicable SDC from the Permittee. The Administrator shall not issue such permit or allow such connection until the charge has been paid in full,or unless an exemption is granted pursuant to Section 3.24.110, or unless provision for installment payments has been made, pursuant to Section 3.24.100, which follows. 3.24.100 Installment Payment A. When a SDC is due and payable, the Permittee may apply for payment in twenty (20) semi-annual installments, secured by a lien on the property upon which the development is to occur or to which the utility connection is to be made, to include the SDC along with the following: ORDINANCE No. 15-P Page 9 I. Interest on the obligation at the rate stated in the city's Master Fees and Charges. If no rate is set,then the interest on the obligation will default to prime rate as published by the Wall Street Journal the day of application plus 4%; 2. Any and all costs, as determined by the Administrator, incurred in establishing payment schedules and administering the collections process; B. The intent of this section is to recognize that the payment of an SDC by installments increases the administrative expense to the city. It is the intent of this subsection to shift that added expense to the applicant, so that the city will not lose SDC revenue by accepting installment payments on such charges. Subject to the provisions of this section, all costs added to the SDC will be determined by the Administrator. C. An Applicant requesting installment payments shall have the burden of demonstrating the Applicant's authority to assent to the imposition of a lien on the property and that the interest of the Applicant is adequate to secure payment of the lien. D. The Administrator shall docket the lien in the lien docket. From that time, the City shall have a lien upon the described parcel for the amount of the SDC together with the costs in paragraph 3.24.100.A.I and .2. The lien shall be enforceable in the manner provided in ORS Chapter 223, and shall be superior to all other liens pursuant to ORS 223.230. 3.24.110 Exemptions A. The following are exempt from a SDC. 1. Structures and uses established and existing on or before the effective date of the resolution which sets the amount of the SDC are exempt from the charge, except water and sewer charges, to the extent of the structure or use existing on that date and to the extent of the parcel of land as it is constituted on that date. Structures and uses affected by this subsection shall pay the water or sewer charges pursuant to the terms of this Chapter upon the receipt of a permit to connect to the water or sewer system. 2. Additions to single-family dwellings that do not constitute the addition of a dwelling unit, as defined by the Building Code adopted pursuant to Section 14.04 of this Code, are exempt from all portions of the SDC. 3. An alteration, addition, replacement or change in use that does not increase the parcel's or structure's use of a capital improvement are exempt from all portions of the SDC. ORDINANCE No. 15-Q g Page 10 3.24.120 Credits A. A SDC shall be imposed when a change of use of a parcel or structure occurs, but credit shall be given in an amount equal to the existing SDC as applied to the pre- existing type and level use. The credit so computed shall not exceed the calculated SDC. No refund or credit shall be made on account of such credit. B. An improvement fee credit shall be given for the cost of a bonded or completed qualified public improvement associated with a development upon acceptance by the City of the improvement, subject to the following conditions: 1. Such credit shall be only for the improvement fee charged for the type of improvement being constructed, and credit for qualified public improvements under Subsection 3.24.030.W may be granted only for the actual, estimated, or agreed-upon cost of that portion of such improvement that exceeds the city's minimum standard facility size or capacity needed to serve the particular development property or project. The applicant shall have the burden of demonstrating that a particular improvement qualifies as a Subsection 3.24.030.W qualified public improvement. The request for credit shall be filed in writing no later than sixty(60) days after acceptance of the improvement by the City. 2. When the construction of a qualified public improvement gives rise to a credit amount greater than the improvement fee that would otherwise be levied against the project receiving development approval, the excess credit may be applied against improvement fees that accrue in subsequent phases of the original development project, if any. C. Credits shall be used within ten(10) years from the date the credit is given, after which the credit shall expire, and be null and void, without the need for the city to take any further action. D. Credit shall not be transferable from one type of capital improvement to another. E. Credits may be transferable from one development to another. F. Credits for any SDC, or for the Washington County Transportation Development Tax, shall only be used for obligations relating to the charge and capital improvement type for which the credit was issued. 3.24.130 Notice A. After the effective date of this ordinance, the city shall maintain a list of persons who have made a written request for notification prior to adoption or amendment of a methodology for any SDC. Written notice shall be mailed to persons on the list at least ninety(90)days prior to the first hearing to establish or modify a SDC, and the methodology supporting the adoption or amendment shall be available at least sixty(60) days prior to the first hearing to adopt or amend. The failure of a person on the list to receive a notice that was mailed shall not invalidate the city's subsequent action. ORDINANCE No. 15- 08 Page 11 B. The city may periodically delete names from the list, but at least thirty(30) days prior to removing a name from the list the city must notify the person whose name is to be deleted that a new written request for notification is required if the person wishes to remain on the notification list. C. A change in the amount of a reimbursement fee or an improvement fee is not a modification of the SDC methodology if the change in amount is based on a change in cost of materials, labor or real property applied to projects or project capacity as set forth on the list adopted pursuant to Section 3.24.080 or the periodic application of one or more specific cost indices published by a recognized organization or agency and is incorporated as part of the established methodology or identified and adopted in a separate ordinance, resolution, or order. 3.24.140 Segregation and Use of SDC Revenue A. All funds derived from a particular type of SDC are to be segregated by accounting practices from all other funds of the city. That portion of the SDC calculated and collected on account of a specific facility system shall be used for no purpose other than those set forth in this Chapter. B. The Administrator shall provide an annual accounting of SDCs showing the total amount of system development charge revenues collected for each type of facility and the projects funded from the account. 3.24.150 Appeals and Procedure A. A person aggrieved by a decision required or allowed to be made by the city recorder under this ordinance or a person challenging the propriety of an expenditure of SDC revenues may appeal the decision or the expenditure to the City Council by filing a written request with the Administrator describing with particularity the decision of the Administrator or the expenditure from which the person appeals. B. Appeal of an Expenditure: An appeal of an expenditure must be filed within two (2) years of the date of the alleged improper expenditure. The council shall determine whether the Administrator's decision or the expenditure is in accordance with this ordinance and the provisions of ORS 223.297 to 223.314 and may affirm, modify or overrule the decision. If the Council determines that there has been an improper expenditure of SDC revenues, the council shall direct that a sum equal to the misspent amount shall be deposited within one(1) year to the credit of the account or fund from which it was spent. C. Appeal of an SDC Methodology: Legal action challenging the methodology adopted by the council pursuant to Section 3.24.050 shall not be filed later than sixty (60) days after the date of adoption, and shall be contested according to the ORDINANCE No. 15-0 b Page 12 procedure set forth in ORS 34.010 to 34.100, and not otherwise. D. Appeal of an SDC Calculation or Credit Determination. 