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HomeMy WebLinkAbout06-16-1993 CITY COUNCIL AGENDASARATOGA CITY COUNCIL i EXECUTIVE SUMMARY NO. 2.2>3 ® AGENDA ITEM MEETING DATE: June 16, 1993 CITY MGR. ORIGINATING DEPT. Engineering SUBJECT: Establishment of a No Parking Zone on Kirkmont Drive Recommended Motion(s): Move to adopt the MV Resolution prohibiting parking on a portion of Kirkmont Drive. Report Summary: Attached is an MV Resolution which, if adopted, would prohibit parking on a small portion of Kirkmont Drive adjacent to Atrium Drive. The Park Saratoga Homeowners Association has requested the parking prohibition because of problems which result when vehicles are parked in this location (see attached letter dated March 23) . Engineering staff has evaluated the request and finds the Homeowners Association concerns to be valid. Consequently, staff recommends designating the area as a "No Parking" zone. Fiscal Impacts: Less than $100 to paint the curb red. Follow Up Actions: A work order will be initiated to paint the curb red. Consequences of Not Acting on the Recommended Motions: The area would remain available for on street parking and the Council's decision would be communicated to the Homeowners Association. Park Saratoga Homeowners Association c/o Community Management Services 727 University Avenue Los Gatos, CA 95030 March 23, 1992 City of Saratoga Street Department (Mr. Trinidad) 13777 Fruitvale Avenue Saratoga, CA 95070 Dear Mr. Trinidad, I am writing as the President of the Park Saratoga Homeowners Association which is located within the City of Saratoga just Southeast of the Saratoga - Sunnyvale and Prospect Avenue intersection. I am enclosing a partial map of our area, including the intersections of Kirkmont and Atrium Drive /Atrium Circle. On this map I have indicated in red a 12 foot strip of curbing that has created a problem for us. This strip of curbing is between Atrium Drive and the driveway of the residence at 20415 Atrium Drive. The strip in question is on Kirkmont Avenue and is within the jurisdiction of the City of Saratoga. We have been bothered by the use of this short strip of curbing for parking. The 12 foot section is not long enough to accommodate a car without the vehicle projecting dangerously into Atrium Drive or to partially obstruct the driveway at 20415 Atrium Drive. The Board of Directors has instructed me to bring this matter to the attention of the city with the request that the 12 foot strip indicated on the map be painted red to make parking illegal. Can you examine this site and let us know if it is possible for the curb to be painted red? If you have any further questions, please call me at 593 -0921 or call Beverly Mclnterie of Community Management Services at 395 -9606. Thank you for your consideration of this request. Sincerely /zr--en NORTH JORKMONT' L---------- A <ta t'ec��esttd for' DRIVE. MLP O K(A&A\Ohi- PA RN Sara a- SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. 2 3 2 % AGENDA ITEM -74 MEETING DATE: June 16, 1993 CITY MGR. ORIGINATING DEPT. Engineering . SUBJECT: Landscaping and Lighting Assessment District LLA -1 - SB 1977 Public Meeting Recommended Motion(s): None. There is no Council action required at this time. Report Summary: At your meeting, you will conduct a public meeting required under Government Code Section 54954.6 which became necessary when SB 1977 took effect on January 1 of this year. The purpose of the public meeting is simply to allow property owners the opportunity to address the Council about the proposed LLA -1 assessments for next year. No action is taken at the public meeting. Your next and final action will occur on July 7 when you will conduct the Protest Hearing and confirm the final assessments. Notices of the Protest Hearing have been sent to all property owners in the District whose assessments are proposed to be increased this year. This is also anew requirement of SB 1977 and 2689 property owners have received the notice out of the 3629 total property owners in the District. Fiscal Impacts: None. Follow Up Actions: The Protest Hearing will be scheduled for your July 7 meeting. Consequences of Not Acting on the Recommended Motions: N /A. SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. 2 3 2 7 AGENDA ITEM MEETING DATE: June 16, 1993 CITY MGR. APPROVAL ORIGINATING DEPT: City Manager's SUBJECT: Waiver of Plumbing Permit Fees Recommended Motion: Authorize a waiver of plumbing permit fees for low flow toilet fixtures which will replace existing facilities for a period of one year. Report Summary: Last December the Water District started a rebate program to encourage replacement of toilets with new "low flow" fixtures which save water, save energy, and reduce sewage flows to the treatment plants. If a qualified fixture is installed, the District provides a $75 rebate. We would like to do our part to encourage this program which conserves water and improves the environment by waiving the plumbing permit fee of $59 for these installations. Fiscal Impacts: It is unknown at this time 'how many people will take advantage of this offer. The Building Codes Administrator feels there will be very few. Revenue loss would probably not exceed $2,000 a year. Follow Up Actions: Notify Engineering Department, Water District, San Jose Water Company, and City of San Jose. Consequences of Not Acting on the Recommended .Motions: Some residents may choose not to participate in the Water District's toilet replacement rebate program if they have to�pay the City's plumbing permit fee. SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. 2-3 AGENDA ITEM MEETING DATE: June 16, 1993 CITY MGR. j#� O R I G I N A T I N G D E P T C i t y M a n a g e r� SUBJECT: Fifth Amendment to Agreement - Cal ID Program Recommended Motion(s): Approve Agreement and Authorize Mayor to Execute Documents Report Summary: The City of Saratoga, along with all other cities in Santa Clara County, has participated in the CAL ID program since its inception. During the March Policy Development Conference Council asked that staff look into the ramifications of dropping out of the program as a cost cutting measure. I met with San Jose Police Sgt. Raye who administers the program, and became convinced that participation in the program is an essential part of doing business in law enforcement. It is used routinely for identifying prints found at a crime scene, and for determining identity and prior record of a suspect being booked at the jail. It is the only avenue for law enforcement officials in the county to quickly obtain this type of information. Participa- tion and cost sharing by all cities is key to the continuing operation of the program. Saratoga's allocation of the cost for 93/94 is $15,583, and is in the police services budget. Fiscal Impacts• The allocated cost of $15,583 is in the proposed budget for 93/94 Follow Up Actions: Execute agreement Consequences of Not Acting on the Recommended Motions: The Sheriff will not be able to access fingerprint information for crimes /suspects relating to Saratoga activity, and the future operation of the countywide program will be in jeopardy. SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. 7.3`2-4 MEETING DATE: June 16, 1993 ORIGINATING DEPT. Engineering AGENDA ITEM CITY MGR. SUBJECT: Beauchamps Park, Capital Project No. 977 - Final Acceptance and Notice of Completion Recommended Motion(s): Move to accept the project as complete and authorize staff to record the Notice of Completion for the project. Report Summary: All work on Beauchamps Park, Capital Project No. 977, has been completed by the City's contractor, Collishaw Construction, and inspected by staff. The final construction cost for the project was $ 242, 549, which is only 1.3% above the awarded contract amount of $ 239,415. The additional costs were due to quantity increases on several of the unit cost bid items. In order to close out the construction contract and begin the one year maintenance /warranty period, it is recommended that the Council accept the project as complete. Further, it is recommended that the Council authorize staff to record the attached Notice of Completion for the .contract so that the requisite 30 day Stop Notice period for the filing- of :claims by subcontractors or material providers may commence. Fiscal Impacts: The ten percent retention withheld from previous payments to the contractor will be released 30 days after recordation of the Notice of Completion assuming no Stop Notices are filed with the City. The adopted budget contains sufficient funds in Project No. 977, Account No. 4510, to cover the cost of the project including the executed change orders. Follow Up Actions: Staff will record the Notice of Completion for the contract and will release the contract sureties and retention thirty days thereafter. Consequences of Not Acting on the Recommended Motions: The project would not be accepted as complete and staff would notify the contractor of any additional work required by the City Council before the project would be accepted as complete. Q \ 092 M�Uao Z�a n��� 137.77 FRUITVALE AVENUE:*. SARATO.GA, CALIFORNIA 95070•0 (408) 867 -3438 U� COUNCIL MEMBERS: June 16 y 19'9 3 Karen Anderson Ann Marie Burger Willem Kohler To;- :City "Council VictocMonia Karen Tucker From: City .Manager Subject:,.. Adoption, of' the 1993 -95 Budgets -=---=--=--------=----- - - - - -- -- - - - - - -- - -- -------- At your June 2nd. ° 4budget: " -hearing: you, direicted:. staf C' to reduce personnel costs -by: another .$86,000 •:= $100,.0'00.:and-;return`with a revised. budget. for final adoption on ,June ,16th." The department heads' and:. I -met ands, no have the .'following ",list , of recommended"', per•s'onndl-'reductions, layoffs; :: eliminations .and_reclassifications. - These: ' changes" represent. a further. reduction ::-.in • payroll and .corresponding benefits of- slightly more than $100,-;000., These ar e o 'Reduce. Assistant to the City •Manager". to. a,60% positron o. Reclassify :the ; Senior. "Community.: Services Off. cer, .back to Community"Services Officer o - I;ay. , -off -one full =time: Clerk Typist'-,'_ o, El;imina.te., the •position "of:'Marnteriance Director P. Lay • of_f., one -part -time Clerk ., .Typist o Lay off. one Mai'ntenanee Worker o Lay--off on;e..Assistant Planner o :. Lay "off ,one,part -time Program Assistant o Elimrnate•the. pot it ion- of I Environmental Programs:Manager o Reclassify one Secretary to, Senior Clerk 'Typist Leave- payoff;to.`the individuals:whose jobs have been eliminated or- who. have.: bee_ n, laid', off:, Will =cost •about. $i2; 300;;. leaving a net - . reduction in personnel costs over current levels of- '`about $365:;.000", and'_ $94 844'.bel6w, the'`previour level. : It is,. recommended that rn addifron to 'the accumulated '.paid .'leave that the ,C,ity,-`also _ extend : 'health--ca-re benefits. to all terminated - employees except. the;- Maintenance Director• who is retiring for a period: `of;_ two months after,, termination: . The actual last -,day bf` work will be. July. 2, 1993., but,-.health coverage-would con'tinue�� through August 31.,.- 1993*.- ' ' This will.: cost the' City _ another $3; 000. .The, various resolutions .enclo.sed-`will .fully , implement .;the budget - as amended'. The.ov.,erall; budget picture. is, summarized. once again by: comparingA' the "Jilne 2nd Cash 'Flow. Model which:, was presented :at: r : your;:. 'last ;meeting and .. the ' 'June:.. 9th.' Cash Flow'. Model -which incorporates `the latest. cha''nges-:. ' Expenditures' 'have' decreased from • $1'1,224,'972. `to. _$11',130,128'` for fiscal;: 1993 -94;' a. reduction. of $947,844. . ' Expenses have 'decreased- from $10. 819', 583. to-_$10, 68.7 , 0,76 for fiscal - 1994 -,95,, a 'reduction of $.132,507.. Printed on recycled paper.' ; . To: City. Council - Subject: .Adoption of the. 1993 95-BudgetsT June :16 1993 Page% 2` These" changes allow the fund 'balance surplus to: .increase from 42:2,660, to $148:,_160-,in fiscal 1.993 -94 and from $357 6:41- t'o $630', 284 in , fis:cal- 1994 -95 These changes -.are all reflected in the-budget- - resolution :: A dopy. ,,of the revised -budget summary Cdated June; . 9th ` : is attached RECOMMENDED ACTIONS 1. :'Adopt the, budget resolution: Th s 'reso'lution•-makes;,final .adjustments. to the` 1992 -93 budget for'` audit :purposes and appropriates funds - for fiscal 1993 -94 ..and.',-1994-95.. - 2 Adopt ; the Appropriations llallt,'resolution This resolution calculates the. City, s` appropriations limit for proceeds ..'of taxes based on the. - .formula established- by the passage of Proposition 4 in 1980: gas amended by ,the passage of Proposition , 11 in• „1990 'The limit for `.f:iscal 1994 is 3 Adopt' the -resolution which authorizes -the number of permanent .,positions . in the `City service. This-, resolution 'establishes. the staffing f`or "fiscal 1994 reflecting the changes. in - staffing,. detailed above: 'A,-total of. 5'5: 9., full time equivalent personnel is authorized. Changes_. to: job descriptions and reclassifications are also included as. a' part of this r'esolution.. This represents a staff reduction of..6- A",full= :time. equivalent, personnel, .a total' staff. reduction of ,: 10.8 % -. _. 4 . :. .:Adopt the. resolution which. revises the management_ compensation system. This resolution implements 'the changes previously discussed with the City Council _ 5. Adopt' the °.r.esolution. which: sets. the salary ranges for 1. management positions.: The.recommended': ranges have been.established' based upon the ..new -rules :,of -• the management ,compensation, system resolution. The mean .top: salary for benchmark:positi.ons is adjusted I withi n.' the. `system.- of- -internal .relationships to: establish the .top of the salary range 'for, each position. .The entry level • '.salary- -is set at 808 of. the. top. 9f ' the: salary range. ..No salaries are automatica'T1y adjusted by the 'settng.of..the new ranges: '.Adjustments, , •if : ;,:any; wi_l l: depend on a -sep.ar.ate :City., Counc i l decision as to the -,size "'of ":the; salary. Adjustment', pool. in . August:... 0: \FIN\CASHFLOW.WK1 .09- Jun -93 CITY OF SARATOGA CONSOLIDATED REVENUE ESTIMATES F.Y. 1991 - 1996 FY 90-91 FY 91 -92 FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FUND REVENUE SOURCE ACTUAL ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE * General Prop Tax 951,463 930,011 980,572 745,318 7971490 853,315 7%AVG 93ADJ * Sales Tax 832,262 939,635 970,000 11037,900 1,120,932 1,210,607 8% * Utility Users Tax 611,708 634,057 691,997 719,677 762,858 0 6% * Transfer Tax 153,473 157,020 121,250 133,377 144,047 155,571 8% * Construction Tax 133,900 135,526. 136,000 240,000 240,000 246,000 $0.57 tines 240,000 sq. ft. * Business Licenses 156,375 158,136 172,300 400,000 416,000 432,640 4% * Transient Occupancy Ta . 