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HomeMy WebLinkAbout13- Develoment Services CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION From: Valerie C. Ross, Acting Director Subject: Resolution adopting the 2000/01 to 2003/2004 Capital Improvement Dept: Development Services Program (5-Year CIP). Date: July 12, 2000 File No. 9.021 Synopsis of Previous Council Action: MCC Date: 7/24/00 7/19/99 Resolution approved adopting the Capital Improvement Program for the years 1999-2000 to 2003/2004 7/10/00 Draft 2000/01 to 2004/2005 CIP presented at budget workshop. Recommended Motion: Adopt Resolution Valerie C. Ross Contact person: T. Jarb Thaipelr, Senior Civil Engineer Phone: 5127 Supporting data attached: Staff Report, Reso, CIP Ward: All FUNDING REQUIREMENTS: Amount: N/A Source: (Acct. No.) (Acct Description) Finance: Council Notes: Agenda Item No. 13 1/;tqJ-a00b CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION Staff Report Subject: Resolution adopting the FY 2000/2001 to 2004/2005 Capital Improvement Program (5-Year CIP). Background: The proposed FY 2000/2001 to 2004/2005 Capital Improvement Program (5-Year CIP) is meant to be a long-term plan to meet the infrastructure needs of the community. Because of the length of time associated with seeking Federal/State Aid, designing, and ultimately constructing many of the substantive Public Works projects, consistency from year to year in the CIP is essential. This plan is very similar to the previous CIP with new projects identified and prioritized to replace those that were completed this past year based on staff assessments of need, available funding, ability to receive Federal/State Aid, and input received from the Mayor and Common Council at two separate workshops. There are three primary reasons for adopting a 5-year CIP: 1. Assure compliance with the goals established in the City's General Plan regarding maintenance and improvement of the City's infrastructure. 2. To assure that advanced planning needs and priorities of the City are met. 3. Assure compliance with Assembly Bill 1600 (AB 1600) which requires that development fees collected by an agency be programmed to be spent within five years of the time they are collected. Projects are included in the CIP for which there is a reasonable expectation that funding can be secured within the 5-year life of the plan. The first year of the program represents those projects actually included in the budget. Projects listed in the subsequent four years represent staff's best projection of available funding. Also included is a list of needed projects for which there is no reasonable expectation that funding will be secured. No attempt has been made to prioritize the projects without an identified funding source. Several of the highlighted projects included in the FY 00/01 CIP are a Pavement Management Program and an updated Sewer Master Plan, both of which will assist the Mayor and Common Council in prioritizing infrastructure improvement projects in the CIP for years to come. In addition, design will commence shortly on the Santa Fe Depot Rehabilitation, 5-level Parking Structure retrofit, and the Mt. Vernon Bridge replacement project is well into the environmental review stage. Finally, it is estimated that funding will become available for FY 01/02 (about July 2001) for use on Parks and Recreation projects pursuant to the State Park Bond approved by the voters in November 1999. - 1 - y t It should be emphasized that the 5-Year CIP is a guideline and not a commitment. Priorities and funding appropriations are subject to review annually in connection with adoption of the annual budget and appropriate adjustments can be made. If this comprehensive 5-Year CIP is adopted, a separate Measure "I" 5-Year CIP, reflecting proposed expenditures of only Measure "I" monies, will be submitted for approval at the next meeting of the Mayor and Common Council. Financial Impact: Fiscal year 2000/2001 Capital Improvement costs have been budgeted in the FY 2000/2001 budget. Recommendation: That the Mayor and Common Council approve the attached Resolution adopting the FY 2000/2001 to 2004/05 Capital Improvement Program (5-Year CIP). Exhibit A: 2000/2001 to 2004/2005 Capital Improvement Program - 2 - 1 RESOLUTION NO. 2 RESOLUTION OF THE MAYOR AND COMMON COUNCIL OF THE CITY 3 OF SAN BERNARDINO ADOPTING THE 2000/2001 TO 2004/2005 CAPITAL 4 IMPROVEMENT PROGRAM. 5 BE IT RESOLVED BY THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: 6 7 SECTION 1. The 2000/2001 to 2004/2005 Capital Improvement Program, attached g hereto marked Exhibit "A" and incorporated herein by reference as though fully set forth, is 9 adopted as the policy of the City of San Bernardino relating to construction of capital 10 improvement projects. 11 SECTION 2. A review of the Capital Improvement Program shall be conducted 12 13 during each annual budget review, and adjustments made as deemed appropriate by the Mayor 14 and Common Council. 15 SECTION 3. Revisions may be made to the Capital Improvement Program at any time 16 during the fiscal year by resolution of the Mayor and Common Council. 17 18 19 20 21 22 23 24 25 26 27 28 1 RESOLUTION OF THE MAYOR AND COMMON COUNCIL OF THE CITY 2 OF SAN BERNARDINO ADOPTING THE 2000/2001 TO 2004/2005 CAPITAL IMPROVEMENT PROGRAM. 3 4 I HEREBY CERTIFY that the foregoing Resolution was duly adopted by the Mayor 5 and Common Council of the City of San Bernardino at a meeting thereof, held on the 6 day of , 2000, by the following vote, to wit: 7 Council Members: AYES NAYS ABSTAIN ABSENT 8 ESTRADA 9 10 LIEN 11 MC GINNIS 12 SCHNETZ 13 SUAREZ 14 ANDERSON 15 16 MC CAMMACK 17 18 City Clerk 19 The foregoing resolution is hereby approved this day of , 20 2000. 21 22 Judith Valles, Mayor 23 City of San Bernardino 24 Approved as to Form and legal content: 25 JAMES F. PENMAN, 26 City Attorney 27 By: 71, �e- 28 City of San Bernardino FY 2000-2001 /2004-2005 od CmLIFO San Bernar ono Capital Improvement Program I TABLE OF CONTENTS Cover Letter i Introduction 1 Potential Funding Source 3 Summary of Expenditures 10-15 General Buildings 16-20 Streets and Street Lights 21-29 Sewers 30-35 Storm Drains 36-39 Traffic Controls 40-43 Parks and Recreation 44-49 July 11, 2000 The Honorable Mayor and Common Council We are pleased to submit for your consideration the capital Improvement Program (CIP) for Fiscal Years 2000/2001 through 2004/2005. The five-year CIP for 2000/2001 to 2004/2005 is a plan to construct the proposed capital improvement projects with their estimated costs and sources of funds necessary for providing the quality service and public improvements expected by the residents and businesses of the City of San Bernardino. The program is prepared in fiscal year increments (see Summary of Expenditures section), which is reviewed and updated by your Council annually to confirm or reorganize projects reflecting current year priorities, providing for the desired capital improvements to be included in the coming year's budget. It should be noted that the total budget for the FY 