1. A person aggrieved by a decision made by the Administrator relating to the calculation of SDCs may file an appeal within ten(10) days of the Administrator's action. 2. Appeals must be made by filing a written request with the Administrator and must include a recommended solution to the issue that has initiated the appeal. 3. Appeals may be filed to challenge only the trip generation rate or land use category that is applicable to the project. 4. The City Council shall consider all appeals and shall render a decision to affirm,modify,or overrule the decision of the Administrator. 5. The City Council's decision shall be made in accord with the intent of the provisions of this ordinance. 3.24.160 Prohibited Connection A. No person may connect to the water or sewer or storm systems of the City unless the appropriate SDC has been paid. 3.24.170 Penalty A. Violation of this Chapter is a Class A infraction punishable by a fine not to exceed $500. 3.24.180 Severability A. The provisions of this ordinance are severable, and it is the intention to confer the whole or any part of the powers herein provided for. If any clause, section, or provision of this ordinance shall be declared unconstitutional or invalid for any reason or cause, the remaining portion of this ordinance shall be in full force and effect and be valid as if such invalid portion thereof had not been incorporated herein. It is hereby declared to be the Council's intent that this ordinance would have been adopted had such an unconstitutional provision had not been included herein. ORDINANCE No. 15-0$ Page 13 Tigard, Oregon TIGARD lZJ2 VIE cd TRANSPORTATION SYSTEM DEVELOPMENT CHARGE METHODOLOGY REPORT April 28, 2015 •:;> FCS GROUP Solutions-Oriented Consulting This entire report is made of readily recyclable materials, including the bronze wire binding and the front and back cover,which are made from post-consumer recycled plastic bottles. TIGARD, OREGON Transportation System Development Charge Study April 2015 page i This page intentionally left blank •:;> FCS GRDUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page ii TABLE OF CONTENTS SECTION I: BACKGROUND .......................................................................................................... 1 A. Policy....................................................................................................................................................... 1 B. Project .................................................................................................................................................... 1 SECTION II: METHODOLOGY.......................................................................................................3 A. Reimbursement Fee Cost basis..........................................................................................................3 B. Improvement Fee Cost basis .............................................................................................................3 C. Compliance Fee Cost Basis................................................................................................................3 D. Growth....................................................................................................................................................3 E. Geographic Allocation.......................................................................................................................4 F. Summary................................................................................................................................................4 SECTION III: GROWTH CALCULATION ........................................................................................ 5 A. Relevant Types of Growth ..................................................................................................................5 B. Growth in Trip Ends...............................................................................................................................5 B.l Expected Growth Levels.............................................................................................................5 B.2 Calculating the Eligible SDC Cost Share.................................................................................5 SECTION IV: COST CALCULATION.............................................................................................. 7 A. Reimbursement Fee............................................................................................................................. 7 B. Improvement Fee.................................................................................................................................7 B.l SDC-Eligible Costs ........................................................................................................................8 B.2 Adjustment for SDC Fund Balance...........................................................................................8 B.3 Improvement Fee Summary by District....................................................................................8 C. Compliance Fee Cost Basis................................................................................................................9 D. Summary Calculated SDCs................................................................................................................9 SECTION V: RECOMMENDATIONS ........................................................................................... 10 A. Transportation SDC Calculation...................................................................................................... 10 A.1 Residential SDC Calculation................................................................................................ 10 A.2 Non-Residential SDC Calculation....................................................................................... 10 B. Annual Adjustment............................................................................................................................ 11 C. Credits and Exemptions.................................................................................................................... 11 C.l Credits.......................................................................................................................................... 1 1 C.].a Credit Policy........................................................................................................................ 11 C.2 Exemptions.................................................................................................................................. 12 D. Discounts.............................................................................................................................................. 12 E. Existing and Proposed SDCs............................................................................................................. 12 E.l SDCs with 50% Credit Policy for River Terrace Boulevard................................................... 12 •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page iii APPENDIX..................................................................................................................................... 