101,003 97,624 95,000 120,000 134,400 150,528 12% * Franchise Fees 610,839 691,644 707,868 736,183 780,354 827,175 6% Development Permits 676,857 716,354 752,000 975,972 1,024,771 1,076,009 5% * NVL 1,049,751 985,325 1,019,457 995,637 1,043,925 1,094,556 4.85% * Cigarette Tax 35,773 15,733 0 0 0 0 -33. * HOPTR 17,392 17,826 18,000 18,023 19,465 21,022 8% Other I. G. Revenue 7,985 3,297 7,115 7,821 8,573 9,371 2% False Alarms 15,420 14,901 15,000 15,000 15,000 15.,000 flat * Interest 524,915 490,318 183,000 270,959 227,918 251,962 8.4% (5t 92 -93 + later) * Sale of Property 5,153 199 30,000 20,000 31,600 31,600 flat Sale Maps /Publicat 2,187 1,000 1,000 1,000 1,000 1,000 flat Fines & Forfeitures 29,702 28,211 22,000 30,800 32,032 33,313.4% Refunds & Reimbursemen 151,352 511,329 592,175 624,806 598,270 225,410 FEMA . 42,106 656 0 0 0 0 1 TOTAL GENERAL 6,109,616 6,528,803 6,514,734 7,092,473 7,398,634 6,629,078 10 TDA 0 0 0 .85,000 0 0 grant /SIDEWALKS 12 HCDA 73,716 184,030 180,000 386,513 213,992 222,260 13 Traffic Safety 121,685 50,739 60,400 601000 62,400 64,896 12% 2105 66,486 121,261 134,693 154,412 188,100 188,100 prop 111. * 2107.5 6,000 6,000 6,000 6,000 6,000 6,000 flat * 2106 138,569 135;109 130,000 131,519, 132,177 132,837 1.005% * 2107 245,295 235,521 227,013 231,662 232,820 233,984 1.005% * Interest (SGT) 0 0 0 0 13,977 14,023 sgt /2 *5% FAO Exchange 21,445 81,620 780052 0 0 0 formula ISTEA 0 0 0 340,060 22,125 0 H.B.R.R: (F.H.W.A.) 0 0 446,135 459,405 73,600 506,400 grants R.H.G.C. 10,800 0 14 Sub -Total Gas Tax. 497,795 579,512 1,021,893 1,322,998 679,599 1,081,345 17 Local Drainage 0 0 0_ 0 0 0 * 18 Hillside Dev Fees 139,073 75,866 40,000 40,000 '56,559 59,387 10du *$6,000 +5 % /yr+INTEREST 21 Library Debt Sery 94,725 92,100 89,425 91,590 93,455- 95,018'schedule 22 State Pk Bond Grants 36,000 0 0 63,000 0 0 GRANTS 24 C.O.P.s City Hall 0 547,334 0 0 0 0 28 Environmental Programs 0 261,728 477,000 601,114 631,170 662,728 5% * 31 Park Development 72,982 117,708 551125 57,881 60,775 63,814 5% 33 State Urban Parks 0 0 15,000 15,000 15,000 15,000 GRANTS Excursions 36,401 44,029 61,400 73,000 76,650 80,483 5% Class Fees 190,799 265,291 333,955 345,880 363,174 381,333 5% Building. Rent 76,230 55,791 74,215 85,000 88,400 91,936 4% Park Income , 6,305 6,349 61500 6,500 6,760 7,030 4% Hakone Income 0 0 0 0 0 40,000 Youth Services 0 5,138 17,237 47,350 47,350 47,350 FLAT 40 Sub -Tot Entrprise 309,735 376,598 493,307 557,730 582,334 648,132 0: \FIH \CAMFLOW.WK1 CITY OF SA1 60 -68 Trust Funds - RECEIPTS 362,916 71 -76 Assessment Districts 360,585 250,358 Debt Issues 0 1,707,970 tOT RESTRICTED FUNDS 11706,295 4,606,859 TOTAL 7,815,911 11,135,662 *PROCEEDS OF TAXES - REVENUE SOURCE aTOGA 0 0 415,435 506,735 0 0 2,847,585 3,787,561 9,362,319 10,880,034 0 0 1,431,504 461,103 schedule 0 0 3,826,788 3,373,681 11,225,422 10,002,760 09- Jun -93 0: \FIN \CASHFL0W.WK1 PROGRAM NAME Police Protection Communications Code Enforcement Crossing Guards Emergency Mgt Inspection Services TOTAL PUB. SAFETY CITY OF SARATOGA ACTUAL FY 91 -92 FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 90-91 ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE 1,598,080 1,696,359 198,902 216,543 121,024 153,545 2,486 20,891 29,651 41,324 291,566 266,847 21241,708 2,395,508 1,970;771 NOW INCLUDI 184,120 20,650 27,713 316,317 2,519,571 1,925,359 M WITHIN POI 236,986 21,685 25,389 286,700 2,396,119 2,0011982 2,102,081 ,ICE PROTECTION 136,986 143,835 21,685 22,769 25,419 26,690 283,856 298,043 2,469,922 2,593,418 Subdivision Reg ......................NOW REPORTED AS PUBLIC WORKS SERVICES Inspection Sery ......................NOW REPORTED AS PUBLIC SAFETY General Eng ......................NOW REPORTED AS PUBLIC WORKS SERVICES Zoning Admin 270,055 220,829 237,197 251,056 251,231 263,793 Current Planning 93,678 87,783 85,620 73,231 68,431 71,853 Advanced Planning 80,420 123,222 87,837 59,751 58,751 61,689 Housing Assist 20,206 158,498 117,455 166,758 1671316 175,000 Water Quality Ngmt 174,610 342,683 392,683 359,817 Integrated Wast Mgmt 0 304,815 195,460 186,996 161,996 170,096 Congestion. Management 16,390 17,490 18,040 18,942 TOTAL COMM.ENV. 464,358 .895,146 914,569 1,097,965 1,068,448 1,121,189 Street Naint 687,831 1,250,966 1,319,459 1,072,857 1,107,193 1,162,553 Curb,Gutter,Sdwalk 21,519 16,630 28,910 35,509 354509 37,284 Traffic Control 128,708 124,486 160,576 137,845 137,845 144,737 Flood Control 21,526 34,897 53,526 54,786 52,786 55,425 Median /Parkway 80,255 75,497 99,912 113,411 110,350 115,868 Parks /Open Space 322,862 347,724 342,193 264,886 257,097 269,952 Hakone Gardens 111,355 134,026 141,538 101,786 103,786 108,975 Development Regulation 621597 138,948 89,815 102,509 1 97,509 102,384 General Engineering 302,577 188,934 178,042 198,579 198,829 208,770 TOTAL MAW. SERV 1,374,051 1,984,226 2,413,971 21088,168 2,100,904 2,205,949 Recreation Sery 265,489 373,103 442,190 463,141 462,941 486,080 Volunteer Services 110,527 103,686 44,319 32,285 32,285 331899 Cultural Services 5,806 3,461 3,771 3,463 3,463 3,636 Youth Services 29,041 69,287 78,454 81,506 87,506 91,881 Senior Services 64,000 63,956 63,956 63,956 TOTAL COMN.SERVICES 410,864 549,537 632,734 650,351 650,151 615,505 Parking Dist #1 18,425 28,000 22,000 21,000 0 0 Parking Dist 12 11,344 11,163 15,800 15,075 14,350 12,900 Parking Dist 14 68,950 62,500 63,900 64,850 65,350 65,400 Lands/Lght. Dist 105,912 465,137 146,425 187,447 159,646 167,628 Library Bonds 92,720 93,890 89,425 91,590 93,455 95,018. Parking Dist #3 102,233 163,435 159,210 158,239 220,018 159,215. C.O.P.s City Hall 0 210,291 209,758 210,433 207,208 203,078 Median Bonds 0 0 0 0 0 0 TOTAL ASSESS.DIST. 399,584 1,034,417 706,518 748,634 760,027 703,238 Community Groups 20,200 22,500 24,424 3,000 3,000 3,150 Sister City 500 623 0 09- Jun -93 0: \FIN \CASHFLOW.WK1 Paratransit Franchise Admin.. Community Events Library Services HCDA Admin. Comm. Access TV TOTAL COHN SDPP. CITY OF SARATOGA 6,500 15,000 15,000 121,090 NOW REPORTED AS PART OF 0 35,278 30,278 25,097 28,120 29,577 13,217 8,182 12,214 35,237 57,311 68,131 221,841 167,013 179,624. 12,590 12,590 12,590 ENVIRONMENTAL PROGRAMS 14,171 14,171 14,880 22,500 23,625 24,806 11,666 11,676 12,260 54,138 51,088 53,642 118,065 116,150 121,328 TOT OPER PROGRAMS 5,112,412 7,025,848 7,366,987 7,099,302 7,165,602 7,360,627 09- Jun -93 0: \FIN \CASHFLOW.WE1 09- Jun -93 TOT OPER BUDGET 7,266,867 9,372,941 9,612,188 9,370,632 9,483,076 9,793,975 CITY OF SARATOGA EXPENDITURE PROJECTIONS F.Y. 1991 - 1996 ACTUAL FY 91 -92 FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 90-91 ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE PROGRAM MAKE City Council 37,352 39,419 60,375 54,820 56,990 59,840 City Commissions 23,409 23,020 39,575 19,800 19,800 20,790 City Mgr's Office 201,309 174,622 176,100 193,682 193,682 203,366 Financial Mgt 420,978 477,547 437,417 421,640 421,719 442,805 Litigation Services 216,052 225,922 76;000 37,500 37,500 39,375 City Clerk 56,7% 79,012 62,763 63,082 59,606 62,586 Personnel Mgt 77,176 79,937 75,713 63,473. 63,473 66,647 Comm. Relations 59,813 31,335 28,491 15,840. 15,930 16,727 Central Services 124,448 111,843 103,391 81,025 81,025 85,076 TOTAL GEN'L GOVT 1,217,335 1,242,656 1,0591825 950,862 949,725 997,211 Employee Benefits 493,684 581,548 676,135 824,201 909,567 955,045 Equipment Ops. 141,367 266,491 182,478 156,689 130,782 137,321 Fixed Asset Kaint 81,870 77,155 80,133 84,427 85,892 90,187 Facilities Kaint 220,199 233,243 246,630 255,151 241,508 253,583 TOT INTRAGOV. SERV. 937,121 1,104,437 1,185,376 1,320,468 1,367,749 1,436,136 TOT OPER BUDGET 7,266,867 9,372,941 9,612,188 9,370,632 9,483,076 9,793,975 0: \FIN \CASHFLOW.WR1 09- Jun -93 CITY OF SARATOGA CAPITAL PROJECT APPROPRIATION ESTIMATES F.Y. 1991 - 1996 ACTUAL FY 91 -92 FY 92 -93 PY 93 -94 FY 94 -95 FY 95 -96 FY 90 -91 ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE 901-Congress Sp Park 0 0 0 0 902 - Median Landscape 0 0 0 0 905 -Quito Rd. Brdg 2,237 3,232 534,470 26,481 0 0 907 -Sr. Center 0 0 0 0 908 -P. D. 13 0 0 0 0 909 - Pavement Mgt 319,248 0 0 0 917- Hakone Gardens Sit 0 0. 0 0 920- Bohlman Rd 0 0 0 0 ,921-Trffc Cntrllr 0 0 0 0 922 -Quito Pk Hdcp 0 0 0 0 923 - 14edian -SS Pros 0 0 0 0 924 - Median SS Verde -9 15,000 2,524 26,600 430,500 0 0 925 - Elva /Cnyn Vw 0 0 0 0 926- Wildwood Pk Brg 10,000 4,285 129,001 0 0 0 927 -Hndp Acc -Govt Bldg 0 0 0 0 928 -Sound Sys -Conn Tht .0 0 0 0 929 - Computer Upgrade 0 0 0 0 931-CC Landscape 0 6 0 0 932 -Tnns Ct Rsrfc SRS 0 0 0 0 9334rookg1en Park 0 0 0 0 941- Sarahills Drive 0 0 0 0' 945 -Quito Park 0 0 0 12,000 0 0 951 - Seagull Signal 0 0 0 0 952- Kirkmont Signal 0 0 0 0 953 - Pierce Rd Brdg 0 .40,285 80,338 343,725 0 0 954 -Frtvl Rd Lndscp 0 0 0 0 955- Wildwood Pk 0 3,000 3,500 47,500 0 0 956 -City Hall Up 150,000 1,561,061 110,767 0 0 0 957 -Big Basin Rcnst 0 0 0 0 958-4th St Sdwlk 0 24,575 0 0 0 961 -Artrl St Sdwlk 5,283 100 7,500 77,500 0 0 963 - Prspct Rd Lndscp 0 0 0 0 964 -Kevin Moran Pk 0 0 0 0 973 - Library Lndscp 0 0 0 0 974 -Vllg Ped Ph 0 0 0 0 975 -Play Equipment 39,515 0 0 0 976 - Computer Replaceme 0 0 0 0 977- Beauchamps Park 22,000 27,252 248,000 7,500 0 0 978- Hakone Cltrl Bldg 400,000 0 0 0 979 -SW /NE Rd 0 0 0 0 980 -Skateboard Ramp 0 0 0 0. 981-Hakone Watering Sy 20,000 21,500 12,500 110,000 0 0 982 -Handicapped Access 0 0 0 0 983 -Pierce Rd 40,000 16,938 0 0 0 09- Jun -93 0: \FIN \CASHFLOW.WK1 CITY OF SARATOGA CAPITAL PROJECT APPROPRIATION ESTIMATES F.Y. 1991 - 19% ACTUAL FY 91-92 FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 90 -91 ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE 09- Jun -93 9101 -Quito Road Signal 0 0 0 0 9102 -Azule Park 0 0 0 0 9103- Hakone Entrance 0 0 0 0 9104 - Nelson Gardens 0 0 0 0 9105- Fruitvale /Sara In 0 0 0 75,000 0 9106 - Pierce /SS Interse 0 0 0 0 0 9107 - Traffic Interconn 0 0 0 9108 - Village Streetsca 0 0 25,000 0 9110- Quito /Cox Signal 0 75,000 75,000 0 9111 -Quito Rd Bridge I 0 0 0 92,000 633,000 9109 - Quarry Creek 0 2,500 64,000 0 0 9112- Cox \Cumberland 0 34 0 500 12,000 0 9113-Route 85 Soundwal 0 8,060 227,500 204,290 0 0 9114-Ravenwood Develop 0 12,500 12,500 0 0 9125 - Capital Project D 0 12,898 0 0 0 0 9301 - Warner Hutton House 2,000 173,000 0 0 9302 -ADA Compliance Imp 125,000 125,000 9303 - Citywide Drainage Impr 9306-underground Utility District 800,000 9307 - Congress Springs Ball Screen 50,000 TOTAL CAP'PROJ 1,0231283 1,725,744 1,397,176 1,759,496 1,204,000 633,000 GRAND TOTAL 8,290,150 11,098,685 11,009,364 11,130,128 10,587,076 10,426,975 0: \FIN \CASHFLOW.WR1 CITY OF SARATOGA CASH FLOW MODEL FY1990- FY1996 FY 90 -91 FY 91 -92 FY 92-93 FY 93 -94 FY 94 -95 FY 95 -96 ACTUAL ACTUAL RE- ESTIMATE ESTIMATE ESTIMATE ESTIMATE AUDITED FUND BALANCES 7,835,478 7,361,239 7,398,216 5,751,171 5,501,077 6,039,423 7,815,911 11,135,662 9,362,319 10,880,034 11,225,422 10,002,760 OPERATIONS EXPENSE 7,266,867 9,372,941 9,612,188 9,370,632 9.,483,076 9,793,975 CAPITAL PROJECTS 1,023,283 1,725,744 1,397,176 1,759,496 1,204,000 633,000 TOTAL BUDGET 8,290,150 11,098,685 11,009,364 11,130,128 10,687,076 10,426,975 CLOSING FUNDS BALANCE 7,361,239 7,398,216 5,751,171 5,501,077 6,039,423 5,615,208 RESERVATIONS: EMPLOYEE LOAN RECEIVABLE 417,500 417,500 200,000 200,000 200,000 200,000 H.C.D.A. LOANS RECEIVABLE 4990790 487,724 467,601 467,601 467,601 467,601 FUND BALANCES /AVAILABLE 6,443,949 6,492,992 5,083,570 - 4,833,476 "'5y371,822 4,947,607 FUND BALANCE REQUIRED 3,633,434 4,686,470 4,806,094 4,685,316 4,741,538 4,896,987 DIFFERENCE 2,810,515 1,806,522 277,476 148,160 630,284 50,620 09- Jun-93 SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. MEETING DATE: June 16. 1993 ORIGINATING DEPT. City Manager C� AGENDA ITEM CITY MGR. SUBJECT: Personnel Resolutions for Fiscal Year 1993/94: 1. Resolution Authorizing Permanent Positions in City Service 2. Resolution Revising Management Compensation System and Incorporating Fringe Benefits for Management Employees 3. Resolution Setting Management Salary Ranges Recommended Motion(s 1. Approve Resolution No. Authorizing Permanent Positions in City Service for fiscal year 93 \94 2. Approve Resolution No. Revising Management Compensation System and Incorporating Fringe Benefits for Management Employees 3. Approve Resolution No. 85 -9 Setting Management Salary Range for fiscal year 93/94 Report Summary: 1. The Resolution authorizing permanent positions in City service reflects the reorganization which creates a Public Works Department and a Community Development Department, eliminates the Maintenance Department, and transfers the Community Service Officer program to the Community Development Department. Revised job descriptions are attached for Clerk Typist and Senior Clerk Typist. They include reclassification of the Switchboard Operator /Receptionist to the Clerk Typist series. The Community Service Officer /Emergency Preparedness Coordinator position has been reclassified to Public Services Assistant and stays in the City Manager's Office. The new job description is attached. None of these changes result in changes in salary range. 2. The resolution revising the management compensation system and incorporating fringe benefits for management employees adopts a merit increase pool system where management employees are evaluated at a focal point and rank ordered. Any merit increases given will vary by rank order but the total will equal the designated pool amount. 3. The resolution setting management salary ranges for 93 \94 is based on an- annual survey and the guidelines set forth in the resolution revising the management compensation system. Fiscal Impacts: Wage and salary costs are included in the proposed 93/94 Budget. Follow Up Actions: Direct staff to implement changes in personnel system. Consequences of Not Acting on the Recommended Motions:. Changes will not be made, and staffing will not be as authorized. Attachments: 1. Resolution Authorizing Permanent Positions in City Service 2. Resolution Revising Management Compensation System and Incorporating Fringe Benefits for Management Employees 3. Resolution Setting Management Salary Ranges 0: \Carolyn \exec.sum(rev.6 -8 -93) 2 March 16, 1993 To: City Manager From: Assistant to the City Manager Subject: Reclassification of Receptionist The job descriptions for the Switchboard Operator /Receptionist and the Clerk Typist are very similar, and both are in range 56. With the shifting of some of the Receptionists' job duties in the last year, I believe that this is an appropriate time to combine the classifications. The reclassification of the Receptionists would not have any effect upon their part -time status, which is 60% of full time. We currently have Clerk Typists who work 75% and 80 %, so the only real difference is in the schedule which is worked and the duties specific to their department. The change would allow us to be more flexible in staffing. 