2000/2001 CIP is $14,118,000. We are estimating actual expenditures of approximately $10,000,000 for new projects divided into six categories as attached, and $4,118,000 to be carried over in unfinished projects into the following fiscal year. Thank you for your consideration of this important document during the budget hearing process. Valerie C. Ross Raymond A. Casey Acting Director Development Services City Engineer Introduction Capital improvement programming incorporates planning on a short and mid range basis. It links and coordinates long range general plans with growth, development, and the annual budgetary process. The Capital Improvement Program (CIP) establishes the immediate and future direction of municipal development. It formulates a plan on a priority basis to comply with State law and within the actual financial capabilities of the City. Since the City does not have sufficient funding to complete every project, it is necessary to carefully analyze the manner in which funds are programmed for improvements. Fiscal analysis, aimed at minimizing the impact of projects on local resources, is a significant element of the programs. In this way it attempts to achieve the goals and objectives of the citizens, the Mayor and Common Council of the City of San Bernardino. In planning for a long term Capital Improvement Program, it is necessary to analyze the impact of individual projects on the operating budget. All capital projects entail some operation and maintenance costs which will have to be carried as an on going expense in future budgets. In any analysis, the continuing operational costs must be weighted against the public benefit and operational saving resulting from the replacement of substandard facilities. The CIP is a planning document and does not appropriate any funds: The projects approved during the CIP process for the upcoming fiscal year are incorporated into the proposed budget for that year. The Mayor and Common Council approve appropriations for those projects through adoption of the annual budget. The remaining four years reflect staffs recommended priorities for the future and are reviewed and revised annually by the Mayor and Common Council. CIP Organization: The CIP is divided into six major sections, according to the category of capital investments, as follow: General Buildings: General Buildings can include the bond service payments for the construction of City's buildings, and remodeling or replacement of existing facilities. Funding for projects may come from the General Fund, Redevelopment Bond proceeds, Community Development Block Grants (CDBG), State funds and Refuse funds. i Streets and Street Lights: The streets and street lights can include projects to extend and widen streets, street resurfacing, construction of bridges, curbs, gutters, sidewalk, handicap ramps, bikeways, right of way acquisition, and street lighting systems. Funding for projects may come from Federal and State aid, State Gas Tax funds, Y2 cent Sales Tax funds, and CDBG funds. Sewer: The Sewer Program can include projects to increase system capacity for new users, replacing aging or obsolete systems and meeting new regulatory requirements. Sewer connecting fees, and sewer line construction and maintenance funds may fund projects. Storm Drains: The Storm Drain Program can include projects to install new storm drain systems per Comprehensive storm drain master plan, and/or replacing aging or obsolete systems. Development fees and Storm Drain construction funds may fund projects. Traffic Controls: The Traffic Controls Program can include projects to install new traffic signals, traffic striping, and/or replacing aging or obsolete traffic control systems. Projects may be funded by Development Fees, Federal and State aid, State Gas Tax funds, Sale Tax funds, and Traffic Systems Fees. Parks and Recreation: The Parks and Recreation projects can include the maintenance and upgrade of parks, game courts and fields, field lighting, recreation buildings, park restroom buildings, and play ground equipment. Park Construction Fees and CDBG may fund projects. 2 n • POTENTIAL SOURCES OF FUNDING The City's General Fund is limited and cannot be relied upon to finance all Capital Improvement Projects. A number of other sources, however, can be tapped to complete the high priority items. These include: 1. Economic Development Agency. 2. Joint Powers Authority Bonds. 3. Housing and Community Development Act of 1974 (as amended). 4. Parking and Business Improvement Fund. 5. Sewer Line Construction Fund (245). 6. Underground Utilities -PUC Rule No. 20, 20A, 20B. 7. State Gasoline Tax (126 Fund). 8. State Grade Crossing Fund. 9. State 325 Funding. 10. Federal-Aid Highway Act (Surface Transportation Program, also called FAU, TEA21). 11. Urban Park and Recreation Recovery Act. 12. Land and Water Conservation Fund. 13. Park Extension and Development Fund (241). 14. Park Development Fee Fund 243 . P ( ) 15. Storm Drain Construction Fund (248). 16. Lease Purchase Financing. 17. State Park Bond Act Funds. 18. Special Assessment Districts. 19. Blank 20. Library Services and Construction Act (LSCA). 21. Revenue Bonds. 22. Enterprise Funds. 23. Donations. 24. County Funds. 25. Highway Bridge Rehabilitation & Replacement (HBRR) Funds. 26. High Hazard Elimination Safety Funds (HHES). 27. Section 203 Federal-Aid Grade Crossing Funds. 28. Traffic Systems Fee Fund. (250). 29. Blank 30. Half-Cent Sales Tax - Local Funds (129). 31. Half-Cent Sales Tax - Arterial Funds. 32. Proposition III Funds. 33. Verdemont Infrastructure Fee Fund. 34. Federal-Aid Highway Act (Congestion Management -Air Quality). 35. Local Partnership Program (SB 300). 36. Safe Route to School Fund 37. Transportation Demand Act Fund (TDA) 38. Bureau of Indian Affairs Fund (BIA) 39. State Infrastructure Bank Loan The above sources of funding have limitations which must be recognized: 3 1. Economic Development Agency Bonds may be issued by the Redevelopment Agency or Economic Development Agency to construct capital improvements.within designated redevelopment project -" areas. 2. Joint Powers Authority Bonds ..� Bonds for certain Capital Improvements could be obtained through either Joint Powers agreement with the Public Safety Authority, or the Civic Center Authority. Utilization of this medium would commit the City to annual lease payments for the amortization of the Capital Improvements costs involved. 3. Housing and Community Development Act of 1974 as Amended The primary objective of this program is to develop viable urban communities by providing decent housing, a suitable living environment and expanding economic opportunities, principally for persons of low and moderate income. This may be achieved through the elimination of slums, blight and detrimental living conditions; conservation and expansion of housing stock; improved public services and improved use of land. The 1983 amendments remove all previous restrictions on parks, playgrounds, flood and drainage, parking, fire protections, and solid waste disposal projects. All public facilities, except for "buildings for the general conduct of government" (i.e. City Halls) are now eligible without restrictions. 