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HomeMy WebLinkAbout17-Public Services " CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION c.... , ,., ;,~~..L. Subject:. A resolution authorizing 1) an increase to the annual purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply materials for roadway pavement rehabilitation for use by the Public Services Department, and 2) issuance of three separate purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply asphalt materials for roadway pavement rehabilitation of three Capital Improvement Projects. From: Lynn Merrill, Director Dept: Public Services Date January 9, 2003 Meeting Date: January 21,2003 Synopsis of Previous Council Action Reso 2000-37 Adopted February 22,2000 - Increase PO by $10,000 2000-245 August 7,2000 Annual PO of $40,000 2002-11 January 7, 2002 Increase PO by $110,000 Recommended Motion: Adopt resolution. Ray Casey, City Engineer I/IttJ Ly n Merrill, Public Services Director Contact person Lynn Merrill, Director Phone: 5140 Supporting data attached: Ward: 4,6,7 $ 69,300 001-402-5111 Materials and Supplies FUNDING REQUIREMENTS: Amount: Source: Amount: Source: $ 42,500 129-367-5504-7299,7298 126-369-5504-7303 Finance: Council Notes: '12~'u 2CO',s -42, J.j 3/aJ Agenda Item No. J 7 CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION Staff Report Subject: A resolution authorizing 1) an increase to the annual purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply materials for roadway pavement rehabilitation for use by the Public Services Department, and 2) issuance of three separate purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply asphalt materials for roadway pavement rehabilitation of three Capital Improvement Projects. Background: As part of an overall emphasis on street repair and maintenance activities within the current fiscal year, the Public Services Department, Street Division in conjunction with Development Services has implemented the Capital Improvement Program Pilot Project. On major street resurfacing efforts, this pilot project utilizes Public Services Street Division crews to perform the street surface preparation, sweeping, rake and shovel work during pavement application, and rolling machine work. The Development Services Department provided field engineering services, assisted with traffic control, administration of contract inspection, and project related signing and striping. Contractors are used to provide inspection, cold-milling grinding and the high-volume paving machine operations under prevailing wage provisions. Three Capital Improvement Program pilot projects have been completed since July 1, 2002 utilizing a 1-112 inch grind and overlay procedure that was called for in the Capital Improvement Program. The existing purchase orders with Matich and Vulcan were approved by the Mayor and Common Council on January 7,2002 (Resolution 2002-11) in the amount of $150,000. As a result of the above work, CIP funds in the amount of $69,300 from Accounts 129- 367-5504-7294, 129-367-5504-7295 and 129-367-5504-7296 were used to pay for the asphalt purchased by the Public Services Department under the existing purchase orders. The Public Services Department is hereby requesting an increase of $69,300 from the remaining fund balance within account 001-402-5111 for a total amount not to exceed $219,300 for the combined purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division. The Development Services and Public Services Departments are now requesting authorization to continue this pilot project by accomplishing the following projects identified in the FY02-03 Capital Improvement Plan: CIP # Proiect Description 49. 28th Street between Fremontia and Valencia (Ward 7) 50. Parkdale between Sepulveda to Waterman (Ward 4,7) 55. Virginia between Med. Center to Pennsylvania (Ward 6) TOTAL CIP Budqet $20,000.00 $100,00000 $75,000.00 $195,000.00 Each project consists of cold milling (grinding) 1-1/2 inch of the existing street and replacing it with new asphalt, various street repairs, crack sealing, striping and traffic loop installation as needed. These sections of road were identified for this work through the City's Pavement Management Program, as well as through field inspections. Staff is requesting authorization for the Public Works Division of Development Services to issue separate purchase orders for paving materials for each of the above three CIP projects identified above to Matich Corporation and/or Vulcan Materials/Cal Mat Division, in the following amounts: 49. 