HomeMy WebLinkAbout2020-13 CC Resolution RESOLUTION NO. 2020-13
A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF TEMECULA AMENDING THE CAPITAL
IMPROVEMENT PROGRAM FISCAL YEARS 2020-24 AND
AMENDING THE CAPITAL IMPROVEMENT BUDGET
FOR FISCAL YEAR 2019-20
THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS
FOLLOWS:
Section 1. Recitals. The City Council hereby finds, determines and declares that:
A. On June 11, 2019, the City Council adopted Resolution No. 19-36 approving
the City of Temecula Capital Improvement Program Fiscal Years 2020-24
(CIP).
B. Amend the Fiscal Years 2020-24 Capital Improvement Program to add the
following new projects:
a. Urban Forest Management Plan project, with an appropriation of$27,300
from the Development Impact Fees (Parks & Recreation) Fund and
$323,930 in funds from the Proposition 68—Cal Fire Urban&Community
Forestry Grant;
b. Community Recreation Center (CRC) Splash Pad and Shade Structures
project, with an appropriation of$1,100,000 in Measure S Funds;
c. City Facility Security project, with an appropriation of $250,000 in
Measure S Funds;
d. Old Town Surveillance and Sound System Upgrade project, with an
appropriation of$750,000 in Measure S Funds.
C. Amend the 2019-20 appropriation for the Library Parking Phase II project, to
allocate an additional $40,000 in 2019-20 from the Measure S Fund.
D. Amend the 2019-20 appropriation for the Fire Station 73 Gym/Garage project,
to allocate an additional S50,000 in 2019-20 from the Measure S Fund.
E. Amend the 2019-20 appropriation for the Community Recreation Center
(CRC) Pool Site Enhancements and Renovations project, to allocate an
additional $82,034 in 2019-20 from the Measure S Fund.
F. On November 20, 2019 and February 19, 2020, the Planning Commission
found the Capital Improvement Program projects are consistent with the
General Plan in accordance with Government Code Section 65401 of State
Planning and Zoning Law.
G. Adoption of these Amendments are categorically exempt from environmental
review under the California Environmental Quality Act (CEQA). Pursuant to
Sections 15262 and 15061 (b) (3) of the State Guidelines for Implementation
of CEQA, a project involving only feasibility or planning studies for possible
future actions because it can be seen with certainty that this prioritizing and
fund allocation program set forth in the Amendment cannot and does not have
the potential to cause a significant effect on the environment. No physical
activity will occur until all required CEQA review is conducted at the time the
physical improvements prioritized in the Amendment are undertaken. The
Council reaffirms and incorporates herein the findings set forth in Section 1 of
Resolution No. 18-40.
H. The budget and appropriation for these projects are set forth in Exhibit A and
are hereby approved.
Section 2. Certification: The City Clerk shall certify the adoption of this resolution.
PASSED, APPROVED, AND ADOPTED by the City Counc. the City of Temecula
this 25th day of February, 2020.
James Stewart, Mayor
ATTES .
Randi Johl, City Clerk
[SEAL]
2
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE ) ss
CITY OF TEMECULA )
I, Randi Johl, City Clerk of the City of Temecula, do hereby certify that the foregoing
Resolution No. 2020-13 was duly and regularly adopted by the City Council of the City of
Temecula at a meeting thereof held on the 25th day of February, 2020, by the following vote:
AYES: 5 COUNCIL MEMBERS: Edwards, Naggar, Rahn, Schwank,
Stewart
NOES: 0 COUNCIL MEMBERS: None
ABSTAIN: 0 COUNCIL MEMBERS: None
ABSENT: 0 COUNCIL MEMBERS: None
Randi Johl, City Clerk
3
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OLD TOWN SURVEILLANCE &SOUND SYSTEM UPGRADE
Infrastructure/Other Project
Project Description: This project provides for the installation of surveillance cameras throughout Old Town as well as the upgrade of
the sound system in Old Town.