4. Parking and Business Improvement Fund Monies for this fund are derived from a business license tax imposed upon business conducted within the downtown area. The tax is the equivalent of the amount of the business license fee. Revenue from this source is to be used principally for the improvement of off-street parking in the Central Business District. However, other expenditures are also eligible. 5. Sewer Line Construction Fund (2451 Monies derived from sewer connection fees and a portion of the monthly sewer charge. These funds are used to extend the City's sewer system into unsewered areas and construct relief line for reaches that are overloaded. 6. Underground Utility District - PUC Rule No 20 20A and 20B Rule No. 20 of the Public Utilities Commission requires Edison to set aside a certain percentage of their revenues to finance the cost of undergrounding their facilities, within districts designated by the City. Other utility companies, such as telephone and cable television, have to finance the cost of placing their facilities underground. About $500,000 is set aside per year by Edison for undergrounding 4 7. State Gasoline Tax About $3.5 million is received by the City annually, as their share of the state taxes on gasoline. It has been the practice for several years to transfer this entire amount to the General Fund to help fund costs for maintenance of streets. 8. State Grade Crossing Fund An amount of$15 million is allocated each year to the State Grade Crossing Fund for the purpose of eliminating existing, or proposed railroad grade crossings. These funds are allocated, to the extent funcM are available, to projects on the annual priority list established by the Public Utilities Commission for projects nominated by the California Department of Transportation and eligible local agencies. Grade Crossing funds are normally provided to finance 80% of the cost for separating existing grade crossings, with the remaining 20% shared equally by the railroad and nominating agency. On new grade crossings, the cost is normally borne equally by the Grade Crossing Fund and the nominating agency, with no participation by the railroad. 9. Senate Bill 325 Funds (SB 325) This bill provides funds for public transportation, but in the case of rural counties, until the transit demand is high enough to require all the funds, the residual funds are given to cities for street maintenance and/or construction. Normally, all of the money is committed to OMNITRANS and Dial-A-Life. The current transit budget demands are such that it is not completely required, thus we are able to utilize it for matching FAU funds. 10. The Transportation Equity Act for the 21St Century (TEA21) California will receive about $60 million per year for six years, starting in 1997. Under this program, the City will compete with other agencies for transportation enhancement activities projects (such as the rehabilitation of the Santa Fe Depot). 11. Urban Park and Recreation Recovery Act This Act seeks to restore facilities which have fallen into disrepair; to encourage innovation in recreation programming; to stimulate and support local recreation system maintenance and recovery; and to improve the management and delivery of recreational services for urban residents. Funding for projects under this Act requires local matching funds; Federal 70%...City 30%. 12. Land and Water Conservation Fund The purpose of this State fund is for acquisition and/or development of basic outdoor park and recreational needs, with an emphasis on meeting region-wide requirements. Projects must appear in the Parks and Recreation Element of the local General Plan and must conform to the State outdoor recreational plan. The basis for funding is a 50-50 match. 5 local General Plan and must conform to the State outdoor recreational plan. The basis for funding is a 50-50 match. 13. Park Extension and Development Fund (2411 This fund was created to assist with the Extension and Development of San Bernardino's park system and for the construction and reconstruction of recreational facilities. These funds may be used for the acquisition of land, construction and fumishing of buildings, installation of equipment, etc. 14. Park Development Fee Fund (243J This fund, established by the Mayor and Council in 1978 through City Ordinance No. 3714, provides funds for the acquisition and development of parks and recreational facilities through the levying of a fee on residential development in the amount of 1% of the cost of a single family structure, and 1% of the total cost of apartments and condominiums and 1.0% of the cost for improvement or $650 for each mobile home lot constructed, whichever is greater. 15. Storm Drain Construction Fund (248 New developments are required to pay a fee based upon area for construction of storm drains. About $450,000 in revenues is estimated for FY- 00-01 with $100,000 transferred to the General Fund. 16. Lease Purchase Financing This method is sometimes referred to as the "pay-as-you-use" method. It allows for the expenditure to be made up front and then payments (plus interest) to be paid as you utilize the capital improvement. 17. State Park Bond Act Funds This Act was proposed by the State Legislature to aid municipalities in the acquisition and development of community parks. This measure was last passed on the November, 1988 ballot before the most recent measure was passed in November of 1999. 18. Special Assessment Districts Special assessment districts can be formed to place a property's proportionate share of the cost for construction of public works improvements. In order for a property to be assessed, it must receive a special benefit from installation of the improvements. Districts can be established under the 1911 Act, 1913 Act or City Municipal Code. Recent developments such as Proposition 218 severely limit this option and require voter approval. 19. Blank 6 20. Library Services and Construction Act (LSCA1 Title II of this act offers construction funds for public libraries allocated through the California State Library for a percentage match toward the total cost of projects. 21. Revenue Bonds Bonds whose debt service payments are financed by charges placed exclusively on users. These charges are termed user charges and may include service charges, tolls, special taxes, admission fees, leases and rents. Revenue bonds are similar to bonds issued by private enterprises. 22. Enterprise Funds Covers all types of government user fees (such as parking, transit, refuse, water, sewer, parks and recreation, etc.) Charges are based upon the cost of providing the public services involved. Use of funds is limited to services provided (i.e., refuse monies must be used in refuse related expenditures). 23. Donations Funds derived from individuals or corporations usually in order to get a tax write- off. Normally, these funds are received in a trust fund. These funds are usually restricted to specific projects. 