1. All Clerk Typists would be required to learn and be able to operate the switchboard 2. Proficiency in using the network and appropriate software would be part of the requirement for advancement to Senior Clerk Typist 3. The Clerk Typists who work as the central receptionists would have an incentive to remain in the position and improve their skills in order to advance to Senior Clerk Typist The reclassification would send the message that with limited resources available to us it is important that employees are trained to use the resources we have. The central switchboard provides support to all departments; therefore all departments should share responsibility for running it effectively and efficiently to ensure good customer service. Ca lyn King cc: Karen Campbell CLERK TYPIST DEFINITION Positions in the classification of Clerk Typist perform intermediate -level clerical tasks involving word processing, filing and providing information and assistance to interested parties. Incumbents who serve as central receptionist operate a switchboard. Work is normally performed under general supervision. DISTINGUISHING CHARACTERISTICS This is the journey -level classification in the Clerk Typist series. It is distinguished from the next higher level of Senior Clerk Typist in that the latter is required to have and exercise greater technical job knowledges, perform duties with greater independence and /or direct the work of others. EXAMPLES OF WORK (The duties listed below represent examples of work performed and are not all - inclusive of duties which are or may be assigned this classification.) o Types a variety of correspondence, for reports and financial or statistical statements from clear copy, draft, marginal notes or verbal instructions. o Provides information and assistance to interested parties. This information can cover a variety of subjects which may entail some interpretation and the exercise of judgment on the incumbent's part. o Receives . incoming calls to City departments and refers calls to the proper party or agency. o Researches records for information and prepares summaries and tabulations. o Receives monies and records payments as appropriate. May periodically prepare summaries of transactions. o Performs general office duties such as maintaining files and records and opening and routing mail. o Operates a variety of office equipment including calculators and personal computers with applicable software. QUALIFICATIONS Knowledge of: Office practices and procedures including proper telephone and reception techniques; basic mathematics; correspondence forms and correct. punctuation, spelling, grammar and vocabulary; and basic records retention systems. Ability to: Operate a variety of office equipment; acquire a working knowledge of department operations and a general knowledge of City operations; follow written and verbal instructions; properly operate a telephone switchboard and effectively screen and refer calls; type at a speed of not less than 50 net words per minute from clear copy; operate personal computers and applicable software; and work effectively with other staff and the public. Education and Experience: Sufficient education and experience to satisfactorily perform the duties of this classification. A typical qualifying background would be graduation from high school and one year of experience in general clerical work and operating personal computers with applicable software. City of Saratoga Revised April 1993 SENIOR CLERK TYPIST DEFINITION Positions in the classification of Senior Clerk Typist perform complex cleric&-/ tasks involving word processing, filing and providing varied information and assistance to interested parties. Depending upon assignment, work is. performed under general supervision or with considerable independence. Incumbents may regularly direct the work of lower -level clerical personnel. DISTINGUISHING.CHARACTERISTICS This is the highest level classification in the Clerk Typist series. It is distinguished from the class of Secretary through the lack of any significant amount of secretarial responsibilities involving relieving managers and staff of administrative detail. It differs from the next lower class of Clerk Typist through the greater technical job knowledges possessed and exercised, the greater independence with which work is performed and /or the direction of work of lower -level clerical employees. Positions in this class are flexibly staffed and are normally filled by advancement from the Clerk Typist level. EXAMPLES.OF DUTIES (The duties listed below represent examples of work performed and are not all - inclusive of duties which are or may be assigned this classification.) o Types a variety of correspondence, forms, reports and financial or statistical statements from clear copy, draft, marginal notes or verbal instructions. o Provides a variety of information and assistance to interested parties. This includes explanations of department and City procedures and policies and furnishing technical information such as code requirements. o Reviews reports, records, applications and other data for accuracy, completeness and compliance with established standards. Researches records for information and compiles summaries and tabulations which may be submitted directly to the requesting individual or agency. o Receives monies and records payment as appropriate. Periodically prepares detailed summaries of transactions which may entail the refinement of conversion of data into account numbers, activities and programs. o Establishes and maintains basic filing systems. As necessary, develops and maintains comprehensive records systems regarding activity costs, program usage and revenue, materials usage, incidence of vehicle repair and other matters. 0 Receives and screens incoming telephone calls and visitors; may arrange appointments and meetings for staff. o Prepares purchase requisitions, expense statements and related transactions. o Operates a variety of office equipment, calculators and personal computers with applicable software. QUALIFICATIONS Knowledge of: Principles of office management; basic mathematics; correspondence forms and correct punctuation, spelling, grammar and vocabulary; and comprehensive records retention systems. Ability toi Coordinate office clerical functions; acquire a thorough knowledge of'the functions, procedures and policies of the department and a working knowledge of City operations; make decisions on procedural matters without immediate supervision; prepare and maintain accurate and complete records and reports.; operate a variety of office equipment; follow written and verbal instructions; .type at a speed of not less than 50 net words per minute from clear copy operate personal computers and applicable software; use computer network and network wordprocessing program proficiently; and work effectively with other staff and the public. Education, and Experience: Completion of three years experience as a Clerk Typist for the City of Saratoga, or four years of comparable experience at least two of which have been with the City. City of Saratoga Revised April 1993 DEFINITION Under the general supervision of the Assistant to. the City Manager, performs a variety of administrative and analytical staff work related to public safety and general administration. This is an entry level professional classification in the Office of the City Manager. The primary responsibility of the Public Services Assistant is the coordination of the City's Emergency Preparedness program which involves developing, implementing, and monitoring emergency procedures and conducting applicable training. EXAMPLES OF WORK (The duties listed below represent examples of work performed and are not all - inclusive of duties which are or may be assigned this classification.) o Plans, coordinates, and conducts emergency exercises. o Coordinates on -going training programs for City departments and City staff related to the Emergency Plan and their responsibilities as emergency service workers. o Coordinates the purchase, maintenance, and operation of equipment needed for the Emergency Preparedness program. o Coordinates the work of the Ham Radio operators and of other .emergency volunteers. o Serves as the staff representative at meetings with the State Office of Emergency Services, the Santa Clara County Emergency Manager's Association, the Santa Clara Valley Red Cross, and other related agencies. o Conducts public presentations related to the City's Emergency Preparedness program. o Administers and enforces a variety of programs related to City and State codes including but not limited to garbage, trash, water pollution, animal control, and business licenses and permits. o Reviews applications for a variety of permits and licenses, issues and monitors permits, and conducts administrative review of appeals. o Analyzes and interprets relevant data from legislative codes and case files. o Writes reports and correspondence, maintains records, and performs incidental clerical duties. OUALIFICATIONS Knowledge Of: Development and administration of a municipal program; and basic functions and operations of municipal government. Ability To: Plan and effectively implement programs meeting community needs; work effectively with a wide variety of individuals and groups; acquire a thorough knowledge of applicable codes and regulations and effectively enforce them; effectively communicate orally and in writing; and operate personal computers and applicable software. Education and Experience: Sufficient education and experience to satisfactorily perform the duties of this classification. A typical qualifying background would be possession of a bachelor's degree and one year of program coordination experience for a municipality or other public agency. Driver's License: Possession of a valid State of California driver's license. c: \wp51 \kc \spec \psc.cs City of Saratoga - -May 1993 SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. AGENDA ITEM MEETING DATE: June 16, 1993 ORIGINATING DEPT. Engineering CITY MGR. .04�� SUBJECT: Approval of Capital Improvement Plan for 1993 -1998 Recommended Motion(s): Move to adopt the attached resolution approving the Capital Improvement Plan for the five year period beginning July 1, 1993 and ending June 30, 1998. Report Summary: Attached is the final draft of the 1993 -98 Capital Improvement Plan. I have incorporated the changes approved by the Council at your previous meeting on June 2. These changes deleted Projects 974 (Village Pedestrian Plaza), 9101 (Quito Road Traffic Signal) , 9104 (Nelson Gardens Acquisition) , 9303 (Citywide Drainage Improvements) and 9305 (Rollerblade Facility) . Additionally, I have included an item called "Commission Review" on the project data sheets for all projects not yet underway to designate the Commission(s) which will be primarily responsible for reviewing each project as they are developed and before they are brought to the Council for final approval. Of course, the entire CIP will still be reviewed by the Planning Commission each year for General Plan consistency. Fiscal Impacts: Detailed financial information on each of the projects in the CIP are contained in the CIP and further information about the impact of the CIP on the City's budget is provided by the City Manager in companion reports. In general, the CIP proposes $4,961,496 in project expenditures over the five year period with $4,754,722 in available revenues to support the projects. The difference of $206,774 will be made up through General Fund support and possibly some restricted funds and /or additional outside funding sources not yet identified. Follow Up Actions: The CIP document will be published and staff will begin implementing the various projects according to their schedules. Consequences of Not Acting on the Recommended Motions: The CIP would not be approved by the City Council and further changes directed by the Council would be incorporated into the Plan. AMERICANS WITH DISABILITIES ACT (ADA) STATEMENT In accordance with the requirements of the Americans with Disabilities Act (ADA) of 1990, this document may be provided in other accessible formats. For information contact: Larry I. Perlin, City Engineer City of Saratoga 13777 Fruitvale Avenue Saratoga, CA 95070 (408) 867 -3438 CITY OF SARATOGA CAPITAL IMPROVEMENT PLAN The City of Saratoga Is Capital Improvement Plan is a five year plan for capital, expenditures to meet the needs arising from the long term, work program and shorter term needs which are def ined when they arise. The CIP identifies the funding sources estimated to be available to finance the projected expenditures.. The first two, years-of the Capital. Improvement Plan become the:Capital Project Budget. The functions of the_CIP are generally to: Inform the general-public of projected capital improvements. Link the City's General and Specific Plans and budget to physical development. Develop a plan for short and long term funding of'capital requirements. Coordinate -the needs of City departments for capital improvements and ensure that implementation considers scheduling and operating requirements.. Monitor and evaluate the progress of capital projects. CIP Project Status Quito Road Bridge Replacements, Project No. 905 This - project was completed .. during the second quarter of 1993. Project closeout will occur before the end of -FY 92 -93 Saratoga- Sunnyvale Rd. Improvements, Project No.924 Project design is complete and is awaiting Environmental Clearance from Caltrans which should occur during the second quarter of 19934 Construction should be underway, by the end of summer and completed before the end of the year. Wildwood Park Pedestrian Bridge, Project No. 926 The project was completed during the fourth quarter of 1992. El Quito Park Improvements, Project No. 945 The final landscape- improvements are scheduled to completed during the summer. All other improvements were completed in 1989. Pierce Road Bridge Replacement, Project No. 953 The final design was completed during the first quarter of 1993 and the project is awaiting Environmental Clearance from Caltrans which should occur during the second quarter. Project construction is scheduled to begin later this summer and be completed by fall. Fruitvale Avenue Median Improvements, Project No. 954 This project has been taken off schedule due to budgetary constraints. Wildwood Park Improvements, Project No. 955 Design work was completed during the fourth quarter of 1992 and the project is scheduled to move to construction during the third quarter of 1993. Saratoga Avenue Sidewalks, Project No. 961 The project is scheduled to start construction during the second quarter of 1993 and be completed during the third quarter. Prospect Road Medians, Project No. 963 This project has been taken off schedule due to budgetary constraints. Kevin Moran Park Improvements, Project No. 964 This project has been taken off schedule due to budgetary constraints. Village Pedestrian Plaza, Project No. 974 This project has been taken off schedule due to budgetary constraints. Beauchamps Park, Project No. 977 The project was completed during the first quarter of 1993. SW /NE Road, Project No. 979 No schedule has been assigned to this