Benefit/ Core Value: To protect property and life and enhance the ambiance/expenence of Old Town In addition, this project
satisfies the City's Core Values of a Healthy and Livable City,A Safe and Prepared Community and A Sustainable City
Project Status: This project will commence in Fiscal Year 2020-21
Department: Information Technology-Account No 210 265 XXX Level:
2023-24
Pro ect Cost: Prior Years FYE 2019 Projected
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Year Request Projected Projected Projected Years Cost
Administration S -
Construction S -
Design S 100 000 S 100.000
Fixtures/Furn/Equip S 650 000 S 650.000
Totals $ - S - S 750 000 $ - $ - S - $ - S 750.000
Source of Funds: Prior Years FYE 2019
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Year Request Projected Projected Projected Projected Cost
Measure S S 750 000 S 750 000
Total Funding: $ - S - S 750 000 $ - $ - $ - S S 750 000
Future Operation&
Maintenance Costs: 2019-20 2020-21 2021-22 2022-23 2023-24
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CITY FACILITY SECURITY
Infrastructure/Other Project
Project Description: This project provides for security enhancements to the City's public buildings to ensure the safety of the public
and employee population Additionally,this project will fund the modification of the Community Recreation Center facility to incorporate
a Police Substation
Benefit/Core Value: To protect property and life In addition,this project satisfies the City's Core Values of a Healthy and Livable
City,A Safe and Prepared Community and A Sustainable City
Project Status: This project will commence in Fiscal Year 2019-20
Department: Public Works-Account No 210 265 XXX Level' I
2023-24
Project Cost: Prior Years FYE 2019 Projected
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Year Request Projected Projected Projected Years Cost
Administration S 25 000 $ 25.000
Construction S 230 000 S 200.000
Design S 25 000 S 25.000
Totals $ - ' S - S 250 000 $ - $ - $ - $ - $ 250,000
Source of Funds: Prior Years FYE 2019
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Year Request Projected Projected Projected Projected Cost
Measure S S 250000 S 250 000
Total Funding: $ S - . S 250 000 $ - $ - $ - S S 250 000
Future Operation&
Maintenance Costs: 2019-20 2020-21 2021-22 2022-23 2023-24
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COMMUNITY RECREATION CENTER SPLASH PAD&SHADE STRUCTURES
Parks and Recreation Project
Project Description: This project provides for the conversion of the CRC's kiddie pool into a splash pad, and the addition of
shade structures throughout the pool area
Benefit/Core Value: This project will provide City residents an additional splash pad for enhanced recreational opportunities.
In addition, this project satisfies the City's Core Value of a Healthy and Livable City, A Safe and Prepared Community, and
Accountable and Responsive City Government
Project Status: Project will commence in Fiscal Year 2019-20.
Department: Public Works/Temecula Community Services-Account No 210 290.XXX Level: I
2023-24
Project Cost: Prior Years FYE 2019 Projected
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Year Request Projected Projected Projected Years Cost
Administration S 150,000 S 150,000
Construction S 700,000 S 700,000
Design S 150,000 S 150,000
Fixtures/Furn/Equip S 100,000 S 100,000
Totals $ - S - $ 1,100,000 - S - $ S - $ - S 1.100,000
Source of Funds: Prior Years FYE 2019
Actual Carryover 2019-20 Mid- 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Year Request Projected Projected Projected Projected Cost
Measure S S 1,100,000 S 1,100.000
Total Funding: $ - $ - S 1,100,000 $ - $ $ - S - S 1,100,000
Future Operation&
Maintenance Costs: 2019-20 2020-21 2021-22 2022-23 2023-24
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LIBRARY PARKING -PHASE II
Infrastructure/Other Project
Project Description: This project includes the study, design, and construction of alternatives to provide additional parking for the
Ronald H Roberts Temecula Public Library. Phase II covers the design and construction of an expansion of the current on-site
parking facility. The Furniture, Fixtures and Equipment(FF&E)covers camera system infrastructure,Public Wi-Fi and other identified
Information Technology needs
Benefit/Core Value: This project provides additional parking for Library patrons,meetings,and special programs. In addition,this
project satisfies the City's Core Value of a Healthy and Livable City
Project Status: Phase II Design is complete and construction of the expansion will start in Fiscal Year 2019-20
Department: Public Works/Temecula Community Services-Account No 210 290 153 PW13-09 Level: II
2023-24
Project Cost: Prior Years FYE 2019 2019-20 Projected
Actual Carryover Mid-Year 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Request Projected Projected Projected Years Cost
Administration $ 288,394 $ 145,095 $ 433,489
Construction $ 230,160 $ 1,973,753 S 40,00C $2,243,913
Construction Engineering $ 54,288 S 210,490 $ 264,778
Design/Environmental $ 230,690 S 14,310 $ 245,000
Information Technology $ 10,346 S 49,654 $ 60,000
MSHCP S 89,716 $ 89,716
Totals $ 813,878 - $2,483,018 S 40,000 $ - S - S - S - $3.336.896
Source of Funds: Prior Years FYE 2019 2019-20
Actual Carryover Mid-Year 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Request Projected Projected Projected Projected Cost
General Fund $ 37,628 $ 37,628