28th Street between Fremontia and Valencia (Ward 7) $4,250.00 Project Account No. 129-367-5504-7299 50. Parkdale between Sepulveda to Waterman (Ward 4,7) $20,000.00 Project Account No. 126-369-5504-7303 55. Virginia between Med. Center to Pennsylvania (Ward 6) $18,250.00 Project Account No. 129-367-5504-7298 TOTAL $42,500.00 Authorization is requested to proceed with this program to further evaluate the effectiveness of this pilot project. At the conclusion of these projects staff will prepare a report which outlines the effectiveness of continuing this program in the future. Financial Impact: Use of CIP funds in the amount of $69,300.00 from Accounts 129-367-5504-7294, 129- 367-5504-7295 and 129-367-5504-7296 resulted in corresponding savings of $69,300 in account 001-402-5111 Street Division, Materials and Supply. Staff is requesting that the Matich Corporation and/or Vulcan Materials/Cal Mat Division purchase orders, be increased from $150,000 to a combined total amount of $219,300.00. Funds in the amount of $42,500 for the three requested purchase orders are included in the FY02-03 budget under accounts 129-367-5504-7299, 129-367-5504-7298 and 126- 369-5504-7303. Recommendation: Adopt resolution. 2 CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION From: Lynn Merrill, Director Subject:. A resolution authorizing 1) an increase to the annual purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply materials for roadway pavement rehabilitation for use by the Public Services Department, and 2) issuance of three separate purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply asphalt materials for roadway pavement rehabilitation of three Capital Improvement Projects. Dept: Public Services Date January 9, 2003 Meeting Date: January 21, 2003 Synopsis of Previous Council Action Reso 2000.37 Adopted February 22,2000 - Increase PO by $10,000 2000.245 August 7, 2000 Annual PO of $40,000 2002.11 January 7,2002 Increase PO by $110,000 Recommended Motion: Adopt resolution. LY~~' SeN"" o;eed" Ray Casey, City Engineer Contact person Lynn Merrill, Director Phone: 5140 Supporting data attached: Ward: 4, 6, 7 FUNDING REQUIREMENTS: Amount: Source: $ 69,300 001-402.5111 Materials and Supplies Amount: Source: $ 42,500 129.367.5504.7299, 7298 126.369.5504.7303 Finance: Council Notes: R'IJ2..L~~ >/';</05/ dill ;}'/3/03 Agenda Item No. /7 CITY OF SAN BERNARDINO - REQUEST FOR COUNCIL ACTION Staff Report Subject: A resolution authorizing 1) an increase to the annual purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply materials for roadway pavement rehabilitation for use by the Public Services Department, and 2) issuance of three separate purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division to supply asphalt materials for roadway pavement rehabilitation of three Capital Improvement Projects. Background: As part of an overall emphasis on street repair and maintenance activities within the current fiscal year, the Public Services Department, Street Division in conjunction with Development Services has implemented the Capital Improvement Program Pilot Project. On major street resurfacing efforts, this pilot project utilizes Public Services Street Division crews to perform the street surface preparation, sweeping, rake and shovel work during pavement application, and rolling machine work. The Development Services Department provided field engineering services, assisted with traffic control, administration of contract inspection, and project related signing and striping. Contractors are used to provide inspection, cold-milling grinding and the high-volume paving machine operations under prevailing wage provisions. Three pilot Capital Improvement Program projects have been completed since July 1, 2002 with the following results: FY02-03 CIP Actual Area Paved If CIP Cost Total Direct Allocated Total Savingsl % Savings CIP Proposed Different than CIP Estimate Project Indirect Project (Cost) to