project as of yet. Hakone Gardens Water System, Project No. 981 The project was redesigned - during the first quarter of 1993 and is currently out to bid. Construction is scheduled to occur during the summer and fall. Azule Park, Project No. 9102 This project has been taken. off schedule. due to budgetary constraints. Hakone Entrance Rd. Improvements, Project No 9103 This project has been taken off schedule due to budgetary constraints. Nelson Gardens Acquisition, Project No. 9104 This project has been taken off schedule due to budgetary constraints and also, because the property is no longer for sale. Fru-tvale[Saratoga Intersection Improvements, Project No. 9105 This project will occur in conjunction with the initial phase of development of the Kerwin Ranch subdivision, tentatively slated for sometime in FY 94 -95. Traffic Signal Interconnects, Project No. 9107 This project has been taken_ off schedule due to budgetary constraints. Village Streetscape Improvements, Project No. 9108 This project is tentatively scheduled for FY 94 -95 and is dependent on obtaining a Transportation Enhancement Activity grant. Quarry Creek Mitigation, Project No. 9109 This project is scheduled to occur during the summer and fall of 1993. Quito /Cox /Baylor Traffic Signal, Project No. 9110 This project is scheduled to occur during the summer of 1994 and.be completed-prior to the opening of-Route 85-. Quito Rd. Bridge Replacements - II, Project No. 9111 Design work will begin in the second half of 1994 and construction is scheduled to occur during the summer of 1995. Cox Avenue Improvements, Project No. 9112 The initial phase of the project is scheduled to occur during the second half of 1994. Route 85 Soundwalls, Proiect -No. 9113 All of the freeway soundwall. height increases have been completed. The Bonnet Way soundwall is presently under construction and is scheduled for completion during the summer of 1993. Ravenwood Park, Proiect No. 9114 Property acquisition occurred in 1991. The park is presently under development by neighborhood volunteers and is scheduled for completion in the summer. of 1993. Warner Hutton House Improvements, Project No. 9301 The interior remodel ,work is scheduled to be completed during the summer of 1993 and the exterior landscaping in the fall. ADA_Compliance Improvements, Proiect No. 9302 The architectural survey will be completed by the end of 1993 and identified improvements will be completed during 1994 and 1995. Citywide handicap ramp installations will occur during the summers of 1993 and 94. Saratoga - Sunnyvale Rd. Rehabilitation, Proiect No. 9304 Design work will occur during FY 95 -96 after the State completes their improvements and relinquishes the road to the City. Construction is scheduled for FY 96 -97: The entire project schedule could be advanced if ISTEA funds become available sooner. Underground Utility District, Proiect No. 9306 The next utility undergrounding district is scheduled to occur in FY 94 -95. Congress Springs Park Ball Screen, Project No. 9307 The screen is scheduled to be installed during the fourth quarter of 1993 or first quarter of 1994 between organized league activities and prior to the opening of Route 85. Project No.: 905 Project Name: Quito Road Bridge Replacements Project Description: The project involves the replacement and widening of two bridges on Quito Road which span San Tomas Aquino Creek near Austin Way and Bicknell Road. The project is a joint effort between the Cities- of Saratoga and Monte Sereno and the Santa Clara Valley Water District with Saratoga serving as the lead agency. Eighty percent (80 %) of the project funding is provided through the Federal Highway Bridge Replacement and Rehabilitation (HBRR) Program with the remaining twenty percent (200) shared equally among the three local agencies. Project Justification: Replacement and widening of the bridges will substantially improve the safety of lower Quito Road for motorists, bicyclists, and pedestrians. General Plan Policy: Consistent with Circulation Element Goal 2.0 and-Policy 8.2. Impact Analysis:- Environmental - The project received an Environmental Clearance from Caltrans in 1987. Operational and Maintenance - Replacement of the two aging bridges will reduce the City's bridge maintenance costs by an unknown amount. Financial Analysis: Total Project Cost - $717,512* Funding Source: Gas Tax Fund (HBRR) - $568,609 General Fund (Ref. /Reimb.) - $95,668 General..Fund $53,235 Prior Years - $156,561 1992 -93 - $534,470 93 -94 - $26,481 94 -95 95 -96 96 -97 97 -98 Project No.: 924 Project Name: Saratoga - Sunnyvale Road Improvements - Big Basin Way to Verde Vista Lane Project Description: This project funds the construction of streetscape improvements along the section of Saratoga - Sunnyvale Road directly north of the Village. Elements include landscaped medians with left turn pockets from Big Basin Way to Verde Vista Lane and',' pedestrian and bicycle facilities along the west side of the road south of Reid Lane. Project Justification: The project improves aesthetics at the - entrance to the Village. and enhances safety for pedestrians and. bicyclists travelling towards the Village. General Plan Policy: Consistent with Land Use Element Goal 4.0, Circulation Element Goal 3.0 and Policies 3.4, 6.1, 6.8 and 6.10. Impact Analysis: Environmental - The project is scheduled to receive an Environmental Clearance from Caltrans during the.first quarter of FY 93 -94. Operational and Maintenance.-,The project will increase the City's annual median maintenance costs by approximately $8,500. Financial Analysis: Total Project Cost - $634,684 Funding Source: Gas Tax Fund (ISTEA) - $340,000 Gas Tax Fund (2105 MOE) - $26,600 General Fund - $268,084 Prior Years - $177,584 1992 -93 $26,600 93 -94 - $430,500 94 -95 95 -96 96 -97 97 -98 Project No.: 926 Project Name: Wildwood Park Pedestrian. Bridge Project Description: This project provides disabled access to Wildwood Park from Parking District No. 1 via a pedestrian bridge over Saratoga Creek. Project Justification:. The new bridge will provide required disabled access and safer pedestrian access to Wildwood -Park. General Plan Policy: Consistent with Land Use Element Goal 3.0 and Open Space Element Goal 4.0. Impact Analysis: Environmental'- A Negative Declaration was prepared and filed in 1991. Operational and Maintenance - -The new bridge will add to the City's bridge maintenance costs by an unknown amount. Additional operating costs will be incurred due to bridge lighting. Financial Analysis: Total Project Cost - $147,413 Funding Source: Assessment District Fund (LLA -1) - $6,000. HCDA Fund - $101,078 Park Development Fund - $40,335 Prior Years - $18,412 1992 -93 - $129,001. 93 -94 94 -95 95 -96 96 -97 97 -98 t Project No.:. 945 Project Name: E1 Quito Park Improvements Project Description: This project funds improvements at E1 Quito Park, all of which but landscaping enhancements were completed in 1989. The landscaping,_ which was deferred due to the drought, is scheduled to be completed during the first half of FY 93 -94_. Project Justification: The project completes the development of El Quito Park in accordance with the approved Master Plan for the park. General Plan Policy: Consistent with Open Space Element Goal 4.0 and Noise Element Policy 2.2. Impact Analysis: Environmental - The project received a Categorical Exemption in 1989. Operational and Maintenance - The park improvements will increase the City's park maintenance costs by an unknown amount.. Financial Analysis: Total Project Cost Funding Source: State Park Bond Fund (1986 Bonds) - $72,987 Prior Years - $60,987 1992 -93 - 93 -94 - $12;000 94 -95 95 -96 96 -97 97 -98 Project No.: 953 Project Name: Pierce Road Bridge Replacement Project Description: This project funds the replacement of the Pierce Road bridge over Calabazas Creek at Sarahills Drive and Quarry Road. The project implements terms of the Measure A Settlement Agreement for Tract No. 6.781. Project Justification: The project will improve the safety of Pierce .Road for both vehicles and pedestrians by widening. the travelled way and improving the alignment of the bridge over the creek. Also, erosion of the creek banks which threaten the stability of the existing structure will be-stabilized. General Plan Policy: Consistent with Land Use, Element Goal 2.0 and Policy, 7.2, Circulation. Element Goal. 6.0. and Policy 6.8, Northwestern Hillside Specific Plan Goals 5 and 7, Hydrology and Flooding Policy 2, Circulation (Pierce Road) Policy la and imple- ments Circulation Action Program Element 2. Impact Analysis: Environmental - The project is scheduled to receive an Environmental Clearance from Caltrans during the first quarter of FY 93 -94. Operational and Maintenance - Replacement of the existing bridge will reduce the City's bridge maintenance costs by an unknown amount. Financial Analysis: Total Project Cost - $464,348 Funding Source: Gas Tax Fund (HBRR) - $274,980 General Fund (Ref. /Reimb.) - $160,288 General Fund - $291080 Prior Years - $40,285 1992 -93 - $80,338 93 -94 - $343,725 94 -95 95 -96 96 -97 97 -98 e Project No.: 954 Project Name: Fruitvale Avenue Median Improvements Project Description: Part of the'Median Landscaping Master Plan, this project would improve the Fruitvale Avenue medians from Allendale Avenue south to. the end of the four lane section near San Marcos Road. Project Justification: The project was approved as part of the Median Landscaping Master Plan which identifies existing medians to be upgraded with landscape improvements. General Plan Policy: Consistent with - Circulation Element Goal 3.0 and "Policy 3.4 and Conservation Element Goal 7.0. Commission Review: Planning. Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The project will increase the City's annual median maintenance costs by approximately $14,50.0. Financial Analysis: Total Project Cost - $385,000 Funding Source: Undetermined . Prior Years $ 0 1992 -93 93 -94 94 -95 95 -96 96 -97 97 -98 0 Project No.: 955 Project Name: Wildwood Park Improvements Project Description: This project will renovate and expand facilities at Wildwood Park. Project Justification:. The project will -eliminate.safety hazards resulting from deteriorating play equipment and park furniture. General Plan Policy: Consistent with Land Use Goal 3.0. Commission- Review: Parks and - Recreation Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The new facilities will reduce the City's park maintenance costs by an unknown amount. Financial Analysis: Total Project Cost - $54,000 Funding Source: State Park Bond Fund - $54,000 Prior Years - $3,000 1992 -93 - $3,500 93 -94 - $47,500 94 -95 95 -96 96 -97 97 -98 Project: No . : Project Name: 961 Saratoga Avenue Sidewalks Project Description: This project funds the installation of sidewalks along Saratoga Avenue north of Cox Avenue. The project is part of the City's overall Arterial Streets Sidewalk Program. Project'-Justification: Completion of the missing sections of sidewalk improves the safety for pedestrians walking along Saratoga Avenue on which traffic is expected to increase due to the Route 85 interchange. General Plan Policy:. Consistent with Circulation Element Goal 6.0 and Policy 6.8. Impact Analysis: Environmental Categorically Exempt under CEQA. Operational and Maintenance - The project will add incrementally to the City's sidewalk maintenance costs by an unknown amount. Financial Analysis: Total Project Cost - $90,608 Funding Source: TDA Fund - $85,000 i Prior Years - '$5,608 1992 -93 - $7,500 93 -94 - $77,500 94 -95 95 -96 96 -97 97 -98 i Project No.: 963 Project Name: Prospect Road Medians Project Description: Part of the Median Landscaping Master Plan, the project is planned as a joint effort with the City of San-Jose to landscape the unimproved medians along Prospect Road. Prospect Justification:. The project was approved as part of the Median Landscaping Master Plan which identifies median projects to be implemented. General Plan Policy:. Consistent with Circulation Element Goal 3.0 and Policy 3.4, Open Space Element Goal 5.0 and Policy 5.1 and Conservation Element Goal 7.0. Commission Review: Planning Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance -;The new medians will increase the City's annual median maintenance costs by approximately $7,800. Financial Analysis: Total - Project Cost - $690,000 Funding Source: Undetermined Prior. Years - $ 0. 1992 -93 93 -94 94 -95 95 -96 96 -97 97 -98 Project No.: 964 Project Name: Kevin Moran Park Improvements Project Description: This project would fund the expansion of Kevin Moran Park into a community sized recreational facility as outlined in the Parks and'Trails Master Plan. Project Justification: The project.is identified in the approved - Parks and Trails Master. Plan. Completion of the project will reduce an identified shortage of. recreational facilities in the - City. General Plan Policy:- Consistent with Open.Space Element Goa1.4.0 and Noise Element Policy 2.2. Commission Review: Parks and Recreation Commission Impact Analysis: Environmental Initial study required to qualify for Negative Declaration under CEQA. Operational and Maintenance - The completed project will increase the City's annual park maintenance costs by approximately $12,000. Financial Analysis: Total Project Cost - $565,000 Funding Source: Undetermined Prior Years - $ 0 1992 -_93 93 -94 94 -95 95 -96 96 -97 97 -98 Project No.: 977 Project Name: Beauchamps Park Project Description: This project funds the development of a neighborhood park on a 2.5 acre dedicated parcel in the Beauchamps. Subdivision (Tract No. 7763). Project Justification: The project was identified' in the approved Parks and -Trails Master Plan. General Plan Policy: Consistent with Land Use Element Goal 2.0, Open Space Element Goals 1.0 and 4.0, Noise Element Policy 2.2 and Northwestern Hillside Specific Plan Park System Policy 1. Impact Analysis: ,Environmental - The project received a Negative Declaration under CEQA in.1991. Operational and Maintenance - The project will increase the City's annual park maintenance costs by approximately $12,000. Financial Analysis: Total Project Cost - $283,825 Funding Source: Park Development Fund - $238,825 Prior Years - $28,325 1992 -93 - $248;000. 93 -94 - $7,500 94 -95 95 -96 96 -97 97 -98 Project No.: 979 Project Name: SW /NE Road Project Description: A major element of the Northwestern Hillside Specific Plan, this project proposes to develop a 26 foot wide, two lane hillside collector road connecting Mt. Eden Road with Parker Ranch Road. Project Justification: Construction of the road will create an alternative access to and from the Northwestern Hillside residential areas. The alternative access will relieve traffic along the Pierce Road corridor and -will enhance emergency response and evacuation capabilities when they become.necessary. General Plan Policy: Consistent with Land -Use Element Goals 2.0 and 6.0 and Policy 7.2, Circulation Element Goal 2.0, Northwestern Hillside Specific Plan Goals 5 and .7 and Circulation Recommendation 1. Commission - Review: Planning Commission Public.Safety Commission Impact'Analysis: Environmental - The project will require preparation and approval of an Environmental Impact Report under CEQA. Operational and Maintenance - The project will add to the City's annual street maintenance costs by an unknown amount. Financial Analysis: Total.Project Cost - $1,750,000 (most current estimate) Funding Source: Hillside Development Fund Prior-Years - $ 0 1992 -93 93 -94 94 -95 95 -96`. 