14 Appendix A-Transportation Capital Project List......................................................................... 15 Appendix B-Capacity Share Assumptions..................................................................................20 Appendix C- Reimbursement Fee Calculation ..........................................................................21 •:; ROUP > FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 1 SECTION I : BACKGROUND This section describes the policy context and project scope upon which the body of this report is based. A. POLICY Oregon Revised Statutes (ORS)223.297 to 223.314 authorize local governments to establish system development charges (SDCs). These are one-time fees on new development, and they are paid at the time of development. SDCs are intended to recover a fair share of the cost of existing and planned facilities that provide capacity to serve future growth. ORS 223.299 defines two types of SDC: • A reimbursement fee that is designed to recover"costs associated with capital improvements already construct, or under construction when the fee is established, for which the local government determines that capacity exists" • An improvement fee that is designed to recover"costs associated with capital improvements to be constructed" ORS 223.304(1) states, in part,that a reimbursement fee must be based on "the value of unused capacity available to future system users or the cost of existing facilities"and must account for prior contributions by existing users and any gifted or grant-funded facilities.The calculation must "promote the objective of future system users contributing no more than an equitable share to the cost of existing facilities." A reimbursement fee may be spent on any capital improvement related to the system for which it is being charged(whether cash-financed or debt-financed) and on the costs of compliance with Oregon's SDC law. ORS 223.304(2) states, in part,that an improvement fee must be calculated to include only the cost of projected capital improvements needed to increase system capacity for future users. In other words, the cost of planned projects that correct existing deficiencies or do not otherwise increase capacity for future users may not be included in the improvement fee calculation. An improvement fee may be spent only on capital improvements (or portions thereof) that increase the capacity of the system for which it is being charged(whether cash-financed or debt-financed) and on the costs of compliance with Oregon's SDC law. B. PROJECT In August 2014, the City of Tigard(City)contracted with FCS GROUP to prepare a new local SDC for transportation facilities that take into account the projects identified in the Tigard Transportation System Plan and the River Terrace TSP Addendum, June 2014. This report documents our findings and recommendations. We approached this project as a series of three steps: •:;>FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 2 • Framework for Charges. In this step, we worked with City staff to identify the approach to be used and the components to be included in the analysis. • Technical Analysis. In this step, we worked with City staff to isolate the recoverable portion of planned facility costs and calculate draft SDC rates. • Draft Methodology Report Preparation. In this step, we documented the calculation of the draft SDC rates included in this report. For analysis purposes, the new Tigard Transportation SDC is intended to be consistent with the River Terrace Funding Strategy, adopted by Tigard City Council in December 2014. This Transportation SDC Methodology Report supports the creation of a special SDC overlay district within the River Terrace Plan District boundary(Exhibit 1.1). Please refer to City of Tigard Community Development Code: Map 18.660 for tax lots that are included in the River Terrace Plan District. With the adoption of this SDC methodology, future development in Tigard would be subject to a citywide SDC and development within River Terrace would also be subject to the River Terrace SDC overlay fee. Exhibit 1.1 f Rivcr Tcrracc Plan District tt 1 1 rWwww/atnan QO 0 no"c+rft.WyVISO Qy 011 y r t ' 1 ' r ' 1 ' r ' t ' r ' t ' 1 t 1 r 1 t / -r 1 ' 1 ' 1 1 t 1 ' SIN BULL MOUNTAIN RD 1 1 1 1 1 t 1 1 • O K C 0 O C O Cr w - ROUP > FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 3 SECTION II : METHODOLOGY This section provides a non-numeric overview of the calculations that result in SDC rates. A. REIMBURSEMENT FEE COST BASIS The reimbursement fee is the cost of available capacity per unit of growth that such available capacity can serve. In order for a reimbursement fee to be calculated, excess transportation infrastructure capacity must be available to serve future growth. For facility types that have no excess capacity, no reimbursement fee may be charged. This analysis uses the original cost of all SDC or Transportation Development Tax(TDT) infrastructure less the amount currently used as the basis for the reimbursement fee. B. IMPROVEMENT FEE COST BASIS The improvement fee is the cost of capacity-increasing capital projects per unit of growth that those projects will serve. Since the capacity added by most projects serves a dual purpose of both meeting existing demand and serving future growth, growth-related costs for each project must be isolated and costs that meet current demand or repair a deficiency must be excluded. We have used the capacity approach to allocate costs to the improvement fee basis. Under this approach, the cost of a given project is allocated to growth in proportion to the growth-related capacity that projects of a similar type will create. The portion of each project that is attributable to growth is determined and the SDC-eligible costs are calculated by dividing the total costs of growth- required projects by the projected increase in demand. C. COMPLIANCE FEE COST BASIS ORS 223.307(5)authorizes the expenditure of SDCs on "the costs of complying with the provisions of ORS 223.297 to 223.314, including the costs of developing system development charge methodologies and providing an annual accounting of system development charge expenditures."To avoid spending monies for compliance that might otherwise have been spent on growth-related projects, this report assumes that compliance costs are equal to 3% of the SDC improvement fee basis. D. GROWTH Growth for SDCs is in units that most directly reflect the source of demand. In the case of transportation, the most applicable unit of growth is trips on the infrastructure. In this methodology we have analyzed growth in terms of average daily person trips (ADPT) and P.M. peak hour vehicle trip ends (PHVT). 4%4 FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 4 E. GEOGRAPHIC ALLOCATION SDCs are often calculated and applied uniformly throughout a municipality, but such uniformity is not a legal requirement.Municipalities can calculate and impose area-specific SDCs. Area-specific SDCs allow a municipality to identify and isolate differential costs to serve particular areas within its jurisdiction. SDCs are calculated separately for each area, and improvement fees must be spent on projects in the improvement fee cost basis for the area in which those improvement fees were earned. Area-specific SDCs can be implemented in two ways. The first way is to divide the municipality into a set of non-overlapping areas. Under this method, the SDCs for a particular area are determined by the assets, projects, and projected growth in that area. The second method is a layered approach. The first layer consists of a citywide SDC based on assets and projects of citywide benefit. The second layer consists of one or more overlays. Each overlay is a separate list of assets and projects that benefit a particular area within the city.Development within an overlay pays both the citywide SDC and the overlay SDC. Development outside of any overlay pays only the citywide SDC. Given the City's desire to isolate the costs of serving certain areas and findings in the River Terrace Funding Strategy adopted by Tigard City Council in December 2014, we recommend(and have calculated in this report)both a citywide SDC and an overlay SDC for River Terrace. F. SUMMARY In general, SDC rates are calculated by adding the reimbursement fee component,improvement fee component, and compliance cost component. Each component is calculated by dividing the eligible cost by the growth of units of demand. The unit of demand becomes the basis of the charge. Exhibit 2.1 shows this calculation in equation format: Exhibit 2.11: SDC Equation Eligible costs of Costs of Eligible costs of SDC per unit of available capacity in + capacity-increasing + complying with = growth in existing facilities capital Oregon SDC demand improvements law Units of growth in demand Section III of this report provides detailed calculations related to growth in demand, which is the denominator in the SDC equation. Section IV of this report provides detailed calculations on eligible costs, which is the numerator in the SDC equation. Section V identifies SDC recommendations. •:;> ROUP FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 5 SECTION III : GROWTH CALCULATION This section provides detailed calculations related to growth in demand, which is the denominator in the SDC equation. A. RELEVANT TYPES OF GROWTH Transportation engineers commonly use peak-hour trip or average person trip estimates to assess transportation performance and determine system