HomeMy WebLinkAbout06032020 PC AgendaIn compliance with the Americans with Disabilities Act, if you need special assistance to participate in this meeting,
please contact the office of the City Clerk (951) 694-6444. Notification 48 hours prior to a meeting will enable the City
to make reasonable arrangements to ensure accessibility to that meeting [28 CFR 35 .102.35.104 ADA Title II].
AGENDA
TEMECULA PLANNING COMMISSION
REGULAR MEETING
COUNCIL CHAMBERS
41000 MAIN STREET
TEMECULA, CALIFORNIA
JUNE 3, 2020 - 6:00 PM
IMPORTANT NOTICE REGARDING MEETING
This meeting is being conducted utilizing teleconferencing and electronic means consistent with State of
California Executive Order N-29-20 dated March 17, 2020, regarding the COVID-19 pandemic. In
accordance with this order, the public may view/listen to the meeting online at https://temeculaca.gov/tv
and not in person at City Hall.
Submission of Public Comments: For those wishing to make public comments at this meeting, please
submit your comments by email to the Principal Management Analyst at lynn .lehner@temeculaca.gov.
Email comments on matters not on the agenda must be submitted prior to the Public Comments item
being called. Email comments on an agenda item must be submitted prior to the close of public
comments on that agenda item. All email comments shall be subject to the same rules as would
otherwise govern speaker comments at noticed meetings. Electronic comments may only be submitted
via email and comments via text and social media (Facebook, Twitter, etc.) will not be accepted .
Reading of Public Comments: Email comments will be read into the record, provided that the reading
shall not exceed three (3) minutes, or such other time as the Planning Commission may provide,
consistent with the time limit for speakers at noticed meetings .
CALL TO ORDER: Chairperson Turley-Trejo
FLAG SALUTE: Commissioner Guerriero
ROLL CALL: Guerriero, Telesio, Turley-Trejo, Watts, Youmans
PUBLIC COMMENT
A total of 30 minutes is provided for members of the public to address the Planning Commission on
items that appear on the Consent Calendar or a matter not listed on the agenda. Each speaker is limited
to three minutes. For all Public Hearing or Business items on the agenda, each speaker is limited to five
minutes. For this meeting, public comments may be submitted and read into the record pursuant to the
important notice provided at the top of this agenda.
Page 1
Planning Commission Agenda June 3, 2020
CONSENT CALENDAR
All matters listed under Consent Calendar are considered to be routine and all will be enacted by one
roll call vote. There will be no discussion of these items unless members of the Planning Commission
request specific items be removed from the Consent Calendar for separate action .
1.Minutes
Approve the Action Minutes of May 6, 2020Recommendation:
ITEM 1
Action Minutes
Attachments:
2.General Plan Consistency Review of the Fiscal Year 2021-25 Capital Improvement Program
Adopt a resolution entitled:
PC RESOLUTION NO. 2020
A RESOLUTION OF THE PLANNING COMMISSION OF THE CITY
OF TEMECULA MAKING A FINDING OF CONSISTENCY WITH
THE GENERAL PLAN FOR THE FISCAL YEAR 2021-2025 CAPITAL
IMPROVEMENT PROGRAM ("CIP") AND RECOMMENDING THE
CITY COUNCIL APPROVE THE CIP AND ADOPT A RESOLUTION
ENTITLED "A RESOLUTION OF THE CITY COUNCIL OF THE
CITY OF TEMECULA TO ADOPT THE FISCAL YEAR 2021-2025
CAPITAL IMPROVEMENT PROGRAM (CIP) WHICH IS
CONSISTENT WITH THE CITY'S GENERAL PLAN AND MAKING
A FINDING OF EXEMPTION UNDER SECTIONS 15061(B)(3), 15262,
AND 15378(B)(4) OF THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT ("CEQA") (LONG RANGE PLANNING PROJECT
NO. LR20-0500)"
Recommendation:
ITEM 2
Agenda Report
Draft Fiscal Years 2021-25 Capital Improvement Program
Draft Additional CIP Sheet - Local Roadway Safety Plan
PC Resolution
Draft City Council Resolution
Attachments:
COMMISSIONER REPORTS
COMMISSION SUBCOMMITTEE REPORTS
COMMUNITY DEVELOPMENT DIRECTOR REPORT
PUBLIC WORKS DIRECTOR REPORT
Page 2
Planning Commission Agenda June 3, 2020
ADJOURNMENT
The next regular meeting of the Planning Commission will be held on Wednesday, June 17, 2020, at
6:00 PM, in the Council Chambers located at 41000 Main Street, Temecula, California.