24. County Funds Funds received from the County. Usually these funds are earmarked for a specific project. 25. Highway Bridge Rehabilitation & Replacement (HBRR) Funds Funds are provided under this program to finance 80% of the cost of rehabilitating or replacing bridges that are sufficiently deteriorated to receive a priority within the funding range. 20% local match is required. Caltrans determines level of deterioration. 26. High Hazard Elimination Safety Funds (HHES) Projects with high accident rates are nominated to Caltrans. Those with a sufficiency high priority are designated to receive funds to finance 90% of the project cost. 10% local match is required. 27. Section 203 Federal-Aid Grade Crossing Funds Funds are provided under Section 203 of the Federal-Aid Highway Act to finance 90% of the cost of adding or upgrading crossing protection devices at grade crossing on a priority list established by the railroad. These funds cannot be used to finance the cost for widening a crossing, which means that these costs have to 7 28. Traffic Svstems Fee Fund (250) Fees collected from trip generating developments to finance traffic-related projects or increase capacity. Approximately $140,000 collected in 1999/2000. 29. Blank 30. Half-Cent Sales Tax - Local Funds (129) City's share of the one-half cent (1/2¢) sales tax approved in a General Election was $1.9 million with $190,700 transferred to General Fund for Administration. This source is due to expire in 2005 election unless voters approve extension. 31. Half-Cent Sales Tax -Arterial Fund (129) i Measure "I" Arterial Funds have been allocated by SANBAG to freeway projects. This source will expire in 2005 unless voters appeal extension. 32. Proposition 111 Funds City's share of additional Gas Taxes to alleviate congestion, as identified in the Congestion Management Plan. Projects must be in plan to qualify and must propose to reduce congestion. 33. Verdemont Infrastructure Fee Fund Fees levied on new developments in the Verdemont Area to finance the cost of infrastructure. 34. Federal-Aid Highway Act (Congestion Management -Air Quality) The Act (ISTEA) provided funds for management of congestion and improving air quality through reduced traffic delay. 35. Local Partnership Program (SB 300) Reimbursement of a portion of the costs of projects financed with- local funds, pursuant to SB 300. State Local Partnership Project must be funded with other than state of federal dollars and full cost provided by agency with reimbursement 1 to 2 years later. No new funding is currently available through this program. 36. Safe Route to School Fund This funding was established as part of AB 1475 in October 1999. California will receive $17,000,000 per year for two years. 37. Transportation Development Act Fund (TDA) I 37. Transportation Development Act Fund (TDA) The state Transportation Development Act provides that two percent of the Local Transportation Funds (LTF) shall be made available to counties and cities for the- , exclusive use of pedestrians and bicycles. For San Bernardino County this totals over $700,000 annually. The present Call for Projects will result in allocation of several years of TDA Article 3 funds, totaling $3.3 million. 38. Bureau of Indian Affairs Fund (BIAS The Bureau of Indian Affairs administers a discretionary use of Federal Gas tax funds for road and bridge improvements related to Federal Parkland and Indian Reservation access. 39. State Infrastructure Bank Loan The State of Califomia administers a loan program wherein local agencies have access to "below market' loans for the purpose of improving infrastructure. 9 s s oNO N °: Go N J v o� Q M a O r. 6P. 6R v9 N4 6R H4 o �L N ' 00 16 Lr) O N N 69 69 69 69 69 6+4 o o S o o Oro h N N cf b F it N M 00 O C N O 69 64 69 69 64 6+4 QA Z 00 rq ° N ON o zz CIO O M N u N p > z64 6'9 ug ow a SIT O cl tt N N F.y a M�1 O 00 r M ? 69 69 69 69 69 69 604 W r'� A g g C � g n O M V O r M N N � N O 00 N et O �+ O N W 69 64 69 69 69 69 69 V rH z r x a z w o 0 a u w W a LL cry Z o 3 0 w V c�i� cwn vii H a 0 O o 0 O U-) o o ti rn o J Z 0 ° — Z O m O J co U N W Q w � C � N ❑ ❑ }. 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LL V U (� VU () (3 VLLU 2 •- N lh O in W h W CA O r N M It 1A w h 00 0 O r N M v 40 w h W.Qf O r N M v U.) t0 h m r City of San Bernardino Capital Improvement Program General Buildings Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST I 1 Santa Fe Depot Rehabilitation — Begin Design ISTEA*` 1,000,00 "Cleanup" 2,630,000 1/2 ¢ Sales Tax Fund 169,000 STPE 1,300,000 2 City Hall Remodel 3rd floor restroom to CDBG 29,00( meet ADA standard 3 City Hall Remodel 2nd floor restroom to CDBG 29,00( meet ADA standard 4 City Hall Automatic Door Phase I & II CDBG 32,000 5 City Hall Retrofit fire alarm CDBG 20,OOC 6 City Hall Parking Seismic Retrofit Tax Increment 280,000 Structure Financing 7 City Hall Lobby Modernization General Fund 20,OOC 8 Fire Station No. 223 Fuel Tank Above Ground CDBG 25,OOC 9 Fire Station No. 231 Fuel Tank Retrofit CDBG 16,OOC 10 Galaxy Center Chiller Replacement General Fund 104,000 11 City Yard Expansion and ADA upgrade to General Fund 200,000 restrooms/locker rooms 12 Animal Control Remodel restroom to meet General Fund 15,000 Building ADA standard TOTAL 1,770,000 17 • T City of San Bernardino Capital Improvement Program General Buildings Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST � I 1 Santa Fe Depot Rehabilitation ISTEA" 5,500,OOC 2,630,000 1/2 c Sales Tax Fund 169,000 STPE 1,300,000 6 City Hall Parking Seismic Retrofit Tax Increment 820,OOC Structure Financing 13 City Yard New car wash Public Services 100,00C O & M Cost 14 Waterman Landfill Landfill closure Refuse Fund 800,OOC 15 City Hall Parking Replace expansion joint CDBG 120,000 Structure 16 Fire Station No. 225 Re-roof General Fund 30,000 17 City Yard Rehabilitate pavement Refuse Fund 200,000 18 City Yard Install canopies over new fuel Refuse Fund 125,000 station 19 City Yard Demolish existing sub-standard Refuse Fund 15,000 building 20 City Yard Relocate service road from new Refuse Fund 40,000 fuel island to fleet service building 21 City Yard Install security fencing, gates Refuse Fund 65,000 and perimeter landscaping 22 City Yard Re-roof and renovate siding of Refuse Fund 70,000 Public Services Building 23 Fire Station No. 227 Re-roof General Fund 30,000 24 City Yard Construct Public Service Yard Refuse Sewer 100,000 Office Complex (Design) Maintenance Funds 25 City Yard Relocate propane tank to Motor Pool Fund 15,000 adjacent new fuel island 18 City of San Bernardino Capital Improvement Program General Buildings Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 26 Fire Station No. 221 Roof restoration General Fund 20,00 27 City Yard Replacement of truck wash and General Fund 200,00 steam racks 28 City Yard New secure tire storage facility General Fund 100,00 29 City Hall Parking Repair concrete spalling CDBG 180,00( Structure 30 City Yard Upgrade paint booth Refuse Fund 130,00( 31 City Yard Install vehicle