DIF(Library Fealties) $ 765,904 $1,496,022 $2.261,926
DIF(Police Facilities) $ 10,346 $ 39,654 $ 50.000
Measure S $ 947,342 S 40,000 $ 987,342
Total Funding: $ 813,878 $2,483,018 S 40.000 $ - S S - S - $3,336.896
Future Operation&Maintenance
Costs: 2019-20 2020-21 2021-22 2022-23 2023-24
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FIRE STATION 73 GYM/GARAGE
Infrastructure/Other Project
Project Description: This project will consist of adding a structure in the rear of the property to park the squad and Urban Search and Rescue(USR)
vehicle,adding a gym to the facility and upgrading the station's generator
Benefit/Core Value: This improvement to the station will allow for the station crew to stay at the facility to workout on a daily basis. The addition of
the garage will offer an outside storage with roof to house the squad USR to reduce the wear and tear on these vehicles This project satisfies the
City's core values of a safe and prepared community,as sustainable City and accountable and responsive city government
Project Status: This project is estimated to be complete in Fiscal Year 2019-20
Department: Fire Services-Account No. 210 265.697 Level: II
2023-24
Project Cost' Prior Years FYE 2019 2019-20 2019-20 Projected
Actual Carryover Adopted Mid-Year 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Appropriation Request Projected Projected Projected Years Cost
Administration S 75 000 S 75.000
Construction S 125 00C $ 50,000 S 175.000
Design/Environmental S 54 000 S 54.000
Totals ' $ - $ - $ 254 000 $ 50.000 $ --S - $ - S $ 304.000
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Source of Funds: Prior Years FYE 2019 2019-20 2019-20
Actual Carryover Adopted Mid-Year 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Appropriation Request Projected Projected Projected Projected Cost
Measure S S 254,000 $ 50,000 S 304.000
Total Funding: $ - $ - S 254.000 $ 50,000 $ - S S - S - $ 304 000
Future Operation&
Maintenance Costs: 2019-20 2019-20 2020-21 2021-22 2022-23 2023-24
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COMMUNITY RECREATION CENTER(CRC) POOL SITE
ENHANCEMENTS AND RENOVATIONS
Parks and Recreation Project
Project Description: This project includes the removal and replacement of pool decking. pool re-plaster, and the installation of an
enhanced lighting system with energy efficient LED fixtures
Benefit/Core Value: This project protects the City's vast investment in parks and facilities This project satisfies the City's Core Value
of a Healthy and Livable City,A Safe and Prepared Community and Accountable and Responsive City Government
Project Status: This project is estimated to be complete by June 2019
Department: Public Works/Temecula Community Services-Account No 210 190 116 Level: I
2023-24
Project Cost: Prior Years FYE 2019 2019-20gall Projected
Actual Carryover Mid-Year 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Request Projected Projected Projected Years Cost
Administration S 210.929 $ (146.948) S 82,034 $ 146,015
Construction $ 1,576,894 $ 102,584 $ 1,679,478
Construction Engineering S 29,537 $ 29.418 $ 58,955
Design/Environmental $ 124.675 $ 7,621 _ $ 132,296
Totals S 1,942,035 $ (7.325)' S 82,034 $ - S - $ - $ - $ 2,016,744
2023-24
Source of Funds: Prior Years FYE 2019 2019.20 Projected
Actual Carryover Mid-Year 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Request Projected Projected Projected Years Cost
Measure S S 1.942.035 $ (7,325) S 82,034 $ 2,016,744
Total Funding: S 1.942 035 $ (7.325) S 82,034 $ - $ - S - S - $ 2,016,744
Future Operation&Maintenance
Costs 2019-20 2020-21 2021-22 2022-23 2023-24
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URBAN FOREST MANAGEMENT PLAN
Infrastructure/Other Project
Project Description: This project includes the development of an Urban Forest Management Plan, conduct a tree inventory and
canopy assessement and the planting of 300 trees This project is in cooperation with Cal Fire Urban&Community Forestry Program,
Proposition 68 Grant Agreement
Benefit I Core Value: The project objectives will produce a baseline management plan for future planning, reduce water
requirements,ensure tree life longevity,enhance urban forest in disadvantaged communities,decrease GHG emissions,engage the
community through public outreach and education, enhance local air quality, increase canopy coverage, reduce storm water runoff
and ulitmately lessen tree loss due to disease and insect infestation This project satisfies the City's Core Value of A Sustainable City,
and a Healthy and Livable City
Project Status: This project is estimated to be complete by March 2022
Department: Public Works-Account No.210 290 XXX Level: II
2023-24
Pro ect Cost: Prior Years FYE 2019 2019-20 Projected
Actual Carryover Mid-Year 2020-21 2021-22 2022-23 and Future Total Project
Expenditures Budget Request Projected Projected Projected Years Cost
Construction $ 27,300 $ 27,300
Design/Environmental $ 323,930 $ 323,930
Totals $ - $ - $ 351,230 $ - S S - S -$ 351,230
Prior Years FYE 2019 2019-20
Source of Funds: Actual Carryover Mid-Year 2020-21 2021-22 2022-23 2023-24 Total Project
Expenditures Budget Request Projected Projected Projected Projected Cost
DIF(Park a Rec) $ 27,300 $ 27,300
Prop 68 Grant Program $ 323,930 $ 323,930
Total Funding: $ S - $ 351,230 $ - S S - S - $ 351,230
Future Operation&Maintenance
Costs: 2019-20 2020-21 2021-22 2022-23 2023-24