needs. This transportation SDC methodology utilizes both average daily person trips(ADPT)and P.M. peak hour vehicle trip ends (PHVT) in the calculation of the SDC fee. ADPTs include vehicle trips on collector and arterial streets and non-motor vehicle trips that utilize bicycle, pedestrian, and transit facilities. The proposed SDC charges provide a PHVT to ADPT conversion factor so that non-residential SDCs can also take into account linked trips for certain types of developments, such as fast food restaurants and fuel stations, which have relatively high rates of linked-trip activity. B. GROWTH IN TRIP ENDS Having established relevance of ADPT and PHVT, we now quantify expected growth rates. B.1 Expected Growth Levels As mentioned above, this methodology utilizes a citywide SDC with a River Terrace overlay. Exhibits 3.1 and 3.2 show the growth in person trips (ADPT)and vehicle trips (PHVT)between now and 2035 for River Terrace and the rest of Tigard. The modeled trip growth forecasts result in a factor of approximately 0.047 for converting average daily person trips (ADPT) into peak hour vehicle trips (PHVT). Conversely, for every 21 average daily person trip-ends that originate or terminate in Tigard (including trips by vehicles,bicycle,pedestrian and transit), there is one P.M peak-hour vehicle trip-end expected (PHVT). B.2 Calculating the Eligible SDC Cost Share The growth share for any project varies by the project type and the percent of the project that serves future growth. See Appendix A for a complete list of projects with the appropriate growth shares. In general, new collector or arterial facilities(including the roadways, bicycle, and pedestrian facilities) that are needed only to serve growth are 100% SDC eligible. Existing roadways and bicycle/pedestrian facilities that are planned for expansion to accommodate growth may only be partially eligible for SDC funding. The share of existing transportation facilities that are planned for capacity upgrades to serve future growth needs varies by type of project and the rubric to determine future growth share is shown in Appendix B. •vo FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 6 Exhibit 3.1: Average Daily Person Trip-End (ADPT) Growth Growth - 2015 2010 2015 2035 to 2035 River Terrace 469 1,083 30,737 29,654 Rest of Tigard 525,451 560,100 733,130 173,030 All Tigard 525,920 561,183 763,867 202,684 Source: Trip growth estimates and forecasts were compiled by DKS Associates using data derived from the Metro Regional Transportation Plan model that's consistent with the River Terrance Community Plan Transportation System Plan Addendum (June 2014). Exhibit 3.2: Ti and Peak-Hour Vehicle Trip-End (PHVT) Growth Growth - 2015 2010 2015 2035 to 2035 River Terrace 63 119 1,536 1,417 Rest of Tigard 28,319 30,019 38,341 8,322 All Tigard 28,382 30,379 39,877 9,498 Source: Trip growth estimates and forecasts were compiled by DKS Associates using data derived from the Metro Regional Transportation Plan model that's consistent with the River Terrance Community Plan Transportation System Plan Addendum (June 2014). •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 7 SECTION IV: COST CALCULATION This section provides detailed calculations on eligible costs, which is the numerator in the SDC equation. A. REIMBURSEMENT FEE As noted in Section II, the reimbursement fee is based on the present value of unused capacity that the City has funded in Tigard. For analysis purposes, we have based the reimbursement SDC cost basis on the actual amount of prior capacity investments the city has made using Transportation Development Tax funds over the past nine fiscal years. The expenditures from previous years have been discounted by the trip growth rate in this report to account for increased use since initial construction. Exhibit 4.1 summarizes the cost basis for the reimbursement fee. Detailed calculations are included in Appendix C. Exhibit 4.1: Reimbursement Fee Basis Calculation CalculationReimbursement Fee Total Capital Project Expenditures $4,955,023 Less Capacity Used Up $369,470 Reimbursement fee basis $4,585,553 Source: City of Tigard, compiled by FCS GROUP. Using the calculated growth in PHVT from the previous section and the reimbursement fee basis, Exhibit 4.2 shows the calculated reimbursement fee. Note that the reimbursement fee is charged irrespective of the SDC overlay district. Exhibit 4.2: Reimbursement Fee Calculation Reimbursement Fee per PMPHT Total Cost of SDC/TDT Capital Project Expenditures $4,585,553 Change in ADPT (2015-2035) 202,684 Reimbursement Fee per ADPT $23 Equivalent Reimbursement Fee per PHVT* $483 Source: Previous tables and Appendix C, compiled by FCS GROUP.*Assumes ADPT to PHVT conversion factor of 21.34 B. IMPROVEMENT FEE City staff identified a list of project needs for the transportation SDC using several sources: • The Tigard Transportation System Plan • The River Terrace Transportation System Plan Addendum • The Metro's Regional Transportation Plan • The Tigard's Capital Improvement Plan •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 8 In addition, the current Transportation Development Tax Road Project List has been considered to ensure that potential SDC project expenditures are not included on the TDT project list as well. Exhibit 4.3 shows a summary list of the Tigard transportation project costs. Overall, the City identified a total need of$625 million. For a detailed list of Tigard transportation projects see Appendix A. Exhibit 4.3: Trans ortation Project Capital Costs, City of Tigard, 2015-2035 (in $1,000s) • - Arterial Collector Bridge Bike/Ped TSM* Total Citywide $479,592 $39,000 $15,000 $34,030 $17,500 $585,122 River Terrace $0 $37,850 $0 $1,800 $0 $40,150 Total $479,592 $76,850 $15,000 $35,830 $17,500 $625,272 Source: City of Tigard, compiled by FCS GROUP. *TSM =transportation system management. B.1 SDC-Eligible Costs Total SDC-eligible costs are a percentage of total projects. The percent of each individual project is calculated and then summed by infrastructure type. Because there is an overlay districts, each project is categorized as either benefitting the overlay district or the entire city. Exhibit 4.4 shows a summary table by SDC overlay and type of transportation costs. See Appendix A for detailed calculations of SDC-eligible costs. Exhibit 4.4: Transportation SDC Project Capital Costs, City of Tigard, 2015-2035(in $1,000s) ProjectArterial Collector Bridge Bike/Ped TSM* Total Citywide $222,818 $19,669 $5,250 $5,911 $13,882 $267,530 River Terrace $0 $14,623 $0 $0 $0 $14,623 Total $222,818 $34,292 $5,250 $5,911 $13,882 $282,153 Source: City of Tigard,compiled by FCS GROUP. *TSM= transportation system management (e.g., traffic signal synchronization and turning movement/access modifications). B.2 Adjustment for SDC Fund Balance There is no existing local transportation SDC in Tigard and therefore no fund balances to consider at this time. B.3 Improvement Fee Summary by District Similar to the reimbursement fee cost basis above, we calculate the improvement fee cost basis by district in PHVT using growth estimates from the previous section and the SDC-eligible projects shown above. Exhibit 4.5 shows the potential improvement fee by district before discounts or adjustments. Exhibit 4.5: SDC Improvement Fee by District SDC Fee Improvement - Equivalent per Single- Calculations •- - SDC-Eligible Growth in Fee per Fee per Family • Project Costs ADPT ADPT PHVT* Residence Citywide base charge $267,530,222 202,684 $1,320 $28,168 $15,924 River Terrace Overlay $14,622,750 29,654 $493 $10,523 $5,949 Total River Terrace SDC $282,152,972 232,339 $1,813 $38,690 $21,873 Source: Previous tables and Appendix, compiled by FCS GROUP. *Assumes ADPT to PHVT conversion factor of 21.34; compiled by FCS Group. •,;r FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 9 C. COMPLIANCE FEE COST BASIS For the purpose of this study, we assume the compliance costs equal 3% of the SDC improvement fee. D. SUMMARY CALCULATED SDCS Exhibit 4.6 shows the calculated SDC per person trip (ADPT) by each fee basis and by district. Note that this is the maximum defensible SDC that Tigard can charge based on forecasted growth in person-trips. Exhibit 4.6: Total SDC per ADPT(SDC per person trip before discounts) SDC Fee Compliance Total per Reimbursement Improvement Fee per SDC per Dwelling Fee per ADPT Fee per ADPT ADPT ADPT Unit Citywide $23 $1,320 $40 $1,382 $16,675 River