96 -97 97 -98 Project No.: 981 Project Name: Hakone Gardens Water System Project Description: This project will replace the existing domestic water and irrigation system at Hakone Gardens with a new system supplied from the Bohlman Road water tank above the property.: The new system will provide service for all existing buildings, the Cultural Exchange Center, a new irrigation system and will increase fire protection in the garden and for surrounding properties. Project Justification: The project will provide a suitable water supply for the existing and future facilities at Hakone Gardens and increased fire fighting capacity. General Plan Policy: Consistent with Land Use Element Policy 3.1. Impact Analysis: Environmental - The project received a Categorical Exemption under CEQA in 1992. Operational and Maintenance- The automated irrigation system will reduce maintenance costs and water use at the gardens by eliminating hand watering tasks. Financial Analysis: Total Project Cost - $143,657 Funding Source: Park Development Fund - $143,657 Prior Years - $21,157 1992 -93 - $12,500 93 -94 - $110,000 94 -95 95 -96 96 -97 97 -98 Project No.: 9102 Project Name: Azule Park 4 Project Description: Part of the Parks and Trails Master Plan, this project would develop the Azule Park property adjacent to.the Blue Hills Elementary School into a neighborhood park. Project Justification: The project is identified in the approved Parks afid- Trails Master Plan. General Plan Policy: Consistent with Open Space Element Goals 1.0 and 4.0 and Policy 3.1 and Noise Element Policy.2.2. Commission Review: Parks and Recreation Commission Impact Analysis: Environmental - Initial study required to qualify fora Negative Declaration under CEQA. Operational and Maintenance - The new park will increase the City's annual park maintenance costs by approximately $26,500. Financial Analysis: Total Project Cost - $410,000 Funding Source: Undetermined Prior Years - $ 0 1992 -93 93 -94 94 -95 95 -96 96 -97 97 -98 Project No.: 9103 Project Name: Hakone Gardens Entrance Road Improvements Project Description: This project would improve the entrance road into Hakone Gardens by stabilizing a small landslide and realigning and widening the road to better accommodate larger vehicles and two way traffic. Project Justification: The project will eliminate geotechnical and vehicular access problems associated with the.existing driveway. General Plan Policy: Consistent with Land Use Element Policy 3.1, Circulation Element Policy 2.4 and Open Space Element Goal-4.0-. Commission Review: Parks and Recreation Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The project will reduce long term maintenance costs of the driveway by an undetermined-amount. Financial Analysis:: Total Project Cost - $75,000 Funding Source: Undetermined Prior Years - $ 0 1992 -93 93 -94 94-95- 95 -96 96 -97 97 -98 Project No.: 9105 Project Name: Fruitvale Avenue /Saratoga Avenue Intersection Improvements Project Description: This project would improve safety in the Fruitvale Avenue /Saratoga Avenue intersection by providing handicap ramps at all pedestrian crossings and. by realigning the inter- section to. eliminate the free right turn movement onto Saratoga. Avenue. Project Justification: The improvements will enhance safety and access throughout the intersection and is a condition of approval of.the Kerwin Ranch subdivision, Tract No. 8559.. General Plan Policy: Consistent with Land Use Element Policy 7.2, Circulation Element Goals 2.0, 5.O and., 6.0 and Policies 2.7 and 6.8. Commission Review: Public Safety Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The project will slightly decrease the City's annual traffic signal operation and maintenance costs. Financial Analysis: Total Project Cost - $75,000 . Funding Source: General Fund (Ref. /Reimb.) - $75,000 Prior Years - $ 0 1992 -93 93 -94 94 -95 - $75,000 95 -96 96 -97 97 -98 Project No.: 9107 Project Name: Traffic Signal Interconnect Systems Project Description: This project would provide for the installation of traffic signal interconnect systems along Saratoga - Sunnyvale Rd., Saratoga Ave. and Quito. Rd. Project Justification: Installation of the signal interconnect systems will. improve the operational efficiency of each roadway resulting,-in reduced congestion and improved air quality. General Plan Policy: Consistent with Land Use Element Goal 4.0, Circulation. Element Goals 1..0 and 2.0 and Policy 2.4, Conservation Element Goals 4.0 and 8.0 and Policy 8.4, Noise Element Goal 4.0 and implements Conservation Element Policy 8.1. Commission Review: Public Safety Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The signal interconnect systems will increase the City's annual traffic signal operation and maintenance costs by an unknown amount. Financial-Analysis: Total Project Cost - $350,000 Funding. Source:.Undetermined Prior Years - $ 0 1992 -93 93 -94 94 -95 95 -96 96 -97 97 -98 Project No.: 9108 Project Name: Village Streetscape Improvements Project Description: This project would implement a portion of the Saratoga Village Plan by providing funding for streetscape improvements such as benches, newspaper racks, trash receptacles signage, etc. -.. Project Justification: The improvements will enhance the aes- thetics and pedestrian environment of the Village. General Plan Policy: Consistent with Land Use Element Goals 3.0 and 4.0 and Circulation. Element.. Goal 3.0. Implements specific Design Guideline Recommendations of the Saratoga Village Plan. Commission Review:- Planning Commission Impact Analysis: Environmental - Not a project under CEQA. Operational and Maintenance - The maintenance costs associated with the streetscape improvements would be funded through the Landscaping and Lighting Assessment District Zone 7C. Financial Analysis: Total Project Cost - $25,000 Funding Source: Assessment District.Fund (LLA -1) - $2,875 Gas Tax Fund '(TEA) - $221,125 Prior Years - $ 0 1992 -93 93 -94 94 -95 - $25,000 95 -96 96 -97 97 -98 Project No.: 9109 Project Name: Quarry Creek Mitigation Project Description: This project would complete the landscape restoration of the lower Quarry Creek :watershed necessitated by the landslide repair project.. Project Justification: -Development and implementation of the mitigation plan is a regulatory requirement of the landslide repair project. General Plan Policy.: Consistent with Land Use Element Goal 2.0 and Policy 7.2., Open Space. Element Goal 2.0 and Policy 2.1, Conservation Element Goal 2.0, Northwestern Hillside Specific Plan Site Grading Policy 5, Ecology Policy 7, Conservation Policy 2 and Open Space Policies 2 and 5. Impact Analysis:. Environmental - Categorically Exempt under CEQA although the mitigation plan requires approval of the Army Corps of Engineers and Dept. of Fish and. Game. Operational and Maintenance - Completion of the project will reduce the City's annual maintenance costs of the Quarry Creek storm drain. Financial Analysis: Total Project Cost - $66,500 Funding Source: Quarry Creek Trust Fund - $66,500 Prior Years - $ 0 1992 -93 - $2,500 93 -94 - $64,000 94 -95 95 -96 96 -97 97 -98 Proj ectW No'.: 9110 Project Name: Quito Road /Cox Avenue/ Baylor Avenue Traffic Signal Project Description: This project provides funding for the signalization of the three -way intersection of Quito Rd.. /Cox Ave. /Baylor Ave. Project. Justification: Installation of the traffic signal is a mitigation'- requirement of the Route 85 project and the. development of the Paul Masson property, Tract No. 8311, and will also provide signalized access to the Sunland Park neighborhood. General Plan Policy: Consistent with Land Use Element.Policy 7.2,_ Circulation Element Goal 5.0 and Policies 2.4 and 5.1. Commission Review: Public Safety Commission Impact Analysis: Environmental - The project is a mitigation requirement for two project Environmental. Impact Reports. Operational and Maintenance -,The new signal will increase the City's annual traffic signal operation and maintenance costs by approximately $5,000. Financial Analysis: Total Project Cost - $150,000 Funding Source: General Fund (DIA's) - $75,000 General Fund (Ref. /Reimb.) - $75,000 Prior Years - $ 0 1992 -93 93 -94 - $75,'.000 94 -95 $75,000 95 -96 96 -97 97 -98 Project No.: 9111 Project Name: Quito Road Bridge Replacement - II Project Description: This project involves the replacement and widening of the two - northerly bridges on Quito Road which span San Tomas Aquino Creek near Old Adobe Road. The project would be a joint venture between the City of Saratoga, the Town of Los Gatos and the Santa Clara Valley Water District with -the City serving as the lead agency. Eighty percent (80 %) of the project funding would be provided through the Federal Highway Bridge Replacement and Rehabilitation (HBRR) Program with. the remaining twenty percent (20 %) shared equally by the three local agencies. Project Justification : Replacement and widening of the bridges will substantially improve the safety of lower Quito Road for motorists, bicyclists and pedestrians. General Plan Policy: Consistent with Circulation Element Goal 2.0 and Policy 8.2. 1 Commission Review: Public Safety Commission Impact Analysis: Environmental - The project will receive an Environmental Clearance from Caltrans under NEPA. Operational and Maintenance - Replacement of the two aging bridges will reduce the City's bridge maintenance costs by an unknown amount. Financial Analysis: Total Project Cost - $725,000 Funding Source: Gas Tax Fund (HBRR) - $580,000 Gas Tax Fund (2105 MOE) - $48,340 General Fund (Ref. /Reimb.) - $96,660. Prior Years -.$ 0 1992 -93 93 -94 94 -95 - $92,000 95 -96 - $633,000 96 -97 97 -98 Project'No.: 9112 Project Description: Cox Avenue Improvements Project Description: This project would provide full street improvements along Cox Ave. between the SPRR tracks and Cumberland Dr.. Elements include - curbs, gutters,.sidewalks, street widening and drainage improvements. In FY 94 and 95, funds are proposed for the reconstruction of the railroad -grade crossing with rubberized panels. Project Justification: The project will enhance the safety of the roadway for motorists, bicyclists and pedestrians and will correct a recurring drainage problem. The railroad grade crossing improvements will enhance safety and rideability across the tracks. General Plan Policy: Consistent with Circulation Element Goals 2.0 and 6.0. Commission Review:- Public Safety Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance—,The project will slightly reduce the City's annual street maintenance costs but incrementally increase the annual sidewalk maintenance costs. Financial Analysis: Total Project-Cost.- $12,534 for the railroad crossing only Funding Source: Gas Tax Fund (RHGC) - $10,800 Gas Tax.Fund (2105 MOE) - $1,200 General Fund - $34 Prior Years: - $ 34 1992 -93 93 -94 $500 94 -95 - $12,000 95 -96 96 -97 97 -98 Project:.No.: 9113 Project Name: Route 85 Soundwall Enhancements Project Description: This project provides the necessary funding to accommodate the requests from property owners along the Route 85 corridor for increased soundwall heights. The project also provides- 'funding for the construction of the Bonnet Way soundwall. Project Justifi -6ation: The higher soundwalls will reduce noise impacts from the freeway.. The Bonnet Way soundwall is a mitigation requirement of the Route 85 construction. General Plan Policy: Consistent with_ Circulation Element Goal 10.0, Noise Element Goals 1.0, 3.0 and 4..0 and Policies 4.1 and 4.2. Impact Analysis: Environmental - The soundwall enhancements exceed the mitigation requirements for Route 85 contained in the certified Environmental Impact Statement for the freeway.. Operational and Maintenance - There will be little, if any, costs associated with this project. Financial Analysis: Total Project Cost - $599,080 Funding Source: General Fund (Ref. /Reimb.) - $395,645 General Fund.- $203,435 Prior Years - $167,290 1992 -93 - $227,500 93 -94 - $204,290 94 -95 95 -96- 96-97 97 -98 Project No.: 9114 Project Name: Ravenwood Park Project Description: This project provides for the acquisition and development of the Ravenwood Drive park site as a neighborhood park. Project Justification: Trails Master Plan. General Plan Policy: and 4 0. Impact Analysis: The project is,'identified in the-Parks and Consistent with Open Space Element Goals 1.0 Environmental - Categorically Exempt under CEQA. Operational and Maintenance - The project will increase the City's annual park maintenance costs by approximately .$3,250. Financial Analysis: Total Project Cost - $351,718 Funding Source: Assessment District Fund (LLA -1) - $8,470 Park Development Fund - $343,248 Prior Years - $326,718 1992 -93 - $12,500 93 -94 - $12,500 94 -95. 95 -96 96 -97 97 -98 Project No.: 9301 Project Name: Warner Hutton House Improvements Project Description: This project. funds interior remodel work at the Warner Hutton House to bring the facility into compliance with the public access requirements of the Americans with Disabilities Act. New restroom facilities will be installed and the side-entry door will be replaced. Also, the project funds the exterior period landscaping of the House by the Santa Clara County Traffic Authority in accordance with the historic preservation requirements of its relocation adjacent to City Hall. Project Justification: The interior remodel work is mandated by the Americans with Disabilities Act. The exterior landscaping fulfills a requirement by the State Historic Preservation Office placed on .the Route 85 freeway project. General Plan Policy: Consistent with Land Use Policy 3.1, Open. Space Policy 4.O, and Conservation Policy 5.0. Impact Analysis: Environmental - Both elements of the project are Categorically Exempt under CEQA. Operational and Maintenance - The period landscaping will increase the City's annual landscape maintenance costs by ..approximately $9,000. However, these costs will be offset by an unknown amount through. the ability to derive rental income from the ,facility upon completion of the project. Financial Analysis: Total Project Cost - .