exhaust system Motor Pool Fund 70,00( 32 City Yard Install force air heating system Motor Pool Fund 30,00( in garage 33 City Yard Repair leaky roof and install Motor Pool Fund 60,00( skylight 34 City Yard Lower and Direct ducting for Motor Pool Fund 30,OOC swamp coolers Total 8,8'—0 1 Santa Fe Depot Rehabilitaiton ISTEA** 5,500,000 2,630,000 1/2 0 Sales Tax Fund 169,000 STPE 1,300,000 17 City Yard Rehabilitate pavement Refuse Fund 200,OOC 35 City Hall Roof restoration General Fund 28,OOC 36 Fire Station No. 230 Replace generator General Fund 20,000 37 City Cemetery Remodel restroom to meet General Fund 30,000 ADA standard 38 MIS Chiller replacement General Fund 150,000 Total 5,9- 19 City of San Bernardino Capital Improvement Program General Buildings ,,apital Project Descriptions GENERAL BUILDINGS NO IDENTIFIED SOURCE OF FUNDING PROJECT DESCRIPTION COST 1. Del Rosa/Mountain Acquire site and construct 10,000 sq. ft. branch library building to 1,250,000 Shadow Branch Library serve northeast area of City 2. Dorothy Ingram Branch Acquire site and construct 7,500 sq. ft. branch library building to 1,000,000 Library move present facility from Operation 2nd Chance 3. City Yard Acquire additional property for expansion 120,000 4. Five-Level Parking Install cable restrainers at beam seats 35,000 Structure 5. Five-Level Parking Sandblast top deck and apply sealer 400,000 Structure 6. Five-Level Parking Install shear walls to resist seismic forces and modify pile caps and 900,000 - Structure foundation 7. Fire Station No. 223 Construct new 7,000 sq. ft. structure with two apparatus bays to 1,300,000 replace temporary building 8. Fire Station No. 225 Construct new 7,000 sq. ft. structure with two apparatus bays to 1,300,000 replace temporary building 9. Fire Station No. 226 Construct new 7,000 sq. ft. structure with two apparatus bays to 5,000,000 replace temporary building 10. Fire Station No. 227 Construct new structure to replace existing building 1,400,000 11. Fire Station No. 229 Construct new structure to replace existing building 5,000,000 12. Fire Station No. 230 Replace existing structure due to expired lease with National 5,000,000 Orange Show 13. Fire Station No. 232 Construct additional new station in Verdemont area 1,500,000 2n o C 0 0 0 0 0 O p 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 ° °O 04(� • O O r CCp 0 N d6 Lo . O . 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N N N N N N N N N N M M M M M M M M M M v v at v v v City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST tit � t *1 Pepper-Linden Dr Construct 24'street from Kendall Gas Tax Fund 400,000 to Northpark Blvd and share traffic analysis with CSUSB *2 40th St Widen street from Acre Lane to 1/2¢ Sales Tax Fund 100,000 Electric Avenue *3 Various Locations Rehabilitate pavement Gas Tax Fund 665,600 115,600 1/2¢ Sales Tax Fund 550,000 4 Various Locations Disabled access ramps CDBG 250,000 500,000 1/2¢ sales tax 250,000 *5 State St Design and rights-of-way 1/2¢ Sales Tax Fund 400,000 acquisition for street from Federal Aid STP** Rancho Ave to Hanford St 6 Intentionally deleted 7 Mt Vernon Bridge Grade separation over BNSF HBRR 800,000 yards 7,200,000 Seismic Retrofit 3,000,000 City 750,000 8 Victoria Ave. Rehabilitate Pavement from Indian Construction 389,900 Highland to Indian Bingo *9 Northpark Blvd Rehabilitate pavement from 1/2¢ Sales Tax Fund 450,000 University Pkwy to Little Mtn Dr 10 Rialto BNSF Grade Widen Rialto grade crossing 1/2¢ Sales Tax Fund 134,000 Crossing 50,000 Metrolink 84,000 11 Highland Streetscape Complete tree planting between 1/2¢ Sales Tax Fund 65,000 Sierra & "E"Street 50,000 CDBG 15,000 12 Rosewood Dr Acquire right-of-way and 1/2¢ Sales Tax Fund 84,100 alignment to intersect at Tippecanoe Avenue (design) 13 Rialto Ave at Santa Fe Replace guard rail Street Construction 192,800 Rail Road Fund 23,136 HBRR 169,664 *Carryover from FY 1999-2000 22 "Subject to Approval of Outside Funding ***Projects bevond FY 2000-2001 subiect to re-evahiatinn nncn Pno nn#u­­­& City of San Bernardino A Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 14 Highland Ave at Del Replace guard rail Street Construction 20,500 Rosa Channel Fund 3,075 HBRR 17,425 15 Various Locations Seismic retrofit bridges HBRR 1,284,100 16 Art Townsend - Otto Realignment Federal EDA 674,500 Gericke Dr 505,875 IVDA 168,625 17 Valencia Ave and 40th Bikeway Local Transportation 130,000 St Project** 103,500 Gen. Tax 15,000 18 Repair Guardrail Various Locations 1/2¢ Sales Tax Fund 100,000 19 Rialto Ave. Pavement Waterman to Lena Road 1/2¢ Sales Tax Fund 350,000 rehab 20 Metro Link at Grade crossing at 2nd, 3rd, 1/2¢ Sales Tax Fund 150,000 "E", and "G" Streets 21 "E" St. Widening at Metrolink track 1/2¢ Sales Tax Fund 100,000 22 Pepper Ave. Pavement Mill St. to Rialto Ave. 1/2¢ Sales Tax Fund 20,000 Rehab 23 6th St. Pavement from Tippecanoe to Victoria (with 1/2¢ Sales Tax Fund 100,000 Rehab City of Highland) 24 9th St. Pavement From "H" St. to Waterman 1/2¢ Sales Tax Fund 30,000 Rehab 25 Intentionally deleted 26 Del Rosa Dr Widen to four lanes between 6th 1/2¢ Sales Tax Fund 105,000 St and Base Line St 27 Commercial Drive Pavement Rehabilitate from 1/2¢ Sales Tax Fund 325,000 Waterman Ave. to Hunt Lane 28 Various Locations Street Improvement/Safety 1/2¢ Sales Tax Fund 200,000 Improvement 1/20 Sales Tax Fund 200,000 Pavement Rehabilitate from 4th $50,000 29 "E"Street to 5th Street CDBG 150,000 'Carryover from FY 1999-2000 23 "Subject to Approval of Outside Funding *"Proiects bevond FY 2000-2001 euhiort to rwavalnatinn City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST Pavement Rehabilitate from 5th 1/2¢ Sales Tax Fund 20,000 30 Mt. Vernon Avenue to Baseline 31 Pavement Management Pavement Management Gas Tax Fund 150,000 Program Program Rialto Ave & Sierra Traffic Signal $64,000 120,000 32 Way CMAQ/$56,0001/2¢ Sales Tax Fund 33 40th Street Pavement 1/2¢ Sales Tax Fund 50,000 Rehabilitate/Improvements Electric to Waterman (Design) 34 Congestion Mgmt 1/2¢ Sales Tax Fund 45,400 Model Total 8,355,900 'Carryover from FY 1999-2000 24 "Subject to Approval of Outside Funding ���...:.. {.w.... AN"An .f .. — __ __ __ w_ .. _ City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST is of 3 Various Locations Rehabilitate pavement Gas Tax Fund 1,100,000 550,000 1/20 Sales Tax Fund 550,000 4 Various Locations Disabled access ramps CDBG** 500,000 6 Piedmont Drive Street Improvement at Baldridge 1/2¢ Sales Tax Fund 90,000 Creek 7 Mt Vernon Bridge Grade separation over BNSF HBRR 10,150,000 yards 7,200,000 Seismic Retrofit 3,000,000 City 750,000 12 Rosewood Dr Acquire rights-of-way and Federal-Aid STP** 2,000,000 alignment to intersection at Funds Tippecanoe Avenue 1,760,000 1/2¢ Sales Tax Fund 240,000 20 Metrolink Grade crossing at 2nd, 3rd, "E" 1/2¢ Sales Tax Fund 250,000 & "G"Street 22 Pepper Avenue Rehabilitate Pavement from Mill 1/2¢ Sales Tax Fund 160,000 Street to Rialto Avenue 24 9th Street Rehabilitate Pavement from "H" 1/2¢ Sales Tax Fund 385,000 Street to Waterman Avenue 25 Mt. View Avenue at Mission Zanja Creek and 1/2¢ Sales Tax Fund 750,000 Metrolink Track 26 Del Rosa Dr Widen to four lanes between 6th 1/2¢ Sales Tax Fund 30,000 St and Base Line St 28 Various Locations Street/Safety Improvement 1/2¢ Sales Tax Fund 200,000 30 Mt. Vernon Avenue Rehabilitate Pavement from 5th 1/2¢ Sales Tax Fund 300,000 Street to Baseline 35 Tippecanoe Ave- Pavement rehabilitation ISTEA** 2,000,000 Santa Ana River to Mill 1,320,000 St City 180,000 36 Hemlock Drive Rehabilitate pavement 1/2¢ Sales Tax Fund 40,000 Total 17,955,000 *Carryover from FY 1999-2000 25 —Subject to Approval of Outside Funding ***Projects bevend FY?nnn.?nni euhiarf#n rn—...1...