NOTICE TO THE PUBLIC
Due to the closure of City Hall, the library and other city facilities due to the COVID-19 pandemic, the full
agenda packet (Including staff reports and any supplemental material available after the original posting of the
agenda), will only be available for viewing on the City’s website at
https://temeculaca.legistar.com/Calendar.aspx at least 72 hours prior to meeting. If you have questions regarding
an item on the agenda, please contact the Community Development Department at (951) 694-6400.
Page 3
ITEM 1
Page 1
ACTION MINUTES
TEMECULA PLANNING COMMISSION
REGULAR MEETING
COUNCIL CHAMBERS
41000 MAIN STREET
TEMECULA, CALIFORNIA
MAY 20, 2020 - 6:00 PM
IMPORTANT NOTICE REGARDING MEETING
This meeting is being conducted utilizing teleconferencing and electronic means consistent with State
of California Executive Order N-29-20 dated March 17, 2020, regarding the COVID-19 pandemic. In
accordance with this order, the public may view/listen to the meeting online at https://temeculaca.gov/tv
and not in person at City Hall.
Submission of Public Comments: For those wishing to make public comments at this meeting, please
submit your comments by email to the Principal Management Analyst at lynn.lehner@temeculaca.gov.
Email comments on matters not on the agenda must be submitted prior to the Public Comments item
being called. Email comments on an agenda item must be submitted prior to the close of public comments
on that agenda item. All email comments shall be subject to the same rules as would otherwise govern
speaker comments at noticed meetings. Electronic comments may only be submitted via email and
comments via text and social media (Facebook, Twitter, etc.) will not be accepted.
Reading of Public Comments: Email comments will be read into the record, prov ided that the reading
shall not exceed three (3) minutes, or such other time as the Planning Commission may provide,
consistent with the time limit for speakers at noticed meetings.
CALL TO ORDER at 6:00 PM: Chairperson Turley-Trejo
FLAG SALUTE: Commissioner Youmans
ROLL CALL: Guerriero, Telesio, Turley-Trejo, Watts, Youmans
PUBLIC COMMENT - None
CONSENT CALENDAR 1. Minutes
Recommendation: Approve the Action Minutes of May 6, 2020
Approved the Staff Recommendation (5-0): Motion by Youmans, Second by Telesio. The vote
reflected unanimous approval.
Page 2
PUBLIC HEARING
Any person may submit written comments to the Planning Commission before or during a public hearing
in support of or in opposition to the approval of the project(s) in the manner prescribed in the important
notice at the top of the agenda. If you challenge any of the project(s) in court, you may be limited to
raising only those issues you or someone else raised at the public hearing or in written correspondence
delivered to the Commission Secretary at, or prior to, the public hearing. Any person dissatisfied with a
decision of the Planning Commission may file an appeal of the Commission's decision. Said appeal must
be filed within fifteen (15) calendar days after service of written notice of the decision. The appeal must
be filed on the appropriate Community Development Department form and be accompanied by the
appropriate filing fee.
2. Planning Application No. PA20-0192, a Conditional Use Permit to allow for Antica Italia
restaurant to obtain an ABC Type 47 License (On-Sale General - Eating Place) at 28475 Old
Town Front Street, Scott Cooper
Recommendation: Adopt a resolution entitled:
PC RESOLUTION NO. 2020-16
A RESOLUTION OF THE PLANNING COMMISSION OF THE CITY
OF TEMECULA APPROVING PLANNING APPLICATION NO.
PA20-0192, A CONDITIONAL USE PERMIT TO ALLOW FOR
ANTICA ITALIA RESTAURANT TO OBTAIN AN ABC TYPE 47
LICENSE (ON-SALE GENERAL - EATING PLACE) AT 28475 OLD
TOWN FRONT STREET, AND MAKING A FINDING OF
EXEMPTION UNDER THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT (CEQA)
Approved the Staff Recommendation (5-0): Motion by Youmans, Second by Guerriero. The
vote reflected unanimous approval.
COMMISSIONER REPORTS
COMMISSION SUBCOMMITTEE REPORTS
COMMUNITY DEVELOPMENT DIRECTOR REPORT
PUBLIC WORKS DIRECTOR REPORT
ADJOURNMENT
At 6:26 PM, the Planning Commission meeting was formally adjourned to Wednesday, June 3, 2020, at
6:00 PM, in the Council Chambers located at 41000 Main Street, Temecula, California.