Terrace Overlay $493 $15 $508 $6,12 River Terrace Total $23 $1,813 $54 $1,890 $22,802 Source: Previous tables and Appendix, compiled by FCS GROUP. Exhibit 4.7 expresses the maximum SDC that Tigard can charge in terms of growth in PA peak- hour vehicle trip-ends (PHVT) by each fee basis and by district. This is also the maximum defensible SDC that Tigard can charge based on vehicle trip growth. Exhibit 4.7: E uivaI nt Total SDC per PHVT(before discounts) Total SDC Fee per Reimbursement Improvement Compliance SDC per Dwelling Fee Fee Fee PHVT Unit Citywide $483 $28,168 $845 $29,495 $16,675 River Terrace Overlay $10,523 $316 $10,839 $6,127 River Terrace Total $483 $38,690 $1,161 $40,334 $22,802 Source: Previous tables and Appendix, compiled by FCS GROUP. *Assumes ADPT to PHVT conversion factor of 21.34;compiled by FCS Group. •*%> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 10 SECTION V : RECOMMENDATIONS This section provides calculations of the residential and non-residential SDCs and recommended SDCs after accounting for credit and discount policies. A. TRANSPORTATION SDC CALCULATION The transportation SDC is based on the number of trips that a change in land use generates. The Institute of Transportation Engineers (ITE) Trip Generation Manual contains trip rates based on studies conducted nationwide and provides the base data of unadjusted counts of trips generated by various types of land use. Unadjusted trip counts mean that certain land use types will have high trip counts including all traffic entering or leaving a location but does not account for traffic that passes by or interrupts a primary trip between origin and destination. Trips that interrupt a primary trip are called linked trips and this SDC methodology recommends removing them from the non-residential calculation because they would occur regardless of development activity. A.1 Residential SDC Calculation The proposed SDCs identified in this report include specific recommendations for initial SDCs to be charged based on new single family detached and multifamily/other dwellings added to the City. These types of calculations are relatively simple and take into account the net new dwellings added multiplied by the SDC per dwelling unit. Residential land use types do not entail a linked trip adjustment factor. SDC rates for specific developments are to be determined using the ITE Trip Generation Handbook in which there are land use categories depicting single family detached(code#210), apartments (code#220), rental townhouses (code#224), and other residential types. A.2 Non-Residential SDC Calculation The proposed SDCs identified in this report include specific recommendations for initial SDCs to be charged based on new PHVT added for non-residential development. New non-residential development in Tigard may include land use types with linked trips. The number of new PHVTs generated for non-residential land use should take into account the following formula: ITE Vehicle Trip Rate x (1—%Linked Trips) = Net New PHUT The SDC per unit of development is calculated for each type of land use by multiplying the new PHVT for each land use by the SDC per PHVT.It is important to note that the Trip Generation Manual may not contain some land use categories or may not include trip rates or number of net new trips generated. For such land use categories without data, the City administrator shall use her/his judgment to calculate the transportation SDC. •:;> ROUP FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 1 1 B. ANNUAL ADJUSTMENT Annual adjustment of transportation SDCs as summarized in the City's "Master Fees & Charges Schedule" shall be made with City Council approval. The index to be used for adjusting transportation SDCs will based on the weighted average of the year over year escalation for two measurements: 90 percent multiplied by the Engineering News Record Construction Cost Index for the Seattle Area percent change plus 10 percent multiplied by the Oregon Department of Transportation monthly asphalt price (annualized) percent change. C. CREDITS AND EXEMPTIONS The Tigard SDC Procedures Guide will establish local policies for issuing credits and exemptions, annual adjustments,and other administrative procedures. C.1 Credits A credit is a reduction in the amount of SDCs paid for a specific development.The Oregon SDC Act requires that credit be allowed for the construction of a"qualified public improvement"which(1)is required as a condition of development approval, (2)is identified in the City's capital improvements program,and(3)either is not located on or contiguous to property that is the subject of development approval,or is located on or contiguous to such property and is required to be built larger or with greater capacity than is necessary for the particular development project. The credit for a qualified public improvement may only be applied against an SDC for the same type of improvement(e.g.,transportation right of way or improvements provided by a developer can only be used for a credit for towards transportation SDC improvement fee payments),and must be granted only for the cost of that portion of an improvement which exceeds the minimum standard facility size or capacity needed to serve the particular project up to the amount of the improvement fee. For multi-phase projects, any excess credit may be applied against SDCs that accrue in subsequent phases of the original development project. In addition to these required credits,the City may,if it so chooses,provide a greater credit,establish a system providing for the transferability of credits,provide a credit for a capital improvement not identified in the City's SDC Capital Improvements Plan, or provide a share of the cost of an improvement by other means(i.e.,partnerships,other City revenues,etc.). C.l.a Credit Policy The City will establish the following credit policy for the transportation SDC. The Tigard credit policy assumes that the City implements a credit policy which applies the Washington County Transportation Development Tax (TDT) credit policy to SDC eligible projects in the city with an exception made for the planned River Terrace Boulevard project. By expanding the creditable portion of River Terrace Boulevard to 50% of the roadway improvement cost, the city would need to fund the difference by increasing its SDC improvement fee. The City also stipulates that credits provided within the River Terrace district cannot be used in another part of the City. However, citywide SDC credits could be utilized anywhere within the City. This would help ensure that any transportation SDC credits issued in River Terrace will result in continued development investment in River Terrace. •:;> ROUP FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 12 C.2 Exemptions The City may exempt specific classes of development(i.e.,minor additions,etc.)from the requirement to pay SDCs. D. DISCOUNTS This Tigard Transportation SDC Methodology Report has documented the maximum defensible SDC that can be established in Tigard(provided earlier in Exhibits 4.6 and 4.7). The City can discount the SDC amount by reducing the portion of growth-required improvements to be funded with SDCs and the City can decide to charge only a percentage(i.e., 50%, 75%, etc.) of the SDC rates required to fund identified growth-related facility costs. The SDC Procedures Manual will specify how discounts should apply to certain developments, such as transit-oriented development. If the City discounts SDCs,revenues will decrease and amounts that must come from other sources, such as general fund contributions, will increase in order for the City to maintain levels of service. In accordance with the River Terrace Funding Strategy, the City of Tigard desires to establish its Transportation SDC at a level that is below the maximum amount that it can charge. The City's currently policy objective for transportation SDCs is to establish an initial citywide average SDC of $5,000 per dwelling unit; and a River Terrace average SDC of$7,312 per dwelling unit. For SDC analysis purposes, this SDC methodology study analysis assumes that the residential and non- residential SDC rate discounts are equal among the customer groups. Since the Citywide and River Terrace SDCs would be lower than the maximum SDC the City can justify, additional funding sources would be needed to ensure that all projects contained in the long term capital project list can be funded by