$175,000 Funding Source: General Fund (Ref. /Reimb.) - $150,000 HCDA Fund - $25,000 Prior Years - $ 0 1992 -93 - $2,000 93 -94 - $173,000 94 -95 95 -96 96 -97 97-98 Project No.: 9302 Project Name: ADA Compliance Improvements Project Description: This project provides funding to bring all City facilities into compliance with the public access requirements of the Americans with Disabilities- Act. In FY 93 -94-, funds- are provided for an architectural survey of all City facilities to determin;enthe extent of improvements which will need to be-carried' out. Additional funding is provided in- FY 93 -94 and 94-95 to install handicap ramps and curb cuts citywide. Project Justification: The improvements are.mandated by the public access requirements of the Americans with Disabilities Act. General Plan Policy:.Consistent with Circulation Goal 6.0. Commission Review: ADA Task Force Impact Analysis: Environmental - The architectural survey is not a project under CEQA. The handicap ramp installations are Categorically Exempt under CEQA. Operational and Maintenance - The project will have little, if any, impacts. Financial Analysis: Total Project Cost - $250,.000 Funding Source:.HCDA Fund - $250,000 Prior Years - $ 0 1992 -93 - $ 0 93 -94.- $125,000- 94-95 - $125,000 95 -96 96 -97 97 -98 Project No.: 9304 Project Name: Saratoga - Sunnyvale Road Rehabilitation Project Description: This project will fund upgrades and enhancements to Saratoga - Sunnyvale Road after its relinquishment to the City by the State. Former Capital Projects No's. 923. (Northern Medians), 951 (Seagull Traffic Signal) and 9106. (Pierce Road Intersection Improvements)'are included in this project along with additional pedestrian, bicycle and landscape improvements. Project Justification: The-project will fully rehabilitate the road beyond the level for which the State is obligated to minimize the future costs to the City of operating and maintaining the road. General Plan Policy: Consistent with Circulation Element Goals 2. 0, 3.0, 4.0, 6.0 and 9.0,. Policies 2.41 3.4, 6.8, 6.10, and Conservation Element Goal 7.0 Commission Review: Planning Commission and Public Safety Commission Impact Analysis: Environmental - The project will be reviewed under CEQA and NEPA and will require an Environmental Clearance from Caltrans and FHWA. Operational and Maintenance - The project will reduce annual street maintenance costs and increase annual median maintenance and traffic signal operating and maintenance costs all by an unknown amount. Financial Analysis: Total Project Cost - $ 1,365,000 Funding Source: Gas Tax Fund (ISTEA) - $1,092,000 Gas Tax Fund (2105 MOE) - $208,000 General Fund (Ref. /Reimb.) - $65,000 Prior Years - $ 0 1992 -93 - $ 0 93 -94 94 -95 95 -96 - $109,200 96 -97 $1,255,800 97 -98 Project No.: 9306 Project Name: Underground Utility District Project Description: This - project funds the next utility undergrounding project in the City using accumulated Rule 20 funds which P.G. &E. holds in trust for the.City.- Project Justification: The City annually accumulates Rule 20 funds- for... utility undergrounding. projects and must obligate them from time to time or risk losing them. Utility undergroundirigs also improve the general appearance of the City and - reduce utility outages. General Plan Policy: Consistent with Circulation Element Goal 4.0 and Policy 2.5. Commission Review: None Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance -;The project could potentially reduce future emergency response costs - associated with downed utility lines. Financial Analysis: Total Project Cost - $800,000 Funding Source: Assessment District Fund - $800,000 Prior Years - $ 0 1992 -93 93 -94 94 -95 - $800,.000 95 -96 96 -97. 97 -98 Project No.: 9307 ProJect-Name: Congress Springs Park Ball Screen Project Description: This project is a joint effort between the City and the Santa Clara County Traffic Authority to fund the installation of a screen at Congress Springs -Park to protect the Route.85 freeway -from activities occurring in the park. Project Justification:_ The City could be judged liable for accidents which might. occur on the freeway as a result of activities occurring in the park. General Plan Policy: Consistent with Circulation Element Goal 2.0: Commission Review: Parks and Recreation Commission Impact Analysis: Environmental - Categorically Exempt under CEQA. Operational and Maintenance - There will be some long. term unknown maintenance costs associated with the screen. Financial Analysis: Total Project Cost - $50,000 Funding Source - General Fund (Ref. /Reimb.) - $25,000 General Fund - $25,000 Prior Years - $ 0, 1992 -93 .93 -94 - $50,000 94 -95. 95 -96 96 -97 97 -98 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL GENERAL FUND SUPPORT FUND REVENUES ---------------------- 01 General Fund (Refunds /Reimb.) 10 TDA Fund 12 HCDA Fund 14 Gas Tax Fund 18 Hillside Development Fund 22 State Park Bonds Fund 31 Park Development Fund 61 Quarry Creek Trust Fund 71 Assessment District Fund TOTAL REVENUES FUND EXPENDITURES 01 General Fund 10 TDA Fund 12 HCDA Fund 14 Gas Tax Fund 18 Hillside Development Fund 22 State Park Bonds Fund 31 Park Development Fund 61 Quarry Creek Trust Fund 71 Assessment District Fund TOTAL EXPENDITURES CONTRIBUTION TO (FROM) GENERAL FUND FY 93 -94 BUDGETED $367,073 85,000 150,000 .1,145,189 63,000 FY 94-95 FY 95-96 FY 96 - 97 FY 97 - 98 TOTAL BUDGETED PROJECTED PROJECTED PROJECTED $162,260 $149,400 $0 $0 $678,733 125,000 106,525 593,760 1,004,640 802,875 $118101262 $1,196,660 $743,160 $1,004,640 $85,000 $275,000 $2,850,114 $0 $63,000 $0 $0 $802,875 $0 $4,754,722 $643,831 $162,265 $84,395 $0 $0 $890,491 77,500 $77,500 148,000 125,000 $273,000 636,665 113,860 657,805 1,2551800 $2,664,130 $0 59,500 $59,500 130,000 $130,000 64,000 $64,000 802,875 $802,875 $1,759,496 $1,204,000 $742,200 $1,255,800 $0 $4,961,496 $50,766 ($7,340) $960 ($251,160) $0 ($206,774) CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES PROJ. NO. PROJECT NAME PREVIOUS REVENUE 905 Quito Rd. Bridge Replacements $18,254 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 60,987 953 Pierce Rd. Bridge Replacement 160,288 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 3,000 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 28,325 979 SW /NE Road 981 Hakone Water System 21,157 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga I.M. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 66,500 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 288,000 9114 Ravenwood Park 326,718 9125 CIP Development SUB -TOTAL $973,229 FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED -- --- - - - - -- --- - - - - -- $106,386 $539,637 $0 $0 $0 $0 340,000 147, 413 12,000 274,980 51,000 85,000 255,500 122,500 75,000 107,645 25,000 $656,799 $1,485,262 75,000 25,000 75,000 85,860 590,800 10,800 $271,660 $590,800 $0 $0 TOTAL $664,277 $340,000 $147,413 $72,987 $435,268 $0 $54,000 $0 $85,000 $0 $0 $283,825 $0 $143,657 $0 $0 $75,000 $0 $25,000 $66,500 $150,000 $676,660 $10,800 $395,645 $351,718 $0 $3,977,750 9301 Warner Hutton House Impr. $0 $0 $175,000 $0. $0 $0 $0 $175,000 9302 ADA Compliance Impr. 125,000 125,000 $250,000 9304 S/S Rd. Rehabilitation 152,360 1,004,640 $1,157,000 9306 Underground Utility District 800,000 $800,000 9307 Congress Springs Pk. Ball Screen 25,000 $25,000 SUB -TOTAL $0 $0 $325,000 $925,000 $152,360 $1,004,640 $0 $2,407,000 TOTAL $973,229 $656,799 $1,810,262 $1,196,660 $743,160 $1,004,640 $0 $6,384,750 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL REVENUES BY FUND G FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 — 97 FY 97 — 98 TOTAL REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED 01 General Fund (Refunds /Reimb.) $466,542 --- $67,986 --- - - - - -- $367,073 --- - - - - -- $162,260 --- - - - - -- $149,400- --- - - - - -- $0 " --- - - - - -- $0 --- - - - - -- $1,213,261 10 TDA Fund 85,000 $85,000 12 HCDA Fund 101,078 150,000 125,000 $376,078 14 Gas Tax Fund 38,400 1,145,189 106,525 593,760 1,004,640 $2,888,514 18 Hillside Development Fund $0 22 State Park Bonds Fund 63,987 63,000 $126,987 31 Park Development Fund 367,730 443,335 $811,065 61 Quarry Creek Trust Fund 66,500 $66,500 71 a Assessment District Fund 8,470 6,000 - - -- 802,875 --- $817,345 TOTAL $973,229 $656,799 $1,810,262 - - - - -- $1,196,660 --- - - - - -- $743,160 --- - - - - -- $1,004,640 --- - - - - -- $0 --- - - - - -� $6,384,750 G CAPITAL IMPROVEMENT PLAN 1993 -98 PROJECT REVENUES BY FUND PROJ. NO. PROJECT NAME GEN. FUND $150,000 $0 $25,000 (REF /REIMB) 905 Quito Rd. Bridge Replacements $95,668 924 S /S•Medians South 250,000 926 Wildwood Park Ped. Bridge $250,000 945 El Quito Park Impr. 65,000 953 Pierce Rd. Bridge Replacement 160,288 954 Fruitvale Ave. Medians Underground Utility District 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks - - - -- --- - - - - -- 963 Prospect Rd. Medians $25,000 964 Kevin Moran Park Impr. $240,000 977 Beauchamps Park - - - - -- --- - - - - -- --- -- - - -- --- - - - - -- --- - - - - -- $0 $0 $0 $0 $800,000 979 SW /NE Road TOTAL' 981 Hakone Water System $2,888,514 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 75,000 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox /Baylor Traffic Signal 150,000 9111 Quito Rd. Bridge Replacements II 96,660 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 395,645 9114 Ravenwood Park 9125 CIP Development TDA HCDA GAS TAX HILLSIDE STATE PARK PARK TRUST ASSESS. TOTAL DEVELOP. BONDS.. DEVELOP. FUNDS DISTRICT --- - - -- -- --- - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- $0 $0 $568,609 $0 $0 $0 $0 $0 $664,277 340,000 $340,000 101,078 40,335 6,000 $147,413 85,000 274,980 22,125 580,000 10,800 72,987 54,000 283,825 143,657 343,248 SUB -TOTAL $973,261 $85,000 $101,078 $1,796,514 $0 $126,987 $811,065 $72,987 $435,268 $0 $54,000 $0 $85,000 $0 $0 $283,825 $0 $143,657 $0 $0 $75,000 $0 2,875 $25,000 66,500 $66,500 $150,000 $676,660 $10,800 $395,645 8,470 $351,718 $0 $66,500 $17,345 $3,977,750 9301 Warner Hutton House Impr. $150,000 $0 $25,000 $0 $0 $0 $0 $0 $0 $175,000 9302 ADA Compliance Impr. 250,000 $250,000 9304 S/S Rd. Rehabilitation 65,000 1,092,000 $1,157,000 9306 '9307 Underground Utility District 800,000 $800,000 Congress Springs Pk. Ball Screen 25,000 - - - -- --- - - - - -- --- $25,000 SUB -TOTAL $240,000 $0 $275,000 - - - - -- --- $1,092,000 - - - - -- --- - - - - -- --- -- - - -- --- - - - - -- --- - - - - -- $0 $0 $0 $0 $800,000 --- - - - - -- $2,407,000 TOTAL' $1,213,261 $85,000 $376,078 $2,888,514 $0 $126,987 ' $811,065 $66,500 $817,345 $6,384,750 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND FUND 01 - GENERAL FUND (REFUND S /REIMB.) PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $18,254 $67,986 $9,428 $0 $0 - - - - - -- --- - - - - -- $0 $0 ---- - - - - -- $95,668 924 S/S Medians South $0 926 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement 160,288 $160,288 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks $0 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $p 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Aiule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. 75,000 $75,000 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal 75,000 75,000 $150,000 9111 Quito Rd. Bridge Replacements II 12,260 84,400 $96,660 9112 Cox Ave. Impr. $0 91.13 Route 85 Soundwalls 288,000 107,645. $395,645 9114 Ravenwood Park $0 9125 CIP Development $0 SUB -TOTAL $466,542 $67,986 $192,073 $162,260 $84,400 - - - - -- --- - - - - -- $0 $0 ---- - - - - -- $973,261 9301 Warner Hutton House Impr. $0 $0 $150,000 $0 $0 $0 $0 $150,000 9302 ADA Compliance Impr. $p 9304 S/S Rd. Rehabilitation 65,000 $65,000 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen 25,000 $25,000 SUB -TOTAL $0 $0 $175,000 $0 $65,000 --- - - - - -- --- - - - - -- $0 $0 ---- - - - - -- $240,000 TOTAL $466,542 $67,986 $367,073 $162,260 $149,400 $0 $0 $1,213,261 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND FUND 10 — TDA FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 --- - - - - -- $0 --- - - - - -- $0 --- - - - - -- --- $0 - - - - -- $0 924 S/S Medians South $0 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks 85,000 $85,000 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. $0. 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements II $0 9112 Cox Ave. Impr. $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $0 $0 $85,000 $0 $0 --- - - - - -- $0 --- - - - - -- --- $0 - - - - -- $85,000 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 e$0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL $0 $0 $85,000. --- - - - - -- $0 --- - - - - -- $0 --- - - - - -- $0 - - - - -- $0 -- - - - - -- $85,000 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL FUND 12 — HCDA FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 101,078 $101,078 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $101,078 $0 $0 $0 $,0 $0 $101,078 9301 Warner Hutton House Impr. $0 $0 $25,000 $0 $0 $0 9302 ADA Compliance Impr. 125,000 125,000 9304 S/S Rd. Rehabilitation 9306 Underground Utility District 9307 Congress Springs Pk. Ball Screen SUB —TOTAL $0 $0 $1.50,000 $125,000 $0 $0 TOTAL $0 $101,078 $150,000 $125,000 $0 $0 $0 $25,000 $250,000 $0 $0 $0. $0 $275,000 $0 $376,078 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND FUND 14 — GAS TAX FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $0 $38,400 $530,209 $0 $0 $0 $0 $568,609 924 S/S Medians South 340,000 $340,000 926 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement 274,980 .$274,980 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks _ . _ _. _. ._ $0 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. 22,125 $22,125 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements II 73,600 506,400 $580,000 9112 Cox Ave. Impr. 10,800 $10,800 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $0 $38,400 $1,145;189 $106,525 $506,400 $0 $0 $1,796,514 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation 87,360 1,004,640 $1,092,000 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB -TOTAL $0 $0 $0 $0 $87,360 $1,004,640 $0 $1,092,000 TOTAL $0 $38,400 $1,145,189 '$106,525 $593, 760 $1,004,640 $0 $2,888,514 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito. Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL FUND 18 — HILLSIDE DEVELOPMENT FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 REVENUE ESTIMATE BUDGETED BUDGETED $0 $0 $0 $0 $0 1 $0 $0 $0 FY 95 -96 FY 96 -97 FY 97 -98 $0 PROJECTED PROJECTED PROJECTED TOTAL $0 $0 $0 $0 9306 it $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $o. $0 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 s0 TOTAL $0 $0 $0 $0 $0 $0 $0 $0 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND FUND 22 — STATE PARK BONDS FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 .'REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 $0 $0 $0 $0 924 S/S Medians South, $0 926 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. 60,987 12,000 $72,9$0 953 Pierce Rd. Bridge Replacement $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. 3,000 51,000 $54,000 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks $0 963 Prospect.Rd. Medians - $0' 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0. 