CIP fromCIP Project Street Costs Costs Cost Program Cost Number Segment Estimates 74 34th Street, fr Expanded From $85.800 $30.936 $12.913 $43.849 $41.951 51.1% Stoddard to Stoddard west to E SI. Mountain View 75 36th Street, fr Expanded from $16.000 $14.937 $ 6.246 $21.183 1$5.183) -32.3% Pershing to Pershing to 1 block Mountain East of Mountain View. View 76 30th Street, fr Expanded East from $34.200 $35.035 $15.535 $50.570 ($16.370) -47.9% Country Club Fremontial to Valencia to Fremontia and Expanded West From Country Club to Waterman. TOTAL ALL $136.000 $80.908 $34.694 $115.602 $20.394 15.0% PILOT PROJECTS In each of the above projects, the original surface area paved was expanded while providing an overall 15.0% cost savings over the original CIP estimates for all three projects. These direct projects costs are for actual salaries, materials and outside services. Allocated indirect costs include that portion of the Departments' costs that are related to Administration and operation of the Departments. This program has the potential for providing additional savings to the CIP for pavement rehabilitation projects of a similar nature. The existing purchase orders with Matich and Vulcan were approved by the Mayor and Common Council on January 7, 2002 (Resolution 2002-11) in the amount of $150,000. As a result of the above work, CIP funds in the amount of $69,300 from Accounts 129- 367-5504-7294, 129-367-5504-7295 and 129-367-5504-7296 were used to pay for the asphalt purchased by the Public Services Department under the existing purchase orders. The Public Services Department is hereby requesting an increase of $69,300 from the remaining fund balance within account 001-402-5111 for a total amount not to exceed $219,300 for the combined purchase orders to Matich Corporation and/or Vulcan Materials/Cal Mat Division. The Development Services and Public Services Departments are now requesting authorization to continue this pilot project by accomplishing the following projects identified in the FY02-03 Capital Improvement Plan under Streets and Street Lighting: CIP # Proiect Description 49. 28th Street between Fremontia and Valencia (Ward 7) 50. Parkdale between Sepulveda to Waterman (Ward 4,7) 55. Virginia between Med. Center to Pennsylvania (Ward 6) TOTAL CIP BudQet $20,000.00 $100,000.00 $75,000.00 $195,000.00 Each project consists of cold milling (grinding) 1-1/2 inch of the existing street and replacing it with new asphalt, various street repairs, crack sealing, striping and traffic loop installation as needed. These sections of road were identified for this work through the City's Pavement Management Program, as well as through field inspections. Staff is requesting authorization for the Public Works Division of Development Services to issue separate purchase orders for paving materials for each of the above three CIP projects identified above to Matich Corporation and/or Vulcan Materials/Cal Mat Division, in the following amounts: 49. 28th Street between Fremontia and Valencia (Ward 7) $4,250.00 Project Account No. 129-367-5504-7299 50. Parkdale between Sepulveda to Waterman (Ward 4,7) $20,000.00 Project Account No. 126-369-5504-7303 55. Virginia between Med. Center to Pennsylvania (Ward 6) $18,250.00 Project Account No. 129-367-5504-7298 TOTAL $42,500.00 2 Financial Impact: Use of CIP funds in the amount of $69,300.00 from Accounts 129-367-5504-7294, 129- 367-5504-7295 and 129-367-5504-7296 resulted in corresponding savings of $69,300 in account 001-402-5111 Street Division, Materials and Supply. Staff is requesting that the Matich Corporation and/or Vulcan Materials/Cal Mat Division purchase orders, be increased from $150,000 to a combined total amount of $219,300.00. Funds in the amount of $42,500 for the three requested purchase orders are included in the FY02-03 budget under accounts 129-367-5504-7299, 129-367-5504-7298 and 126- 369-5504-7303. Recommendation: Adopt resolution. , ,) 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 RESOLUTION NO. 1 21 RESOLUTION OF THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AUTHORIZING 1) AN INCREASE TO THE ANNUAL PURCHASE ORDERS TO MATICH CORPORATION AND/OR VULCAN MATERIALS/CAL MAT DIVISION TO SUPPLY MATERIALS FOR ROADWAY PAVEMENT