year 2035. E. EXISTING AND PROPOSED SDCS Exhibit 5.1 summarizes the existing and proposed total Transportation SDCs for the City of Tigard for reimbursement, improvement, and compliance charges after accounting for discounts. Once this Methodology Report is adopted, Transportation SDCs would vary by location. SDCs within the city(outside River Terrace) would initially be charged $5,714 per single family dwelling, and $3,333 per multifamily/other dwelling, and$2,872 per P.M. peak-hour vehicle trip-end (PHVT) for non-residential uses. Note that the City Council may decide to defer some of the SDC charges identified in the following tables (for example, the City Council could vote to defer implementation of the SDC reimbursement fees but charge SDC improvement fees). E.l SDCs with 50% Credit Policy for River Terrace Boulevard This scenario assumes that the cost of constructing River Terrace Boulevard is 50% credit eligible for "local street" elements and 100% credit eligible for improvements beyond "local street" elements; and all other transportation facilities would rely upon the current TDT credit policy.' The resulting ' Please refer to the Tigard Parks and Transportation Systems Development Charge Procedures Manual for additional information. •v, FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 13 SDCs within River Terrace would initially be charged $8,356 per single family dwelling, $4,875 per multifamily dwelling, and $2,944 per PHVT for non-residential uses (Exhibit 5.1). Exhibit 5.1:Tigard Transportation SDCs(Option B2)* SDC-i(after discount)' Total SDC(after discount) River SDC Terrace Citywide River Terrace Development Type Citywide Overlay Total Total Residential Development 2 Avg,charge per dwelling n/a $273 $4,727 $2,312 $5,000 $7,312 Charge per single family detached dwelling n/a $312 $5,402 $2,642 $5,714 $8,356 Charge per multifamily dwelling n/a $182 $3,151 $1,541 $3,333 $4,875 Non-Residential Development 3 Avg.charge per PHVT` n/a $483 $2,389 $72 $2,872 $2,944 Notes:This option discounts the non-residential TS DC to be on par with the residential TS DC discounts.It increases the citywide transportation capital funding gap by$19.7 M(from$423 M to$443 M)over 20 years. *Credit policy assumes River Terrace Blvd."local'elements are 50%credit eligible and elements beyond local streets are 100%credit eligible;with increase in cost basis being recovered through SDCs and TDTs collected by future River Terrace development.All other facilities would be subject to the current credit policy. 'Includes compliance fee. 2 Variance between single family detached and multifamily dwelling unit charges take into account peak trip adjustment factors derived from the ITE Handbook. 3 Non-residential SDCs include similar discounts as the residential SDCs and will be based on average charges by PHVT and shall vary by land use type using procedures established in the Tigard SDC Procedures Guide.Adjustments may include reductions for linked-trips. `Average charge per P.M.peak-hour vehicle trip-end(PHVT)is shown before making potential adjustments for linked-trips. Source:compiled by FCS GROUP based on preceding tables. •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 14 APPENDIX v%; FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 15 Appendix A-Transportation Capital Project List City Cost After Capacity Growth Capacity Capacity TDT%of SEFC 7.at R—d I.City Local Private COOTICourity I derstified Local Related Percent of Total SEC/TDT Related City Related City Elloble, Elloble Project 11) Road Classification D—npr— P,.j-f Cash Share Funding Funding Total City Cost Funding Percent Capacity Eligible Costs Cost(TOT) Cost[SDC) Project Costs Project Costs Source Project ID 23A 150th Ave Collector Improve I501h Ave.from Bull Mountain Rd.to Beef Bend Rd. $40000 O24% $306.000 $94,000 $94.000 50% 5096 $23.500 $0 $23,500 0% 100% RT!SP Addendum Bul Project ID 21A Molurstan Rd Collector Upgode to urban standards $1.200,000 29% 5850,000 $350.000 $350.000 50% 50% $87,500 5350000 $0 100% 0% RT TSP Addendum Bull Mountain Rd./N-S collectorProject ID IP Intersection collectorBull «roundabout $1.500,000 10096 $1.500.000 $1.500.000 100% 100% $1.300.000 $0 $1500.000 016 100% RI TSP Addendum Project ID 20 Intersection Collector Woodhue St./161st Ave.extension $2.000,000 0% 52.000,000 $0 $0 100% 100% $0 $0 $0 RT TSP Addendum intersection or roundabout Project ID NA 2 1 Interseclon Sheet Improvements where new sheets $500000 100% $500000 $D 50% 100% $0 $0 $0 RT TSP Addendum meet exist' sheets-Phase I Project ID 2 L«enzo Ln Collector Extend Lorenzo Ln.from West UG8 to $2500000 5% $2.380,000 $120,000 $120,000 100% 100% $120.000 $0 $120.000 0% 100% RT TSP Addendum Roy Rodgers Rd. Project ID 3 l«enzo Ln Collector Extend Lorenzo Ln.from Roshok Rd.to $3,500,000 100% $3,500,000 $3.500,000 100% 100% $3,500.000 $0 $3,500,000 0% 100% RT TSP Addendum Roy Rodgers Rd. Project ID NA I I River Bke/Ped River Terrace lral from Roy Rodgers $1,800,000 100% $I,BW,000 $1,800.000 0% 100% $0 $0 $0 RT TSP Addendum Terrace Tray Rd.to I501h Ave. Project ID SA RT&vol Co0ec1« to Lor N-5 collector from SchollPhases Ferry $6,030,000 43% $3,417,000 $2,613.000 $2,613,000 100% IOD% $2,613,000 $653.250 $1.959,750 25% 75% RT TSP Addendum to Lorenzo of extension-Phase I Project ID 58 RT Blvd Collecl« 31ane N-S collector from Scholls Ferry $2970,000 100% $2.970.000 $2,970.000 100% 100% $2.970.000 $742.500 $2.227.500 25% 75% RT TSP Addendum to Lorenzo Ln.extension-Phase 2 3 lone N-S collector from Lorenzo Ln. Project ID 6A RT Blvd Collector extension to Bull Mountain Rd.-Phase $4,875,000 48% $2,550,000 $2,325,000 $2,325,000 100% 100% $2.325,000 $581,250 $1,743,750 25% 75% RT TSP Addendum 1 3 lone N-S collector from Bull ProjeC1 ID 7A PT Blvd Collector Mountain Rd.to the south Cly Knit- $4,125,000 46% $2,244,000 $1,881,000 $1,881,000 100% tOD% $1.881,000 5470,250 $1,410,750 25% 75% RT TSP Addendum Phase I Project ID 7B RT Blvd Collector 3lone N-S collector from south City $6250000 46% $3,400.000 $2.850.000 $2.SSO.l7W 10096 10096 $2,850,000 $712.500 $2.137,500 25% 75% RI 15P Addendum Knit to the south UGB(phase 2) Project ID B Collector 2lone E-W collector between Roy Rodgers Rd.and N-S collector $2,500,000 O% 52,SOO.Ooo $O $0 0% 0% f0 $0 $0 RT TSP Addendum Dowertaitim Beffiefill(included in citywide) Meho Project ID Ash Ave Collaclor Extend Ash Avenue from Burnham, $10,000.000 100% $10.000,000 $10.1700,1700 50% 100% 55,000,000 $0 $5,000,000 0% 100% TSP.RTP.CIP across the RR to Commercial Sheet Bevel. SI 70th to 7117 Beveland St Bile/Ped Fill 330'Sidewalk Gap $40.000 100% $41,000 $40,000 50% 100% $20,000 $0 $20,000 0% 100% City staff v I nol Red R11al Bke/Ped ock Cleek New hal parallel to and south of 99W OOD ODO 100% Greenway in triangle $3.000,000 $3.000,O0D 25% 50% $375,000 $0 $375,000 0% 100% CBystaB ie; FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 16 CityCostAffer Capacity Growth Capacity Capacity TDT 7.of SIDC%of Road city Local Private ODOT,County I dentified Local Related Percent of Total SDC/TDT Related City Related City Eligible Eligible Project I D Road Classification Descnipt— Project Costs Share Funding Funding Total COY Cost F.ndhng Percent Capacity Eligible Costs Cost(TDT) Cost(SDC) Project Costs Project Costs Source 121st Ave, 121It Ave Bke/Peri Add Sidewalks and like Lanes $3,500.000 100% $3.500.000 $3.500.000 50% 100% $1.750.000 $1."(111 xn, 121 It Whistler 1e TppBt to 100% 0% City staff 121st Ave over 121st Ave Bke/Ped Pedestrian bridge on west side of .