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements II $0 9112 Cox Ave. Impr. $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $63,987 $0 $63,000 - - -- $0 --- - - - - -- $0 --- - - - - -- $0 --- - - - - -- --- $0 - - - - -- $126,987 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL $63,987 $0 $63,000 $0 $0 $0 $0 $126,987 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND PROJ. NO, PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr.. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL FUND 31 — PARK DEVELOPMENT FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 40,335 $40,335 $0 $0 $0 $0 $0 $0 $0 $0 28,325 255,500 $283,825 $0 21,157 122,500 $143,657 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 318,248 25,000 $343,248 $0 $367,730 $443,335 $0 $0 $0 $0 $0 $811,065 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL $367,730 $443,335 $0 $0 $0 $0 $0 $811,065 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND FUND 61 — QUARRY CREEK TRUST FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 $0 $0 $0 $0 924 S/S Medians South $0 926 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement. $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks $0 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation 66,500 $66,500 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements II $0 9112 Cox Ave. Impr. $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $66,500 $0 $0 $0 $0 $0 $0 $66,500 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL, $66,500 $0 $0 $0 $0 $0 $0 $66,500 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT REVENUES BY FUND : . FUND 71 — ASSESSMENT DISTRICT FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 REVENUE ESTIMATE BUDGETED BUDGETED PROJECTED PROJECTED PROJECTED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 $0: $0 $0 $0 924 S/S Medians South $0 926 Wildwood Park Ped. Bridge 6,000 $6,000 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks _ _ _ $0 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. 2,875 $2,875 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements II $0 9112 Cox Ave. Impr. $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park 8,470 $8,470 9125 CIP Development $0 SUB —TOTAL $8,470 $6,000 $0 $2,875 $0 $0 $0 $17,345 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District 800,000 $800,000 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $800,000 $0 .$0 $0 $800,000 TOTAL $8,470 $6,000 $0 $802,875 $0 $0 $0 $817,345 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ESTIMATE BUDGETED, BUDGETED PROPOSED PROPOSED PROPOSED TOTAL 905 Quito Rd. Bridge Replacements $156,561 $534,470 $26,481 $0 $0 $0 $0 $717,512 924 S/S Medians South 177,584 - 26,600 430,500 $634,684 926 Wildwood Park Ped. Bridge 18,412 129,001 $147,413 945 El Quito Park Impr. 60,987 12,000 .$72,987 953 Pierce Rd. Bridge Replacement 40,285 80,338 343,725 $464,348 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. 3,000 3,500 47,500 $54;000 956 Civic Center Impr. 1,953,629 110,767 $2,064,396 961 Saratoga Ave. Sidewalks 5,608 7,500 77,500 $90,608 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park 28;325 248,000 7,500 $283,825 979 SW /NE Road $0 981 Hakone Water System 21,157 12,500 110,000 $143,657 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. 75,000 $75,000 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. 25,000 $25,000 9109 Quarry Creek Mitigation 2,500 64,000 $66,500 9110 Quito /Cox/Baylor Traffic Signal 75,000 75,000 $150,000 9111 Quito. Rd. Bridge Replacements II 92,000 633,000 $725,000 9112 Cox Ave. Impr. 34 500 12,000 $12,534 9113 Route 85 Soundwalls 167,290 227,500 204,290 $599,080 9114 Ravenwood Park 326,718 12,500 12,500 $351,718 9125 CIP Development 12,898 $12,898 SUB -TOTAL $2,972,488 $1,395,176 $1,411,496 $279,000 $633,000 $0 $0 $6,691,160 9301 Warner Hutton House Impr. $0 $2,000 $173,000 $0 $0 $0 $0 $175,000 9302 ADA Compliance Impr. 125,000 125,000 $250,000 9304 S/S Rd. Rehabilitation 109,200 1,255,800 $1,365,000 9306 Underground Utility District 800,000 $800,000 9307 Congress Springs Pk. Ball Screen 50,000 $50,000 SUB -TOTAL $0 $2,000 $348,000 $925,000 $109,200 $1,255,800 $0 $2,640,000 TOTAL $2,972,488 $1,397,176 $1,759,496 - -- $1,204,000 --- - - - - -- --- - - - - -- --- - - - - -- $742,200 $1,255,800 $0 ---- - - - - -- $9,331,160 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL EXPENDITURES BY FUND FUND PREVIOUS FY 92 -93 . FY 93 -94 FY 94 -95 FY 95 -96 FY 96 - 97 FY 97 - 98 TOTAL - - - -- EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED 01 General Fund $2,388,640 - - -- $530,900 --- - - - - -- $643,831 --- - - - - -- $162,265 --- - - - - -- $84,395 --- - - - - -- $0 --- - - - - -- $0 --- - = - - -- $3,810,031 10 TDA Fund 7,500 77,500 $85,000 12 HCDA Fund 18,412 84,666 148,000 125,000 $376,078 14 Gas Tax Fund 125,249 448,775 636,665 113,860 657,805 1,255,800 $3,238,1154 18 Hillside Development Fund 22 State Park Bonds fund 63,987 3,500 59,500 $0 $1.26,987 31 Park Development Fund 367,730 313,335 130,000 $811,065 61 Quarry Creek Trust Fund _ 2,500 64,000 $66,500 71 Assessment District Fund 8,470 6,000 802,875 $817,345 TOTAL $2,972,488 $1,397,176 $1,759,496 $1,204,000 $742,200 $1,255,800 $0 $9,331,160. CAPITAL IMPROVEMENT PLAN 1993 -98 PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park . 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox /Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB -TOTAL GEN. FUND $148,903 268,084 189,368 2,064,396 5,608 75,000 150,000 96,660 34 599,080 12,898 $3,610,031 TDA HCDA $0 $0 101,078 85,000 GAS TAX HILLSIDE STATE PARK PARK TRUST ASSESS. TOTAL DEVELOP. BONDS DEVELOP. FUNDS DISTRICT $568,609 -- $0 $0 --- - - - - -- $0 --- - - - - -- --- - - - - -- $0 $0 --- - - - - -- $717,512 366,600 $634,684 40,335 6,000 $147,413 72,987 $72,987 274,980. $464,348 $0 54,000 $54,000 $2,064,396 $90,608 $0 $0 283,825 $283,825 $0 143,657 $143,657 $0 $0 $75,000 $0 22,125 2,875 $25,000 66,500 $66,500 $150,000 628,340 $725,000 12,500 $12,534 $599,080 343,248 8,470 $351,718 $12,898 - - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- $85,000 $101,078 $1,873,154 $0 $126,987 $811,065 $66.,500 $17,345 $6,691,160 9301 Warner Hutton House Impr. $150,000 $0 $25,000 $0 $0 $0 $0 $0 $0 $175,000 9302 ADA Compliance Impr. 250,000 $250,000 9304 S/S Rd. Rehabilitation 1,365,000 $1,365,000 9306 Underground Utility District 800,000 $800,000 9307 Congress Springs Pk. Ball.Screen 50,000 $50,000 SUB -TOTAL $200,000 $0 $275,000 $1,365,000 $0 $0 $0 $0 $800,000 $2,640,000 --- - - - - -- --- - - - - -- TOTAL $3,810,031 $85,000 $376,078 $3,238,154 $0 $126,987 $811,065 $66,500 $817,345 $9,331,160 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND FUND 01 -GENERAL FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ---- - - - - -- ESTIMATE --- BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED TOTAL 905 Quito Rd. Bridge Replacements $31,312 - - - - -- $112,295 $5,296 --- - - - - -- $0 --- - - - - -- $0 --------- --- - - - - -- $0 $0 - $148,903 924 S/S Medians South 177,584 90,500 $268,084 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement 40,285 80,338 68,745 $0 $189,368 954 Fruitvale Ave.-Medians 955 Wildwood Park Impr. $0 956 Civic Center Impr. 1,953,629 110,767 $0 $2064,3$0 961 Saratoga Ave. Sidewalks 5,608 , $5,608 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. 75,000 $ $750$0 9107 Traffic Signal Interconnects r ,0 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal 75,000 75,000 $0 $150,000 9111 Quito Rd. Bridge Replacements II 12,265 84,395 $96,660 9112 Cox Ave. Impr. 34 $34 9113 Route 85 Soundwalls 167,290 227,500 204,290 $599,080 9114 Ravenwood Park 9125 CIP Development 12,898 $0 $0 - - - -- --- - - - - -- --- - $12,898 SUB -TOTAL $2,388,640 $530,900 - - - -- $443,831 --- - - - - -- $162,265 --- - - - - -- $84,395 --- - -- - -- --- - - - - -- $0 $0 ---- - - - - -- $3,610,031 9301 Warner Hutton House Impr. $0 $0 $150,000 $0 $0 $0 $0 $150,000 9302 ADA Compliance Impr. 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen -- --- - - - - -- 50,000 --- $ 0 $50,0$0 SUB -TOTAL $0 $0 - - - - -- $200,000 --- - - - - -- $0 --- - - - - -- $0 --- - - - - -- --- - - - - -- ---- $0 $0 - - - - -- $200,000 TOTAL $2,388,640. $530,900 $643,831 $162,265 $84,395 $0 $0 $3,810,031 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND FUND 10 — TDA FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 $0 $0 $0 $0 924 S/S Medians South - $0 926 Wildwood Park Ped. Bridge $0 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks 7,500 77,500 $85,000 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0. 9111 Quito Rd. Bridge Replacements 11 $0 9112 Cox Ave. Impr. $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $0 $7,500 $77,500 $0 $0, $0 $0 $85,000 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $0 $0 $0 $0 $0 $0 $0 TOTAL $0 $7,500 $77,500 $0 $0 $0 $0 $85,000 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND FUND 12 — HCDA FUND PROD. NO. PROJECT NAME PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED TOTAL 905 Quito Rd. Bridge Replacements $0 $0 $0 $0 $0 $0 $0 $0 924 S/S Medians South $0 926 Wildwood Park Ped. Bridge .18,412 82,666 $101,078 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement $0 954 Fruitvale Ave. Medians $0 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks $0 963 Prospect Rd. Medians . $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. $0 9109 Quarry Creek Mitigation $0 9110 Quito /Cox/Baylor Traffic Signal $0 9111 Quito Rd. Bridge Replacements H $0 9112 Cox Ave. Impr, $0 9113 Route 85 Soundwalls $0 9114 Ravenwood Park $0 9125 CIP Development $0 SUB —TOTAL $18,412 $82,666 $0 $0 $0 $0 $0 $101,078 9301 Warner Hutton House Impr. $0 $2,000 $23,000 $0 $0 $0 $0 $25,000 9302 ADA Compliance Impr. 125,000 125,000 $250,000 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen $0 SUB —TOTAL $0 $2,000 $148,000 $125,000 $0 $0 $0 $275,000 TOTAL $18,412 $84,666 $148,000 $125,000 $0 $0 $0 $376,078 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND FUND 14 — GAS TAX FUND PROJ. NO. PROJECT NAME PREVIOUS FY 92 -93 . FY 93 =94 FY 94 -95 FY 95 -96. FY 96 -97 FY 97 -98 - - - - - -- -------------- -- - - - - -- — EXPENSE — ESTIMATE -- - - - - -- BUDGETED --- BUDGETED -- PROPOSED PROPOSED PROPOSED TOTAL 905 Quito Rd. Bridge Replacements $125,249 $422,175 - - - - -- $21,185 --- - - - - $0 --- - - - - -- $0 $0 $0 924 S/S Medians South 26,600 340,000 $568,609 926 Wildwood Park Ped. Bridge $366,600 945 El Quito Park Impr. $0 953 Pierce Rd. Bridge Replacement 274,980 $0 $0 954 Fruitvale Ave. Medians $274,9 955 Wildwood Park Impr. $0 956 Civic Center Impr. $0 961 Saratoga Ave. Sidewalks $0 963 Prospect Rd. Medians $0 964 Kevin Moran Park Impr. $0 977 Beauchamps Park $0 979 SW /NE Road $0 981 Hakone Water System $0 9102 Azule Park $0 9103 Hakone Entrance Rd. Impr. $0 9105 Fruitvale /Saratoga Int. Impr. $0 9107 Traffic Signal Interconnects $0 9108 Village Streetscape Impr. 22,125 $0 9109 Quarry Creek Mitigation $22125 ,$0 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II $0 9112 Cox Ave. Impr. 79,735 548,605 $628340 , 9113 Route 85 Soundwalls 500 12,000 $12,500 9114 Ravenwood Park $0 9125 CIP Development $0 --- - - - - -- --- - - - - -- --- - $0 SUB —TOTAL $125,249 $448,775 - - - -- $636,665 --- - - - - -- $113,860 $548,605 $0 $0 $1,873,154 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 $0 9304 S/S Rd. Reh Rehabilitation $0 $0 9306 Underground Utility District , 1255800 , , $1,365,0$0 9307 Congress Springs Pk. Ball Screen $0 --- - - - - -- --- - - - - -- --- - - - - 0 SUB —TOTAL $0 $0 -- $0 --- - - - - -- $0 $109,200 $1,255,800 $0 $1,36.5,000 TOTAL $125,249 $448,775 $636,665 $113,860 $657,805 $1,255,800 $0 $3,238,154 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME PREVIOUS FY 97 -98 EXPENSE 905 Quito Rd. Bridge Replacements $0 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave.. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105' Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development FUND 18 — HILLSIDE DEVELOPMENT FUND FY 92 -93 FY 93 -94 FY 94 -95 ESTIMATE BUDGETED BUDGETED $0 $0 $0 SUB —TOTAL $0 $0 $0 $0 FY 95 -96 FY 96 -97 FY 97 -98 $0 $0 PROPOSED PROPOSED PROPOSED TOTAL $0 $Q.. $0 - - -$0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen --- $0 SUB —TOTAL $0 - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- - -- $0 $0 $0 $0 $0 $0 TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 - - - - -- $0 $0 $0. $0 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0 $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District $0 9307 Congress Springs Pk. Ball Screen --- $0 SUB —TOTAL $0 - - - - -- --- - - - - -- --- - - - - -- --- - - - - -- - -- $0 $0 $0 $0 $0 - -- - - - =- $0 r $0 TOTAL $0 $0 $0 $0 $0 $0 $0 $0 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians' 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL FUND 22 — STATE PARK BONDS FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 .EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED $0 $0 $0 $0 $0 $0 a $0 60,987 3,000 3,500 12,000 47,500 $63,987 $3,500 $59,500 $0 $0 $0 $0 9301 Warner Hutton House Impr. $0 $0 $0 $0 9302 ADA Compliance Impr. 9304 S/S Rd. Rehabilitation 9306 Underground Utility District 9307 Congress Springs Pk. Ball Screen SUB —TOTAL $0 $0 $0 $0 TOTAL $63,987 $3,500 $59,500 $0 TOTAL $0 $0 $0 $72,987 $0 $0 $5A,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $126,987 $0 $0 $0 $0 $0 $0 $0 $0 $0 $6 $0 $0 $0 $0 $0 :$126,987 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement .954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL FUND 31 —PARK DEVELOPMENT FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED PROPOSED TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 40,335. $40,335 $0 $0 . $0 $0 $0 $0 $0 $0 28,325 248,000 7,500 $283,825 $0 21,157 12,500 110,000 $143,657 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 318,248 12,500 12,500 $343,248 $0 $367,730 $313,335 $130,000 $0 $0 $0 $0 $811,065 9301 Warner Hutton House Impr. $0 $0 $0 $0 9302 ADA Compliance Impr. 9304 S/S Rd. Rehabilitation 9306 Underground Utility District 9307 Congress Springs Pk, Ball Screen SUB — TOTAL $0 $0 $0 $0 TOTAL $367,730 $313,335 $130,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $811,065 J CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME 905 Quito Rd. Bridge Replacements 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park 979 SW /NE Road 981 Hakone Water System 9102 Azule Park' 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito /Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 9125 CIP Development SUB —TOTAL 9301 Warner Hutton House Impr. 9302 ADA Compliance Impr. 9304 S/S Rd. Rehabilitation 9306 Underground Utility District 9307 Congress Springs Pk. Ball Screen SUB —TOTAL TOTAL FUND 61 — QUARRY CREEK TRUST FUND PREVIOUS FY 92 -93 FY 93 -94 FY 94 -95 FY 95 -96 FY 96 -97 FY 97 -98 EXPENSE ESTIMATE BUDGETED BUDGETED PROPOSED PROPOSED :PROPOSED. $0 $0 $0 $0 $0 $0 $0 2,500 64,000 $0 $2,500 $64,000 $0 $0 $0 $0 TOTAL $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $66,500 $0 $0 $0 $0 $0 $0 $66,500 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $2,500 $64,000 $0 $0 $0 $0 $66,500 CAPITAL IMPROVEMENT PLAN 1993 -98 ANNUAL PROJECT EXPENDITURES BY FUND PROJ. NO. PROJECT NAME PREVIOUS EXPENSE 905 Quito Rd. Bridge Replacements $0 924 S/S Medians South 926 Wildwood Park Ped. Bridge 945 El Quito Park Impr. 953 Pierce Rd. Bridge Replacement 954 Fruitvale Ave. Medians 955 Wildwood Park Impr. 956 Civic Center Impr. 961 Saratoga Ave. Sidewalks 963 Prospect Rd. Medians 964 Kevin Moran Park Impr. 977 Beauchamps Park .979 SW /NE Road 981 Hakone Water System 9102 Azule Park 9103 Hakone Entrance Rd. Impr. 9105 Fruitvale /Saratoga Int. Impr. 9107 Traffic Signal Interconnects 9108 Village Streetscape Impr. 9109 Quarry Creek Mitigation 9110 Quito/Cox/Baylor Traffic Signal 9111 Quito Rd. Bridge Replacements II 9112 Cox Ave. Impr. 9113 Route 85 Soundwalls 9114 Ravenwood Park 8,470 9125 CIO Development SUB —TOTAL $8,470 FUND 71 - ASSESSMENT DISTRICT FUND, FY 92 -93 FY 93 -94 FY 94 -95 ESTIMATE BUDGETED BUDGETED $0 . m $6,000 $0 $0 2,875 FY 95 -96 FY 96 -97 FY 97 -98 PROPOSED PROPOSED PROPOSED TOTAL $0 $0 $0 $0 $0 $6,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $0 $2,875 $0 $0 $0 $0 $0 $8,470 $0 $0 $2,875 $0 $0 $0 $17,345 9301 Warner Hutton House Impr. $0 $0 $0 $0 $0. $0 $0 $0 9302 ADA Compliance Impr. $0 9304 S/S Rd. Rehabilitation $0 9306 Underground Utility District 800,000 $800,000 9307 Congress Springs Pk. Ball Screen $0 SUB -TOTAL $0 $0 $0 $800,000 $0 $0 $0 $800,000 TOTAL $8,470 $6,000 $0 $802,875 $0 $0 $0 $817,345 SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. 