**.-.......-s-..---_•u_______ . City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 3 Various Locations Rehabilitate pavement Gas Tax Fund 1,400,000 700,000 1/2¢ Sales Tax Fund 700,000 4 Various Locations Disabled access ramps CDBG** 500,000 28 Various Locations Street/Safety Improvement 1/2¢ Sales Tax Fund 200,000 37 Waterman Ave Rehabilitate pavement from Gas Tax Fund 250,000 Highland Ave to Rte 30 38 Fifth St Rehabilitate pavement from "H" 1/2¢ Sales Tax Fund 400,000 St to Waterman Ave 400,000 39 Northpark Blvd Little Mountain Dr to Electric Ave Gas Tax Fund 600,000 Rehabilitation 600,000 40 Pepper-Linden Dr Widen to provide four(4)traffic 1/2¢ Sales Tax Fund 275,000 lanes from Kendall Dr to Northpark Blvd Total 3,625,000 �it - 3 Various Locations Rehabilitate pavement Gas Tax Fund 1,500,000 750,000 1/2¢ Sales Tax Fund 750,000 4 Various Locations Disabled access ramps CDBG** 500,000 41 Sierra Way 2nd St to 9th St Gas Tax Fund 500,000 Rehabilitation 500,000 42 Hunts Ln Rehabilitation Hospitality Ln to Redlands Blvd Gas Tax Fund 175,000 43 University Pkwy Rehabilitate pavement from Gas Tax Fund 200,000 Rehabilitation Kendall Dr to Northpark Blvd Total 2,875,000 'Carryover from FY 1999-2000 26 '*Subject to Approval of Outside Funding —Projects bevond FY 2000-2001 subiect to re-evahwtinn nnra Pm-­#■A�..�.........�o_ ___ :_ City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST ��• oil 3 Various Locations Rehabilitate pavement Gas Tax Fund 1,600,000 800,000 1/20 Sales Tax Fund 800,000 4 Various Locations Disabled access ramps CDBG" 500,000 44 "H" St Widen from Kendall Dr to 40th St Gas Tax Fund 350,000 45 Pepper-Linden Ave Freeway interchange and STP** 4,500,000 improvement from 1-215 to Gas Tax Fund Kendall Dr 46 Sierra Way Extend from Orange Show Road STP** 2,000,000 to Mill St Gas Tax Fund Total 8,950,000 'Carryover from FY 1999-2000 27 "Subject to Approval of Outside Funding —Projects beyond FY 2000-2001 subiect to ra_avahiarinn City of San Bernardino Capital Improvement Program Streets and Street Lighting Capital Project Descriptions STREETS AND STREET LIGHTING NO IDENTIFIED SOURCE OF FUNDING PROJECT DESCRIPTION COST 1. Country Club Lane Pavement Rehabilitation 20,000 2. 5th St- "H" St to Pavement Rehabilitation 186,000 Waterman Ave 3. Hospitality Ln East of Pavement Rehabilitation 113,000 Waterman Ave 4. Mill St Construct second bridge on Mill St over Santa Fe 6,000,000 Railway 5. Piedmont Dr Construct Piedmont Dr from Northpark Blvd at Pepper- 3,000,000 Linden to Northpark Blvd at Little Mountain Dr 6. Rialto Ave Construct grade separation at Rialto Ave grade crossing 3,500,000 no. 2B-0.7 7. Meridian Ave Extend south of Rialto Ave by construction of a grade 3,500,000 separation 8. Rialto Ave Construct grade separation on Rialto Ave west of Macy 3,500,000 St 9. 34th St to Electric Ave Landscaping rights-of-way 34th St to 50th St on Electric 510,000 Ave 10. Oak St Widening of Oak St between Eureka St and "K" St 37,000 11. Oak St Improve Oak St from Stoddard St to the Warm Creek 52,500 Channel 12. State Street Extend State Street from Baseline to Fifth Street 10,000,000 28 —Projects beyond FY 2000-2001 subject to re-evaluation once Pavement Management Program in place -- City of San Bernardino " Capital Improvement Program Streets and Street Lighting Capital Project Descriptions STREETS AND STREET LIGHTING NO IDENTIFIED SOURCE OF FUNDING...cont'd PROJECT DESCRIPTION COST 13. El Camino Real Reconstruct El Camino Real from Fairway Dr to Auto 147,000 Plaza Dr 14. Fairfax St Construct box culvert on Fairfax Street at Del Rosa 450,000 Channel 15. Rialto Ave Rehabilitate pavement on Rialto Ave from Eucalyptus 300,000 Ave to East Branch Lytle Creek Channel 16. Rancho Ave Rehabilitate pavement on Rancho Ave from Mill St to 250,000 Foothill Blvd 17. 40th St Acquire rights-of way and widen 40th St from Acre Ln 2,000,000 to Electric Ave 18. Sierra Way Eliminate dip at Sierra Way and 3rd St 100,000 19. Little League Drive Freeway Interchange 7,000,000 I I 29 —Projects beyond FY 2000-2001 subject to re-evaluation once Pavement Management Program in place O O O O O 0 0 0 0 0 0 0 0 0 0 0 0 0 C) O Co O O O O m 0 0 0 aOD O O p 0 0 0 O 0 0 0 0 0 0 0 • O O O N O O M O O O) O 43 O p C; C 0 O p 0 0 0 0 0 0 O N E �/� N O O O O H O tl� R of O Qf to to O O O p ��A O O W) O m O O? 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C 3 y m L C y X C In >. m L 3 9 — O O CO y m m y C C-4 N CO = c x (D 2, 3 V J y c N > c c > °° — o o �° �n y m eo o a — m y c E c� _ m m y d v c a (n 10 Q) (D 3 y o y N h y o y t m >� m m >�U y f o o 0 0 o c-- N c = row c m ° 0 > m ie v io ie iv > - p < 3 c f Q 3 R > m y J to CL J J .J .OJ C m W LL c 1�0 m a a m > > L m m c y -�, m e O a m fn O a O m m 7 7 7 3 m E J -(/� V! t m m Q (n m ` m V L m 0 0 'O 0 0 0 0 0 0 my N m « C g N m E j O v O C 3 r _ w CL m m m m m m 10 m iu :°. :°. t ? m t :°. A 1a m t o % o » » » > 3m : U) to � UJC" x 0wa0 x -j z3w N cn V N w n 1b CD O r N m V 10 w h W m O — N cn V 1f1 W f- w N N N N N N N N N City of San Bernardino Capital Improvement Program Sewers Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 1 Update Sewer Master Sewer Line 200,000 Plan Construction Fund Total 200,000 *Carryover from FY 1999-2000 31 City of San Bernardino r Capital Improvement Program Sewers Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST *2 Various Locations Rehabilitate manholes Sewer Line 100,000 Maintenance Fund 3 Various Special Repair as required Sewer Line 150,000 Maintenance Functions Maintenance Fund 4 Various Locations Major repair Sewer Line 210,500 Maintenance Fund 5 Various Special City's share of cost for sewer main Sewer Line 150,000 Maintenance Functions extensions in excess of 300 feet Construction Fund *6 Various Locations Line extension engineering Sewer Line 51,300 Construction Fund 7 Various Locations Extension studies Sewer Line 300,000 Construction Fund *8 Waterman Ave Install relief sewer from 4th St to Sewer Line 1,137,000 Base Line St Maintenance Fund *9 Base Line St, Sierra Install 10"relief sewer line Sewer Line 180,000 Wy to Waterman Ave Maintenance Fund *10 "E"St, Santa Ana to Install relief sewer line Sewer Line 240,000 Chandler PI Maintenance Fund *11 State St, Foothill to Install sewer main Sewer Line 349,800 15th St Maintenance Fund *12 State St and Macy St- Install sewer main Sewer Line 300,000 Lincoln Ave to Maintenance Fund Washington Ave *13 Arrowhead Ave 