� 100% $50.000 $50,100 50% IOD% $25.000 Eo $25.000 13% 100% City staff Summer Creek rood Walnut Sheet to North Dakota Sheet- 121 It Sheet 121 IT St Collector two lanes with turn lanes where $6.000.000 100% $6,000.000 $6,000,000 50% 100% $3,000,000 $6.000,000 $0 100% 0% City staff Widening necessary plus bke lanes and sidewalks Metro Project ID 72nd Ave Arterial Widen 72nd Ave.to 5lanes from $35A000O0 100% $35,000.000 $35.000,000 80% 10D% $28.000.000 $9.269.598 $18.730,402 33% 67% TSP,RTP,CIP 10755 Hunker Rd.to Hwy.99 Meho Project ID 72nd Ave Arlerul Widen 72nd Ave.to 51ones ho m $28,166,850 101)% $28.166.850 $28.166,850 80% 100% $22.533.480 $7.261.185 $15.272.295 32% 68% TSP.RTP.CIP 10756 Hunker Rd.to Bonita Metro Project ID 72nd Ave Arterial Widen 72nd Ave.to 5lanes from $15,425,000 1OD% $15,425,000 $15,425,000 80% 100% $12.340,000 $9,269,598 $3,070,402 75% 25% TSP.RTP,CIP 10757 Bonita Rd.to Durham Rd. Provide Arterial Corridor Management 72nd Avenue /?rd Ave TSM along Corridor N 19(Hwy 217((Hwy $1,700,OD0 100% $1 700,000 $1.700,000 100% 100% $1,700,00o $0 $1,700,000 0% 100% City staff 2171 in the Metro TSMO Plan Provide Arterial Carrico,Management on 72nd Avenue along Corridor k2(1- 72nd Avenue 72nd Ave TSM 51(1-5)mar the Lipper Boons Ferry $1.600.000 IOD% $1.600.000 $1,600,000 100% 100% $1,600,000 $1,368.928 $231.072 86% 14% City staff Road Interchange in the Metro TSMO Plan Barrows Road Barrows Rd Bke/Ped Add Sidewalks and bike lanes $3,000.000 100% $3.000,000 $3.000.000 50% 100% $1,500,000 $0 $1.500,000 0% 100% CRY staff Metro Project ID Ronda Rd Arterial Widen Bonita Rd.to 4 lanes from $45000000 I00% $45,000,000 $45,000,000 80% 90% $32.400,000 $5,272,615 $27,127.385 16% 84% TSP,RTP,CIP 10752 ficunay to Hall Livid. Bull Mountain Rood$Hwy 99W Bull Collector Widen to three lanes with bke tans $6000000 100% $8000000 $8000000 50% 100% $4,000,000 $8,000,000 $0 100% 0% RT TSP Addendum to Benchview Mountain Rd and sidewalks Ten Cascade Ave Cascade Bke/Ped Pave northbound bike lam gap $30.000 100% $30.000 $30.000 50% 100% $15.000 $0 $15,000 0% 101)% City staff Ave Metro Project ID Dartmouth Colleclor Widen Dartmouth St.to 4lanes from $5.000,000 100% $5.000)00 $5.000,000 8096 100% $4,000,000 $1.853.920 $2.146.080 46% 54% TSP,RTP 10759 Si 72nd Ave.to 68th Ave. Metro Project ID Durham Rd Arterial Widen Durham Rd.to 5lanes from 00 $20.000,000 100% $20.0 .ODO $20.000.000 8096 90% $14.410.000 $0 $14.400.000 0% 100% TSP,RTP,CIP 10753 Bowes Ferry to Hall livid. Metro Project 1D Ha Durham Rd Arterial den Durham Rd.to S lanes from 10764 Holl livid.TO Hwy.99 1010 10 0%$25. 0. 0 100% $25, 0,000 $25,000.000 8 95% $19.000.000 $0 $19.000.000 0% 100% TSP,RTP,CIP Provide Arterial Corridor Management Durham Road Durham Rd ISM along Corridor It 19(Hwy 2171 in the $1,500,000 100% $1,500,000 $1,500.000 100% 95% $1.425,000 $0 $1.425.000 0% IDD% City staff Metro ISMO Plan Far—Creek f anno Bike/Ped Durham Rd to Tualath River Troll $1,500.000 1 OD% $1,500.000 $1.500,000 25% 100% $375.000 $0 $375,000 0% 100% City stall Trail Creek Trot Metro Projecl ID Greenbug Arterial Widen Greenburg Rd.from Shady $7 7,000,000 $7,000,000 80% 95% 10748 Rd Lane to North Dakota 000000 100% 3 $5.320,000 $6.745,098 f0 100% 0% "Project Request' Metro Project ID G(eenbug Arterial Widen Greenburg Rd.to 5lanes from $12.000.000 100% $12.000.000 $12.000,000 801y. I00% $9.600.000 $9,269,598 $330,402 97% 3% TSP,RTP 10750 Rd Tideman Ave.to Hwy.99 Metro Project ID tfall Blvd Arterial Ha11 Bvld.Improvements from Locust $16.000,000 110% $16,000.000 $16,000,000 50% 100% $8,000,000 $0 $8,000,000 0% 100% TSP,RIP,CIP L1.220Who am Hall Blvd/ Replace with wider bridge with Too—Creek Hall Blvd Bridge $6.100.000 100% $6,000,000 $ 10 6. 0.000 50% 100% $3,000.000 $0 $3.000.000 0% 100% City staff Bne sidewalks and bke lands •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 17 Road ojecl Cash 7�C ty Local Private ODOVCounty "12 filled Local Re�crled PeTcenlo Tot.1SDC/tDT RelatedClty, Related City Eligible Eligible Project ID Road Cla-ficalion Description P, Sho�e Funding Funding Total COY Cost F unding Pe cent Capacityl Eligib4e Costs Cost(IDT) Cost(SDC) Project Costs Project Costs Source Cillyfelde Benefit(continued) Provide Arterial Corridor Management yi 0% 100% City si Hall Boulevard Holl Rlvd TW and Transit Signal Priority on Hall $3.700,000 IOD% 100% 100 Boulevard from Highway 217 to $3,7010,000 $3.700.000 76 E3.700.cux $: � aN jfiahway99W Add an eastbound through lane on Hall Boulevard Holl Blvd Arterial Hall Blvd.If—Pamelod Road to $500,000 I OD% $5100.000 $500.000 100% 95% $475.000 $0 $475,000 0% IOD% City Stott Cireenbug Road Hunker St(72nd Add sidewalk on north side: to 771h) Hunker St Bke/Ped completes sidewalk from 72nd to Hall $1,000,000 1010% $1,000,000 $1,000,000 50% 100% $500,000 $0 $500,000 0% 100% City staff Sidewalk Hwy 217 Add a northbound through lane Northbound Aux Hwy 217 Arterial oder the Ftwy 99W overpass to $20,ODO.000 0% $20,000,000 $0 $0 50% 100% $0 $0 $0 City staff Lane address a capacilyinch point Metro Project ID Hwy 99 AHerial Hwy.99 hteaecton improvements 10770 from 641h Ave.to Durham Rd. $50,000,000 100% $50,000,0100 $50.000.000 80% 95% $38,000,000 $9.860,000 $28.140,000 26% 74% TSP.RTP Project ID 13 Intersection Arterial Roy Rogers Road/E collector $1,000,000 100% $1.000.000 $1.000.000 100% 100% $1,000,000 $0 $1,000.000 0% 100% RT TSP Addendum haflic sranal Project ID 14 tntersecton Arterial l Roy Rogers Road/Bull Mountain Rd traffics na $1,000,000 10076 $1,000,000 $1,000.000 IOD% 95% $950,000 $0 $950,000 D% 100% RT TSP Addendum Project ID 16 IMersaclon Arterial Scholl,Ferry Road/N-5 collector $1.000,000 100% $1,000,000 $1,000,000 100% 100% $1.000.000 $0 $1,000,000 0% 100% RT TSP Addendum traffic signal Metro Project ID Intersection Arterial Intersection iforovements at Hall $8.000,0 1100% $8.000.0100 $8,0D0000 25% 80% $1.600,000 $0 $1.600,000 0% 100% TSP,RTP 10769 Bvd.And Tied—Ave. Metro Project ID Intenecton Arterial H.11/H.nker/Scffirs Intersection $5,000,000 IOD% $5.000.000 $5,000,000 75% 100% $3,750,000 $3,862,332 $0 100% 0% TSP,RTP,CIP 11223 Realignment Metro Project ID re Intersection Arterial Cenbug/Todeman/N.Dakota 11224 Recon$ afion $10.000,000 100% $10,000,000 $10,000,000 50% 80% $4)000,000 $0 $4,000,000 0% 100% TSP Hwy 99W/72nd Intersection Arterial Turn lanes,aux lanes,sidewalks, e Ave Intersection lanes crossin transit in ovements �'�'� 1010% $8,000,000 (8.000.000 80% 100% $6,400,000 $772,466 $5.627,534 12% f)8% City staff Highway 217 SB /Hall Blvd Intersection Arterial SB right-fun lore at Hall Blvd/OR 217 $5,000,000 100% $5,OOD,000 $5,000,000 25% 100% $1.250,000 $0 $1,250,000 0% 100% City staff Interchange ramp Improvements Hwy 99W/68tnIntersection Improvements.Provide Ave Inlorsec tion Arterial protected left at 681h:transit queue $4,000,000 IOD% $4,000.000 $4,000000 80% 100% $3,200,000 $2.394,646 $805,354 75% 25% City staff bypass Hall Blvd/ Install sntall new traffgnd:maintain PI.Me St Imific Intersection TSM extthg lane coioion $1,000,000 100% $1,000,000 $1,000,000 100% 100% $1,000,000 $1,000,000 $0 100% 0% City stab Signal 68th/Atlonta/Ha Intersection TSM Install a traffic signal and add turn 100% $500,000 $500,000 100% 100% $500,000 $173.805 $326,195 35% 65% City staff Ines lanes where necessary 1-5/Upper Boone,/ Intersection Arterial Add tun fanes and/or auxiliary $10,000,000 IOD% $10,000,000 $10,000000 80% 90% $7,200,000 $0 $7,200,000 0% 100% City staff Carman through lanes,sidewalks,elc Inlerchan Relate eastbound right-tun lane when 3rd lane added on Schdls Ferry Scholl,Ferry/ Rd:Retain westbound right-hum lane Nimbus Intersection Arterio) when 3rd Ione added on Schdls Ferry $6,000,000 20% $4,800,000 $1.200,000 $1,200,000 100% 100% $1,200,000 $1,200.000 $0 100% 0% City staff Inlenecton Rd:southbound right-tun lane: Improvements Reconfigure northbound and southbound lanes to create exclusive left-tun lanes Scholl,Ferry Rd /Nath Dakota Inlersecton Arterial Intersection Improvement $1,500.000 100% $1,500000 $1,500.000 80% IOD% $1.200.000 $0 $1.200,000 0% 100% City staff IS, 125th Ave •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 18 Road 7,C Ity Local Private ODOT/County identified Local Related Percent of Total SVC/7DT Related City Related City Eligible Eligible Project I D Road Classification De,cripti.o Project Costs Share F-ding Funding Total City Cost Funding Percent Capacity EligibleC.st, Cost(TDT) Cost(SDCJ Project Costs Project Costs Source Clifitntricift Benefit(continued) 72nd/Upper Boons Ferry Intersecibn Arterial Intersection Improvement $1,000,000 100% $1,000,000 $1,000,000 1007. 