71a> Z a MEETING DATE: June 16, 1993 ORIGINATING DEPT. Maintenance AGENDA ITEM E) CITY MGR. AW-IX,04�— SUBJECT: JANITORIAL SERVICES CONTRACT - CITY HALL Recommended Motion(s): Staff recommends that City Council award the janitorial services contract for City Hall in the amount of $5,940 to West Coast Building Services (WCBS). Report Summary: This contract will provide janitorial services to the City Hall offices from July 1, 1993 until June 30, 1994. The present contract costs $10,533.60. Staff feels that the present contractor is meeting the minimum specifications for the contract; however, felt that the stature of the local economy at this time would encourage better pricing. Staff received eight (8)'written proposals (attached) ranging from a low of $5,940 to a high of $18,720. The low qualified proposal was submitted by West Coast Building Services of San Carlos, California. References for this contractor, who has been in business for over ten years, have been favorable. WCBS has several accounts in or around the City of Saratoga including the Wells Fargo Bank Branches in Saratoga and Westgate. Fiscal Impacts: There will be a decrease of $382.80 per month over the present contract and a total savings of $4,593.60 per year. Funds have been set aside in the fiscal year 1993/94 budget for the Janitorial Services Contract. Follow Up Actions: None required. Consequences of Not Acting on the Recommended Motions: If this contract is not awarded, City staff will be responsible for cleaning the City Hall offices. Staff estimates that it takes between 10 to 15 hours per week. This could be accomplished but the added responsibility would affect the current staff performance in the Community Center, Senior Center, Warner Hutton House and Civic Theatre. It would increase the number of part - time custodial hours from approximately 20 hours per week to an estimated 24 hours per week which would increase the yearly cost for part -time labor by $1,664. Attachments: 1) Janitorial Services Proposals t JANITORIAL SERVICES PROPOSALS 6/7/93 Monthly Yearly Total West Coast Building Services $495.00 $ 5,940.00 Facilities Maintenance Services $638.00 $ 7,656.00 Patinos Janitorial Services $779.98 $ 9,359.76 San Jose Janitorial Services $809.20 $ 9,710.40 Neals Janitorial Services $847.00 $10,164.00 United Maintenance Company $985.00 $11,820.00 California Cleaning Systems $1,180.00 $14,160.00 US Maintenance Services $1,560.00 $18,720.00 6/7/93 SARATOGA CITY COUNCIL EXECUTIVE SUMMARY NO. '?- -3 2- 3 MEETING DATE: June 16, 1993 ORIGINATING DEPT. Engineering AGENDA ITEM CITY MGR. SUBJECT: Hakone Gardens Water System, Capital Project No. 981 - Award of Construction Contract Recommended Motion (s): 1. Move to declare John Clay Landscape of Hayward to be the lowest responsible bidder on the project. 2. Move to authorize staff to execute the attached contract with John Clay Landscape in the amount of $98,450. 3. Move to authorize staff to execute change orders to the contract up to $7,500. Report Summary: Sealed bids for the Hakone Gardens Water System, Capital Project No. 981, were opened on June 8. Three contractors. submitted bids on the project and a summary of the bids is attached. John Clay Landscape of Hayward submitted the lowest bid of $98,450 which is only $450 above the Engineer's Estimate of $98,000. (Note, staff is recommending that the $10,.000 bid for item no. 15, Bamboo Garden Irrigation System Installation, which is an alternate bid item, not be awarded as part of the construction contract.) Staff has carefully checked the low bid and has determined that it is responsive to the Notice Inviting. Sealed Bids dated May 11. Consequently, it is recommended that the Council declare John Clay Landscape of Hayward to be the lowest responsible bidder on the project 'and that a construction contract be awarded to this contractor in the amount of $98,450. Further, it is recommended that staff be authorized to execute up to $7,500 in change orders to the contract to cover any unanticipated circumstances which may arise during the construction. F Fiscal Impacts: The proposed budget beginning July 1 contains sufficient funds in Project No. 981 to cover the recommended contract award amount and change order authority. Also, the redesigned project has reduced the construction cost by between $40,000 and $50,000 from when the project was bid last October. Follow Up Actions: Staff will execute the contracts and issue the Notice to Proceed to the contractor. The construction is scheduled to be completed this summer under contract conditions that will avoid conflicts with rental activities. Consequences of Not Acting on the Recommended Motions: The contract would not be awarded and the Council would need to reject all bids and provide further direction to staff on how to proceed with the project. CITY OF SARATOGA SANTA CLARA COUNTY, CALIFORNIA CONTRACT FOR PUBLIC WORKS CONSTRUCTION HAKONE GARDENS WATER SYSTEM THIS CONTRACT, made this day of by and between the City of Saratoga, a Municipal Corporation, in Santa Clara County, California, hereinafter called the City, and. JOHN CLAY LANDSCAPE hereinafter called the Contractor. WITNESSETH: WHEREAS, the City has caused to be prepared in the manner prescribed by law, plans, specifications and other contract documents, for the work herein described and shown and has approved and adopted these contract documents, specifications and plans and has caused to be published in the manner and for the time required by law, a Notice Inviting Sealed Bids for doing the work in accordance with the terms of this'Contract, and WHEREAS, the Contractor in response to said Notice has submitted to the City a sealed bid proposal accompanied by a bid guaranty in an amount not less than ten percent (10 %) of the amount bid for the construction of all of the proposed work in accordance with the terms of this Contract, and WHEREAS, the City, in the manner prescribed by law, has publicly opened, examined and canvassed the bids submitted and as a result has determined and declared the Contractor to be the lowest responsible bidder and has duly awarded to the Contractor a contract for all of the work and for the sum or sums named in the bid proposal and in this Contract. NOW, THEREFORE, THE PARTIES AGREE AS FOLLOWS: ARTICLE I. WORK TO BE DONE: That the Contractor shall provide all necessary labor, machinery, tools, apparatus and other means of construction; shall furnish all materials, superintendence and overhead expenses of whatever nature necessary to construct all of the improvements for the City of Saratoga in conformity with the plans, specifications and other contract documents and according to such instructions as may be given by the Saratoga City Engineer or his authorized agent. 16 ARTICLE II. CONTRACT PRICES Except as provided in Section IV B of the Specifications ( "Changes and Extra Work "), the City shall pay the Contractor according to the. prices stated in the bid proposal submitted by the Contractor, which shall include all applicable taxes, for complete performance of the work. The Contractor hereby agrees to accept such payment as full compensation for all materials and appliances necessary to complete the work; for all loss or damage arising from the work or from action of the elements, or from any unforeseen obstruction or difficulties which may be encountered in the prosecution of the work; incurred in and in consequence of the suspension or discontinuance of the work; as hereby specified; for all liabili- ties and other insurance; for all fees or royalties or other ex- penses on account of any patent or patents; for all overhead and other expenses incident to the work and expected profits; and for well and faithfully performing and completing the work within the time frames specified in each Notice to Proceed, all according to the contract plans and specifications, the details and instruc- tions, and the requirements of the City. ARTICLE III. PARTS OF THE CONTRACT: That the complete contract document consists of the following: 1. Notice Inviting Sealed Bids 6. Performance Bond 2. Bid Proposal 7. Labor and Material Bond 3. Bidder's Bond or Bid Guaranty 8. Plans 4. Contract for Public Works 9. Specifications Construction 10. Insurance Certificates 5. Hold Harmless Clause 11. Prevailing Wage Rates In case of any conflict between this Contract and any other part of the contract, this Contract shall.be binding. IN WITNESS WHEREOF, the City has caused its corporate name to be hereunto subscribed and its corporate seal to be hereunto affixed by its City Manager and its City Clerk thereunto duly authorized and the Contractor has executed these presents the day and year hereinabove written. 17 AWARDED BY CITY COUNCIL: Date: JUNE 16, 1993 ATTEST: City Clerk The foregoing Contract is approved as to form this day of , 19 City Attorney 18 a CITY OF SARATOGA: CONTRACTOR: By Title License No. Tax ID or SSN CITY OF SARATOGA BID SUMMARY HAKONE GARDENS WATER SYSTEM, CAPITAL PROJECT NO. 0981 BID DATE: June 8, 1993 ENGINEER'S ESTIMATE JOHN CLAY LANDSCAPE CONTRACTOR ITEM NO. ITEM DESCRIPTION QUANTITY UNITS UNIT PRICE TOTAL UNIT PRICE TOTAL ---------------------------------------------------------------------------------------------------------------------------------------- 1 6" PVC WATER PIPE - PHASE I WORK 330 LF $40.00 $13,200.00 $35.00 $11,550.00 2 6" GATE VALVE - PHASE I WORK 1 EA $500.00 $500.00 $500.00 $500.00 3 4" PVC WATER PIPE - PHASE 1 WORK 1,030 LF $35.00 $36,050.00 S30.00 830,900.00 4 4" GATE VALVE - PHASE I WORK 3 EA $300.00 $900.00 $300.00 $900.00 5 8" GATE VALVE - PHASE I WORK 1 EA $1,000.00 $1,000.00 $700.00 $700.00 6 FIRE HYDRANT - PHASE I WORK 1 EA $2,000.00 $2,000.00 $2,000.00 $2,000.00 7 VALVE BOX- PHASE I WORK 5 EA $100.00 $500.00 $100.00 $500.00 8 1" WATER METER 8 BOX - PHASE I WORK 2 EA $350.00 $700.00 $600.00 $1,200.00 9 1 1/2" WATER METER 8 BOX - PHASE 1 WORK 3 EA $400.00 $1,200.00 $1,000.00 $3,000.00 10 WATER SERVICE w /CONNECTIONS - 1 LS - $3,300.00 - $4,000.00 PHASE 1 WORK 11 CONNECT EXISTING FIRE HYDRANT - 1 LS - $1,000.00 - $1,000.00 PHASE I WORK 12 1" AIR RELEASE VALVE - PHASE 1 WORK 2 EA $750.00 $1,500.00 $600.00 $1,200.00 13 JAPANESE GARDEN IRRIGATION SYSTEM 1 LS - $28,500.00 - $33,000.00 PHASE II WORK 14 BAMBOO GARDEN IRRIGATION SYSTEM 1 LS - $7,650.00 - $8,000.00 (COMPONENTS) - PHASE II WORK TOTAL $98,000.00 TOTAL $98;450.00 ALTERNATE BID ITEM: 15 BAMBOO GARDEN IRRIGATION SYSTEM 1 LS - $15,000.00 - $10,000.00 (INSTALLATION) - PHASE II WORK _ ____________ GRAND TOTAL $113,000.00 GRAND TOTAL $108,450.00 PROGRESSIVE PACIFIC CASEY CONSTRUCTION UNIT PRICE ---------------------------------------------------------------------- TOTAL UNIT PRICE TOTAL $44.00 $14,520.00 $65.00 $21,450.00 $450.00 $450.00 $850.00 $850.00 $35.00 536,050.00 $29.00 $29,870.00 $400.00 $1,200.00 $350.00 $1,050.00 5500.00 $500.00 $1,100.00 $1,100.00 52,000.00 $2,000.00 $2,450.00 $2,450.00 $75.00 $375.00 $90.00 $450.00 $1,100.00 $2,200.00 $950.00 $1,900.00 $1,300.00 $3,900.00 $1,550.00 $4,650.00 - $9,000.00 - $4,750.00 .$600.00 - $1,575.00 $500.00 $1,000.00 $1,162.50 $2,325.00 - $33,000.00 - $48,020.00 $4,000:00 - $6,570.00 TOTAL $108,795.00 TOTAL $127,010.00 $4,000.00 - $18,950.00 ------- - - - - -- ------- - - - - -- ------------- ------- - - - - -- GRAND TOTAL $112,795.00 GRAND TOTAL $145,960.00 SARATOGA CITY COUNCIL EXECUTIVE.SUMMARY NO. a- AGENDA ITEM "t J/ MEETING DATE: June 16, 1993 D CITY MGR. ORIGINATING DEPT. Engineering lJ►- . . ,___ SUBJECT: Quito Road Bridge Replacements, Capital Project No. 905 - Final Acceptance and Notice of Completion Recommended Motion(s): Move to accept the project as complete and authorize staff to record the Notice of Completion for the project. Report Summary: All work on the Quito Road Bridge Replacements, Capital Project No. 905, has been completed by the City's contractor, Serrano and Cone, Inc., and inspected by both City and Caltrans staff. The final construction cost for the project was $551,618, which is 9.6% above the awarded contract amount of $503,493. The additional costs were due to extra work resulting from utility conflicts, increased traffic control requirements and an adjustment in the location of the Bicknell Bridge to better align with the,roadway and the creek. In order to close out the construction contract and begin the one year maintenance /warranty period, it is recommended that the Council accept the project as complete. Further, it is recommended that the Council authorize staff to record the attached'Notice of Completion for the contract so. that the requisite 30 day Stop Notice period for the filing of claims by subcontractors or material providers may commence. Fiscal Impacts: The ten percent retention withheld from previous payments to the contractor will be released 30 days after recordation of the Notice of Completion assuming no Stop Notices are filed with the City. The, adopted budget contains sufficient funds in Project No. 905, Account No. 4510, to cover the cost of the project including the executed change orders. Follow Up Actions: Staff will record the Notice of Completion for the contract and will release the contract sureties and retention thirty days thereafter. Consequences of Not Acting on the Recommended Motions: The project would not be accepted as complete and staff would notify the contractor of any additional work required by the City Council before the project would be accepted as complete.