3rd St Install 8"and 12"relief sewer Sewer Line 299,800 to 8th St Construction Fund *14 Club Center Dr, Install sewer main Sewer Line 250,000 Redlands to Caroline Construction Fund *15 East Valley Trunk Install relief interceptor Sewer Line 1,500,000 Construction Fund *16 9th St,Arrowhead Ave Install relief sewer in Arrowhead Sewer Line 550,000 to 11 th St Ave to Waterman Ave Construction Fund *17 State St and Macy St Arrowhead Ave 9th St to 11th St Sewer Line 300,000 Construction Fund *Carryover from FY 1999-2000 32 City of San Bernardino Capital Improvement Program Sewers Capital Project Descriptions I1 1� 3 Various Special Repair as required Sewer Line 150,000 Maintenance Functions Maintenance Fund 4 Various Locations Major repair Sewer Line 210,500 Maintenance Fund 5 Various Special City's share of cost for sewer main Sewer Line 150,000 Maintenance Functions extensions in excess of 300 feet Construction Fund 7 Various Locations Extension studies Sewer Line 100,000 Construction Fund 20 Cajon Blvd Install sewer from Institution Rd to Sewer Line 1,000,000 northerly city limits Construction Fund 21 Electric Ave/Mt View Install sewer from 36th St to 40th Sewer Line 250,000 Ave St Construction Fund 22 Arrowhead Ave Install 8"to 12"relief sewers in Sewer Line 300,000 Arrowhead Ave from 3rd St to Construction Fund 40th St Total 2,160,500 "Carryover from FY 1999-2000 34 City of San Bernardino Capital Improvement Program Sewers Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST of 0i• 3 Various Special Repair as required Sewer Line 150,000 Maintenance Functions Maintenance Fund 4 Various Locations Major repair Sewer Line 210,500 Maintenance Fund 5 Various Special City's share of cost for sewer main Sewer Line 150,000 Maintenance Functions extensions in excess of 300 feet Construction Fund 7 Various Locations Extension studies Sewer Line 100,000 Construction Fund 23 Orange Show Rd Install sewer-Santa Ana River to Sewer Line 150,000 Tippecanoe Ave Construction Fund 24 Rosewood Ave/ Install sewer from Orchard Ave to Sewer Line 300,000 Laurelwood Ave Tippecanoe Ave Construction Fund 25 Lynwood Dr Install 8"to 12"relief sewers in Sewer Line 450,000 Lynwood Dr and Harrison from Construction Fund Valencia to 36th St Total 1,510,500 �i• 1i 3 Various Special Repair as required Sewer Line 150,000 Maintenance Functions Maintenance Fund 4 Various Locations Major repair Sewer Line 210,500 Maintenance Fund 5 Various Special City's share of cost for sewer main Sewer Line 150,000 Maintenance Functions extensions in excess of 300 feet Construction Fund 26 Norton Outfall Install 15" relief sewer from "E" St Sewer Line 2,350,000 to Tippecanoe Ave Construction Fund 27 Waterman Ave Install 15"-18"relief sewer from Sewer Line 380,000 6th St to Base Line St Construction Fund 28 Eastside Interceptor Install 8"to 12"relief sewers in Sewer Line 3,200,000 Lynwood Dr and Harrison from Construction Fund Valencia to 36th St Total 6,440,500 *Carryover from FY 1999-2000 35 000 C) 0 0 0 0 0 0 0 0 0 0 0 0 00 O O 00 00 '!IQ I0o_o0o_rn00ct ..0.000.00000 ° E N N . aj co "T ON ,tj 01, p 000O000 `Fr N N LO O) er- O) N O et tC) U) U) C) O Q LO N 00 t0 t0 N N N r- O c-) L � � 1 O L E a O O O C. _ 0 0 0 0 0 0 0 0 o c o 0 c 0 0 0 0 0 00 00 CD E E L _ vLnC c LO 0 CD Cl) _ o cCD 0 E m 0 000 0 0 O 0 0 0 0 0 0 0 0 0 0 0 0 0 00 0 0 _ o fl. � v E E _ 0 00 00 0 _ 0 O 0 0 0 O 0 O O O 0 0 O O 0 0 0 O cm r- 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C c L J O O O N U) ` e0 l0 IA m .O, > 7 N C Y c N Q wa > - waC � ca 0 v a°i C C L C to o � � N � CD = m E mc U - - U m - m > Q> Q 0 d > > Q 0 G1 > O U) LL e6 V c c 0 U) v m �o o Q - m 3Mcm c c) cc � o C �o a E La > c c . - _mow co Y > a T i G W x O W = N 3 U T N � � 1A m ►� OD O) O T N �"> � Y1 t0 h Cp O T T T T T T T T T T City of San Bernardino Capital Improvement Program Storm Drains Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST *1 Kendall Dr and "H" St Extend storm drain pipe Storm Drain 29,100 Extension Construction Fund 2 Various Locations Repair cross gutters and drainage Storm Drain 28,900 inlet Construction Fund *3 Various Locations Repair failed box culverts at Storm Drain 224,600 various locations Construction Fund 4 13th Street and "G" Install cross gutter and Storm Drain 50,000 Street improvement Construction Fund 5 Timber Creek, Twin East Twin Creek to Tippecanoe - Storm Drain 699,600 Creek to Tippecanoe Line Channel Construction Fund Ave 6 Mountain Ave Storm n/o 40th Street Storm Drain 150,000 Drain Construction Fund 7 Mt. View Ave Mission Zanja Channel Storm Drain 172,000 Construction Fund 8 Mt. Vernon Storm Drain Baseline to 16th Street Storm Drain 697,900 Construction Fund 9 Mt. View Storm Drain Construct Storm Drain 25,000 Construction Fund 10 "E" Street Storm Drain on "E" between 5th Storm Drain 200,000 and 4th Construction Fund Total 2,277,100 *Carryover from Fy 1999-2000 37 City of San Bernardino Capital Improvement Program Storm Drains Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 2 Various Locations Repair cross gutters and drainage Storm Drain 50,000 inlet Construction Fund 3 Various Locations Repair failed box culverts at Storm Drain 200,000 various locations Construction Fund 11 Highland Avenue Install storm drain master plan Storm Drain 247,900 Central Ave. to Baldridge Creek Construction Fund 12 Orange St and Love Storm drain on Orange St - Storm Drain 150,000 Lane Highland Ave to Love Lane and Construction Fund Love Lane Orange St to Victoria Total 647,900 2 Various Locations Repair cross gutters and drainage Storm Drain 50,000 inlet Construction Fund 3 Various Locations Repair failed box culverts at Storm Drain 200,000 various locations Construction Fund 13 "E" St Install storm drain from "E" Storm Drain 250,000 westerly along railroad tracks to Construction Fund "G" Street and southerly to Lytle Creek 14 Highland Ave Highland Ave to Sierra Way and Storm Drain 750,000 Sierra Way to Marshall Ave Construction Fund Total 1,250,000 3 Various Locations Repair failed box culverts at Storm Drain 200,000 various locations Construction Fund 15 27th St Install master plan storm drain D-5 Storm Drain 1,400,000 from "H" St to Little Mountain Dr Construction Fund 16 Warm Creek Channel Replace slope paving from Athol Storm Drain 600,000 St to Arrowhead Ave Construction Fund 17 California Street Install master plan storm drain Storm Drain 1,000,000 Construction Fund Total 3,200,000 'Carryover from Fy 1999-2000 38 City of San Bernardino Capital Improvement Program Traffic Controls Capital Project Descriptions f PROJECT DESCRIPTION FUNDING COST I '1 Mill St and Macy St Upgrade traffic signals to provide Developer's Fees 120,000 unprotected/permissive left-tum 70,000 phases Traffic Systems Fee Fund 50,000 2 Various Locations Upgrade traffic signals and Traffic Systems Fee 34,700 signal improvements Fund *3 Foothill Blvd from 4th St Install traffic signal 1/2 ¢ Sales Tax Fund 173,400 to 5th St 4 Westside Traffic Study Westside Traffic Study TSFF 20,000 5 University Ave and Modify traffic signal and provide Traffic Systems Fee 80,000 