100% $1,000,000 $1.000.000 $0 100% 0% CRY staff Cannan Boma I Sequoia Intersection TSM Traffic Signal $1,000,000 100% $1,000,000 $1,000,000 80% 100% $?00,000 $1,000,000 $0 100% 0% City staff Intersection Tied. an Install o traffic signal:comfruct leff- Sheet/Tgard IntersectlDn Collector turn lanes.skiewolk aro bke lanes $1'000'000 100% $1,000,000 $1,000.000 100% 100% $1,000,000 $D $1,000,000 0% 100% City staff Sheet 121st/NoiX' Intersect Bke/Ped Traffic signal $.500,000 100% $500.000 $500.000 IOD% 1009, $500,000 $231,740 $268,260 46% 54% CRY staff Dakota Add turnlanes and auatiory lanes McDonald/Hall Holl Blvd Collector with bike Ions nd sidewalks on Hall, $9,000,000 100% $9,000,000 $9,000,000 90% 90% $7,290,000 $766,702 $6,523.298 11% 89% CRY'fall RT Lane McDonald,and Bonita to improve Raiff.If— Durham/Upper Intersection Bke/Ped Sidewalk on NW Comer.Curb Ramp $40.000 100% $40.000 $40,000 50% 100% $20,000 $0 $20.000 0% 100% CRY staff Boons Creenburg Rd/ Pedestrian Islands to faciBate Shady Ln Intersection Bke/Pad crossing Shady Ln on east side of $30,000 100% $30,000 $30.000 50% 100% $15,000 $0 $15,000 0% IOD% CRY staff G uria Bonita Rd near Intersecibn Bke/Pad Enhanced Ped Crosshg-RRFB? $20.000 100% $20,000 $20,000 25% 100% $5,000 $0 $5,000 0% 100% CRY staff 79th Ave Greenburg Rd Intersection Bke/Ped Enhanced Crossing between $20000 100% $20,000 $20,000 25% 100% $5.000 $0 $5,000 0% IOD% CRY staff Tied—and Center St-at 95th? Hwy 217 58 RMersection Capacity,improvements Ramps/Hghway Intersection Arterial Including 2nd right tun one from off $2,500.000 100% $2,500.000 $2.500,000 100% 100% $2,500.000 $0 $2500,000 0% IOD% CRY staff 991 am Hwy 217 NB Add a second northbound left tum Ramps/Highway Intersection Arterial lane $1.500.000 IOD% $1,500,000 $1.500,000 100% 100% $1,500.000 $0 $1,500.000 0% 100% City staff 99W Who Project ID McDonald Arterial Mcdonald Rd.improvements from $8000000 10D% $8000000 $8000000 50% 50% $2000000 $0 $2000000 0% 100% TSP,RTP,CIP 11217 Rd Hall Bvld.To Hwy.99 McDnnold 51 W—Donald Bke/Ped Enhanced Crossing between Hall and $30000 100% $30000 $30,000 25% 50% $3,750 $0 $3,750 0% 100% City staff Rd Hwy 99W-of O'Mara?97th? Ray Rodgers Widen Roy Rogers Rd.to 5 Ln.from N Project ID 22A Rd Arterial of Scholls Ferry Rd.to S.of Beef Bend $4,000,000 100% $4,000,000 $4,000,000 100% 100% $4,000,000 $3,000,000 $1,000,000 75% 25% RT TSP Addendum Rd. Phase I half-freet segments) Roy Rodgers Widen Roy Rogers Rd.to 5 Ln.from N Project ID 22B Rd Arterial of Scholls Ferry Rd.to S.of Beef Bend $4,000.000 1OD% $4.000.000 $4,000,000 100% 100% $4,000,000 $3,000,000 $1.000.000 75% 25% RT TSP Addendum Rd. Phone half-beet se mems Scholls Ferry Rd Scholls Feny Widen to 7 lanes with bike lanes and Widening Hwy RA Arleriol sidewalks $50,000,000 75% $12,500,000 $37,500,()00 $37,500,000 100% 100% $37,500,000 $18,745.186 $18.754,814 50% 50% City staff 217 to 121 s1 Scholls Ferry Rd Scholls Ferry TSM Provide Arterial Corridor Management $A1200.000 100% $4,200,000 $4,200,000 100% 100% $4.200,000 H7 $4.200.000 O% 100% CRY stall Rd from River Road to Hall Boulevard Tiedeman Ave Tledeman Bk./Ped Sidewalks from Tigard St to Greenburg $1,000,000 100% $1,000.000 $1,000,000 50% 50% $250.000 $0 $250,000 0% 100% CRY staff Ave Rd Tigard Sl(Fenno New bridge with bike cines and Creek)Bridge )igord St Bridge sidewalks $3,000.000 100% $3,000.000 $3,000,000 50% 50% $750,000 $0 $750,000 0% 100% City staff Replacement Metro Project ID Trot Bk./Ped Neighborhood Fiats 8 Regional Trat $1,100,000 100% $1,100,000 $1.100,000 25% 50% $137,500 $0 $137,500 M. 100% TSP,RTP 11227 Connections R%UP FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 19 CRyC.stAfle, Capacity G—th Capacity Capacity TOT%.1 SDC%of Road 0jeCt Cash 7,C ty local Private ODOT'Covnfy Cost I dentifiod Local R:Iated Percent a Total SDC TOT Related City Related City Eligible Eligible Project ID Road Class,hcatio, Desc,ipfion Pr Sha�e Funding Funding Total C dy F ndmg P rcent Cop=dyT Eligible Costs Cost(TOT) Cost(SDC) Project Costs Project Costs Source Metro Project ID Trnil Bk./Ped Portland d Western Rai Trail from $1,250,000 100% $1,250.mO $1.2.50.000 507. $156,251 $0 $156,250 07. 100% TSP,RTP 11228 T'ideman Ave.to Man St. Tualatin River Dai Bke/Ped Complete multiuse path from Cook $10.000,000 100% 510,000,000 $10,000,000 25% 50% $1.250,000 $0 $1,250,000 0% 100% City staff Trail Park to the Powenines Corridor Tall rail ke/Pad Creek Trail TBWoodard Park to Grant $670,000 100% $670,000 $670,000 25% 50% $83,750 $670,000 $0 100% 0% City staff Fans Creek Trail Trail Bike/Pad Tiedeman Crossing Realignment $250,000 100% $250,000 $250,000 25% 50% $31.250 $0 $31.250 0% 100% City staff Complete gaps deg the Fans F.."' m Creek Trot Bke/Ped Creek multiuse path from,the Tualatin $6,000.000 100% $6,000,000 $6,000.000 25% 50% $750,000 30 $750,000 0% 100% CRY staff Trot River to City Hall and from Highway 99W to T' rd Sheet Upper Boons tipper Widen to five lanes with bike lanes (Durham to µpones Arterial and sidewalks 100% $10,000,000 $10,000.001) 90% 90% $8,100,000 $4,106,784 $3993,216 51% 49% CRY staff Sequoia) Uppet Boone' upper Provide Arterial Corridor Management Ferry Road Boones Ferry TSM along Corridor N2(1-5)n the Metro $1,300,000 100% $1,300,001) $1,300,000 100% 100% $1,300,000 $0 $1,300,000 0% 100% Gly staff Rd TSM0 Plan Metro Project 10 Walnut 51 Arteral Widen walnut St.to 3lanes from Hwy. $8.000.000 1OD% $8,000,000 381000.000 40% 100% $3,200.000 $4,325,812 $0 100% 0% TSP,RTP,CIP 11229 99 to Tideman Ave Metro Project ID Arterial Hwy.217 overcrossng Hunker-72nd $30.000,000 100% $30.000,000 $30,000.000 80% 100% $24.000,000 $0 $24,0(0,000 0% 100% TSP 10751 Ave. Hwy 99W/Dartmouth Arterial Turn lanes,aux Ions,sidewalks,bike 000000 100% lanes.Crossigs:hamit inprovement' 51. $6,000.000 $6.000.000 100% 100% $6.000.000 $308,987 $5,691.013 5% 95% City sluff Greenberg Rd. Widen to 5lanes from Locust Si to (Hwy 217 to Hall Arterknl Greenburg Rd;add tum/aux lanes; $20.000.000 20% $16,000,000 $4,000,000 $4,000,000 80% 100% $3,200,000 $0 $3,200,000 0% 100% City staff Blvd) add bke lanes and sidewalks throughout corridor 1081h Sheet New bridge crossig north-south over Crosshof Bridge the Tualatin River near 108th Avenue $3.000.000 100% $3.000.000 $3,000,000 50% 50% $750.000 $0 $750,000 0% 100% City staff Tualath River North Dakota St Bridge Replace with wider bridge with Fanno Creek ge $3,000,000 100%sidewalks and bike lanes $3,000,000 $3.000,000 50% 50% $750,000 $0 $750,000 0% 100% CRY staff DirkseAve T -121st Trail Bke/Ped Dirk—Dirk—Nature Park to 121st Ave New hail along Summer Geek from $1.000.000 101)% $1,000,000 $1,000000 25% 50% $125,000 $0 $125,000 0% 100% City staff Ave trail Washington Square Area TSM Adaptive Signal Coordination $1.000,000 100% $1,000,000 $1,000,000 100% 100% $1,000,000 $0 $1.000,000 0% 100% Coy staff Signals Totals $625,271,850 $19,647,000 $53,300,000 $552,324,850 $551,824,M $392,345,980 $127,738,750 $277,069,222 Nola, 1.Project ID's are consistent with existl local or regional transportation plan project listings. 2.All projects listed are assumed to be completed by year 2035- 3.All widening and newly constructed road projects will include bkelanes and sidewalks,even i not called out specifically. 4.Capacity related portions of projects are consistent with parameters shown n Appendie B- 15.Growth shores are estimated by City staff using Meho 2035 hovel demand model,comparing 2010 to 2035 volume/capocity,ratios. •:;> R-UP FCS G TIGARD,OREGON Transportation System Development Charge Study April 2015 page 20 Appendix B-Capacity Share Assumptions Proportion of Project related to Improvementcapacity New travel lanes added 100% Turn lanes or new traffic signals 100% New interconnected traffic signals 100% Road upgrades (widen from 3 to 5 lanes) 80% Road upgrades (change from local to collector standard) 75% Traffic signal upgrades 75% Road upgrades (widening & adding double left turn lanes) 50% Road upgrades (widening with new bike/pedestrian facilities) 50% Road upgrades (widening from 2 to 3 lanes) 40% Access management & center turn lanes 25% Roadway realignment 25% Source:consistent with Washington County methodology per Appendix C, Amended TDT Road Project List, Jan. 2014 •:; RVUP >FCS G TIGARD, OREGON Transportation System Development Charge Study April 2015 page 21 Appendix C- Reimbursement Fee Calculation Transportation Capital Project Expenditures Reim- Reimbursement Fee FY FY FY FY FY FY FY FY FY bursement Calculation2005-06 2006-07 2007-08 2008-09 2009-10 2010-11 2011-12 2012-13 2013-14 Fee Basis Tigard Traffic Impact Fee Fund $408,826 $460,540 $1,283,017 $611,167 $953,489 $0 $0 $359,140 Urban Services Traffic Impact $450 $2,554 Fee Fund Tigard Transportation D $0 $0 $0 $0 $875,840 Development Tax Fund Total $409,276 $463,094 $1,283,017 $611,167 $953,489 $0 $0 $0 $1,234,980 Discount Factor (trip growth 12.98% 11.46% 9.96% 8.48% 7.01% 5.57% 4.15% 2.75% 1.37% rate) Net Present Value of $356,155 $410,034 $1,155,273 $559,366 $886,604 $0 $0 $0 $1,218,120 $4,585,553 Capacity Investment Source: City of Tigard, compiled by FCS GROUP. •:;> FCS GROUP TIGARD, OREGON Transportation System Development Charge Study April 2015 page 22 This page intentionally left blank *%4 FCS GROUP