REHABILITATION FOR USE BY THE PUBLIC SERVICES DEPARTMENT, AND 2) ISSUANCE OF THREE SEPARATE PURCHASE ORDERS TO MATICH CORPORATION AND/OR VULCAN MATERIALS/CAL MAT DIVISION TO SUPPLY ASPHALT MATERIALS FOR ROADWAY PAVEMENT REHABILITATION OF THREE CAPITAL IMPROVEMENT PROJECTS. BE IT RESOLVED BY THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AS FOLLOWS: SECTION 1. That Matich Corporation and Vulcan Materials/Cal Mat Division provides materials for City street repairs; pursuant to this determination the Purchasing Manager is hereby authorized to increase the Annual Purchase Orders to Matich Corporation and Vulcan Materials/CalMat Division by $69,300 for a total combined amount not-to-exceed $219,300. SECTION 2. The Purchase Orders shall reference this Resolution No. and shall read, "Matich Corp. and Vulcan Materials/Gal Mat Division, materials for roadway pavement rehabilitation increase P.Os, not-to-exceed $219,300" SECTION 3. The Purchasing Manager is hereby authorized to issue three separate purchase orders to Matich Corporation and Vulcan Materials/Gal Mat Division for a combined total not-to-exceed $42,500. SECTION 4. The Purchase Orders shall reference this Resolution No. and shall read, "Matich Corp. and Vulcan Materials/Gal Mat Division, materials for roadway pavement rehabilitation for a combined total not-to-exceed $42,500". SECTION 5. The authorization to execute the above referenced increase to purchase orders and to issue three separate purchase orders is rescinded if not issued within sixty (60) days of the passage of this resolution. January 7, 2003 1 2 3 4 5 6 7 8 9 10 RESOLUTION OF THE MAYOR AND COMMON COUNCIL OF THE CITY OF SAN BERNARDINO AUTHORIZING 1) AN INCREASE TO THE ANNUAL PURCHASE ORDERS TO MATICH CORPORATION AND/OR VULCAN MATERIALS/CAL MAT DIVISION TO SUPPLY MATERIALS FOR ROADWAY PAVEMENT REHABILITATION FOR USE BY THE PUBLIC SERVICES DEPARTMENT, AND 2) ISSUANCE OF THREE SEPARATE PURCHASE ORDERS TO MATICH CORPORATION AND/OR VULCAN MATERIALS/CAL MAT DIVISION TO SUPPLY ASPHALT MATERIALS FOR ROADWAY PAVEMENT REHABILITATION OF THREE CAPITAL IMPROVEMENT PROJECTS. I HEREBY CERTIFY that the foregoing Resolution was duly adopted by the Mayor and Common Council of the City of San Bernardino at a meeting thereof, held on the day of , 2003, by the following vote, to wit: 11 Council Members: AYES NAYS ABSTAIN ABSENT 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 ESTRADA LONGVILLE MCGINNIS DERRY SUAREZ ANDERSON MCCAMMACK Rachel G. Clark, City Clerk The foregoing resolution IS hereby approved this ,2003. day of Judith Valles, Mayor City of San Bernardino Approved as to Form and legal content: By: I \) I /', ,-..:t~:t., ~f'- ..~- I , " ' \.. _' ~ ~! '> ; January 7, 2003 . ..... ** FOR OFFICE USE ONLY - NOT A PUBLIC DOCUMENT ** RESOLUTION AGENDA ITEM TRACKING FORM Meeting Date (Date Adopted): ? .- 3 0-6 Item # Vote: Ayes i"J-{ (, Nays.0- I Change to motion to amend original documents: -- Zo03 -43 Absent -e I 1\ Resolution # Abstain C) 'I Reso. # On Attachments: -- Contract term: - Note on Resolution of Attachment stored separately: -=-- Direct City Clerk to (circle I): PUBLISH, POST, RECORD W/COUNTY Date Sent to Mayor: '2.. .. 5 - eJ ....-::, Date of Mayor's Signature: ;; - S. u 3' Date of C1erk/CDC Signature: ,? - .,:;. CJ ~S Date lVremGILetter Sent for Signature: -_.~ 60 Day Reminder Letter Sent on 30th day: 90 Day Reminder Letter Sent on 45th day: See Attached: See Attached: ------ See Attached: Request for Council Action & Staff Report Attached: Updated Prior Resolutions (Other Than Below): Updated CITY Personnel Folders (6413, 6429, 6433, 10584, 10585, 12634): Updated CDC Personnel Folders (5557): Updated Traffic Folders (3985, 8234, 655, 92-389): Copies Distributed to: ./ Code Compliance Dev. Services Police Public Services /' Water City Attorney Parks & Rec. Notes: NullNoid After:("CJ D~j I ~/-t....J-O~ I By: Reso. Log Updated: / Seal Impressed: --- Date Returned: Yes-L No By Yes No-L By Yes No-L By Yes No I By No / .. Yes y- EDA Finance ,,/' MIS Others: BEFORE FILING, REVIEW FORM TO ENSURE ANY NOTATIONS MADE HERE ARE TRANSFERRED TO THE YEARLY RESOLUTION CHRONOLOGICAL LOG FOR FUTURE REFERENCE (Contract Term, etc,l Ready to File: .12+1- Date: :J -'{-03 Revised 01/12/01