Kendall Dr dual left turn lanes Fund I 6 Tri-City Area Update traffic study (Began) Traffic Systems Fee 40,000 Fund 7 Rialto Ave and Sierra Install traffic signals (CMAQ) Prop. 111 Funds-56,000 120,000 Way CMAQ-64,000 8 40th St Install interconnect from Sierra Traffic Systems Fee 25,000 Way to Waterman Ave (CMAQ) Fund-9,000 CMAQ-16,000 9 Medical Center Dr and Install traffic signals TSFF-56,000 120,000 16th St CMAQ-64,000 10 4th Street Install Pedestrian Signal Crosswalk Gas tax 70,000 11 Waterman Ave/5th St to Extend signal interconnect Traffic Systems Fee 52,000 30th St Fund 12 Waterman & Barton Upgrade Signal TSFF-40,000 DEV- 39,900 40,000 Colton-40,000 Total 895,000 'Carryover from FY 1999/2000 41 City of San Bernardino Capital Improvement Program Traffic Controls Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 11 2 Various Locations Upgrade traffic signals and Traffic Systems Fee 150,000 signal improvements Fund 13 5th Street & "H" Street Install pedestrian signal Traffic Systems Fee 70,000 Fund 70,000 14 Hunts Lane & "E" Install traffic signal TSF-90,000 120,000 DEV-30,000 15 Pacific St and Perris Install traffic signals Developer's Fees 140,000 Hill Rd 30,000 Traffic Systems Fee Fund 70,000 Total 480,000 2 Various Locations Upgrade traffic signals and Traffic Systems Fee 150,000 signal improvements Fund 16 Highland Ave and Install traffic signals and Prop. 111 Funds 125,000 Central Ave interconnect to Patton Hospital 17 Sierra Way and 16th St Install traffic signals and 1/20 Sales Tax Fund 110,000 interconnect to Patton Hospital 18 Central Ave and Install traffic signals Traffic Systems Fee 110,000 Arrowhead Ave Fund Total 495,000 19 Kendall Dr Install interconnect from "H"St to Traffic Systems Fee 50,000 Little Mountain Dr Fund 20 Mt Vernon Ave Install interconnect, push buttons Traffic Systems Fee 300,000 and pedestrian signals from Mill Fund St to Highland Ave 21 "E" St and Orange Install traffic signals Traffic Systems Fee 110,000 Show Lane ' Fund 22 Sterling Ave and 6th St Install traffic signals City of Highland-50,000 120,000 City of San Bernardino- 50,000 Total 580,000 'Carryover from FY 1999/2000 42 City of San Bernardino Capital Improvement Program Traffic Controls Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 23 Lynwood Dr and Install traffic signals Traffic Systems Fee 120,000 Sterling Ave Fund 24 Sierra Way and 21st St Install traffic signals Traffic Systems Fee 120,000 Fund 25 Del Rosa Ave Widen between Date PI and Traffic Systems Fee 340,000 south ramps to Route 30 in order Fund to provide two left-turn lanes 26 3rd St and Airport Exit Install traffic signals IVDA 120,000 Total 700,000 'Carryover from FY 1999/2000 43 f l , If City of San Bernardino Capital Improvement Program Parks and Recreation Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 1 City-Wide Security Upgrade and install new security Park Construction 50,000 Lighting lighting at various parks and Fee Funds recreational facilities 5 City-Wide Tot Lots Improve play lots at various City Park Construction 200,000 facilities to meet ADA standards Fee Funds 6 City-Wide Park Furnishings at various parks and Park Construction 25,000 Furnishings facilities Fee Funds 7 Little League Field Upgrade lighting system for Park Construction 225,000 Lighting - City Wide various fields Fee Funds/ Park Bond 8 Restroom Demolish old restroom and install CDBG 144,000 Improvements new restroom to comply with ADA requirements at Mill Center 9 Replace hydraulic Replace quick coupler unit for CDBG/Park Bond 170,000 irrigation systems at irrigation system at Nunez & each park Encanto and Wildwood Parks 10 Meadowbrook Demolish and install restroom to CDBG 150,000 Recreation (Rialto and comply with ADA requirements Allen) 11 City-Wide Community Repaint inside and out CDBG 150,000 Centers 46 City of San Bernardino Capital Improvement Program Parks and Recreation Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 12 City-Wide Park Parking Resurface and stripe parking lots CDBG 100,000 Lots to comply with ADA requirements 50% in City parks throughout the City Park Construction Funds 50% Total 1,214,000 2002-2003 1 City-Wide Security Upgrade and install new security Park Construction 50,000 Lighting lighting at various parks and Fee Funds recreational facilities 5 City-Wide Tot Lots Improve play lots at various City CDBG 100,000 facilities to meet ADA standards 50% Park Construction Funds 50% 6 City-Wide Park Furnishings at various parks and Park Construction 25,000 Furnishings facilities Fee Funds 7 Little League Field Upgrade lighting system for Park Construction 60,000 Lighting - City Wide ballfields at various fields Fee Funds/ Park Bond 8 Restroom Install new restroom to meet ADA CDBG 144,000 Improvements requirements at Perris Hill Park I Large Picnic Area 9 Replace hydraulic Replace hydraulic irrigation Park Construction 60,000 irrigation systems at systems at Perris Hill Park Fee Funds each park 11 City-Wide Community Repaint inside and out CDBG 150,000 Centers 47 City of San Bernardino Capital Improvement Program Parks and Recreation Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 12 City-Wide Park Parking Resurface and stripe parking lots CDBG 100,000 Lots to comply with ADA requirements 50% in City parks throughout the City Park Construction Funds 50% Total 689,000 2003-2004 City-Wide Security Upgrade and install new security Park Construction 50,000 Lighting lighting at various parks and Fee Funds recreational facilities 5 City-Wide Tot Lots Improve play lots CDBG 100,000 at various City facilities to meet 50% ADA standards Park Construction Funds 50% 6 City-Wide Park Furnishings at various parks & Park Construction 25,000 Furnishings facilities Fee Funds 7 Little League Field Upgrade lighting system for Park Construction 75,000 Lighting - City Wide Golden Valley Ball Field & Tennis Fee Funds/ Park Courts Bond 9 Replace hydraulic Replace hydraulic irrigation CDBG/ Park Bond 140,000 irrigation systems system at Mt. View Median 12 City-Wide Park Parking Resurface and stripe parking lots CDBG 100,000 Lots to comply with ADA requirements 50% in City parks throughout the City Park Construction Funds 50% Total 490,000 48 City of San Bernardino Capital Improvement Program Parks and Recreation Capital Project Descriptions PROJECT DESCRIPTION FUNDING COST 2004-2005 1 City-Wide Security Upgrade and install new security Park Construction 46,500 Lighting _lighting at various parks and Fee Funds recreational facilities 5 City-Wide Tot Lots Improve play lots at various City CDBG 100,000 facilities to meet ADA standards 50% Park Construction Funds 50% 6 City-Wide Park Furnishings at various parks and Park Construction 25,000 Furnishings facilities Fee Funds 7 Little League Field Upgrade lighting on various fields Park Construction 60,000 Lighting to meet current Youth League Fee Funds/ Park standards Bond 12 City-Wide Park Parking Resurface and stripe parking lots CDBG 175,000 Lots to comply with ADA requirements 50% in City parks throughout the City Park Construction Funds 50% Total 406,500 49