Lane Turley-Trejo, Chairperson
Luke Watson, Director of Community Development
ITEM 2
1
STAFF REPORT – PLANNING
CITY OF TEMECULA
PLANNING COMMISSION
DATE OF MEETING: June 3, 2020
TO: Planning Commission Chairperson and members of the Planning
Commission
FROM: Luke Watson, Director of Community Development
PREPARED BY: Sara Toma, Assistant Planner
PROJECT
SUMMARY:
General Plan Consistency Review of the Fiscal Year 2021-25 Capital
Improvement Program (LR20-0500)
CEQA: Exempt: Not a Project as defined by CEQA Guidelines
Section 15378(b)(4) and exempt under CEQA Guidelines Sections
15061(b)(3) and 15262
RECOMMENDATION: Staff recommends the Planning Commission adopt a Resolution,
finding the Fiscal Year 2021-2025 Capital Improvement Program
(“CIP”) to be consistent with the General Plan and recommending the
City Council approve the CIP and adopt a resolution entitled, “A
resolution of the City Council of the City of Temecula to adopt the
Fiscal Years 2021-2025 Capital Improvement Program (CIP) which
is consistent with the City’s General Plan and making a finding of
exemption under Sections 15061(b)(3), 15262, and 15378(b)(4) of the
California Environmental Quality Act (“CEQA”) (Long Range
Planning Project No. LR20-0500).”
BACKGROUND SUMMARY
Sections 65402 and 65403 of State Planning and Zoning Law require that the Planning Commission
review and provide comments to the City Council regarding the conformity of the proposed Capital
Improvement Program (CIP) with the adopted General Plan.
The draft CIP was developed based on the previous CIP project list and current community needs.
The public had an opportunity to provide input to the draft CIP during a workshop with the City
Council and City staff on May 21, 2020. The primary focus of this workshop was to ensure that
City Council’s vision is in line with community needs in the areas of roads, bridges, public buildings,
parks and recreation facilities, and housing projects. All projects are reviewed to ensure consistency
with the provision of the City’s General Plan, as well as the long-term vision of the City as defined
by the Quality of Life Master Plan.
The projects within the Capital Improvement Program are divided into four general categories
including Circulation, Infrastructure/Other, Parks/Recreation, and Successor Agency to the
2
Temecula Redevelopment Agency (SARDA) / Housing. Staff has reviewed the Capital
Improvement Program for consistency with the goals and policies of the City’s General Plan. The
Capital Improvement Program is scheduled to be reviewed by the City Council on June 9, 2020.
The attached draft Fiscal Year 2021-25 Capital Improvement Program is subject to change, pending
City Council approval.
ANALYSIS
Circulation Projects
The Fiscal Year 2021-25 Capital Improvement Program contains twenty-five Circulation Projects.
The Circulation Projects consist of new circulation infrastructure and traffic safety improvements.
The Circulation Projects are as follows:
Butterfield Stage Road Extension
Cherry Street Extension and Murrieta Creek Low-flow Crossing
Citywide Buffered Bike Lane Striping
Diaz Road Expansion
Emergency Vehicle Pre-Emption Upgrade Program - Citywide
Flashing Beacons and Speed Advisory Signs
French Valley Parkway/Interstate 15 Improvements - Phase II
French Valley Parkway/Interstate 15 Improvements - Phase III
Interstate 15 Congestion Relief
Interstate 15/State Route 79 South Ultimate Interchange
Medians and Parkways – Citywide
Motor Car Parkway Improvements
Murrieta Creek Bridge at Overland
Nicolas Road Extension and Improvements
Overhead Street Name Sign Replacement Program – Citywide
Overhead Drive Extension Commerce Center
Overland Drive Widening
Pavement Rehabilitation Program - Citywide
Pechanga Parkway Widening
Roundabout Improvements on Ynez Road
Traffic Signal Equipment Enhancement Program - Citywide
Traffic Signal Installation - Citywide
Traffic Signal - Park and Ride Access Improvements
Traffic Signal System Upgrade
Ynez Road Improvements
Staff has reviewed the General Plan and has determined that these projects are consistent with the
provisions of the Circulation, Growth Management/Public Facilities, Air Quality, and Community
Design Elements of the adopted General Plan. A review of the General Plan did not id entify any
goals or policies that provided contrary policy direction, or that indicated an inconsistency between
the Circulation Projects and the adopted General Plan. The specific examples demonstrating
consistency are listed below.
3
Circulation Element
Policy 1.1 Use the Circulation Element Roadway Plan to guide detailed planning and
implementation of the City’s roadway system, including appropriate road width and
median transitions when a roadway classification changes.
Policy 1.2 Pursue trip reduction and transportation systems management measures to reduce and
limit congestion at intersections and along streets within the City.
Policy 2.1 Actively pursue the construction of system improvements outside the City’s
jurisdiction in cooperation with Caltrans, the City of Murrieta, Riverside County, the
Pechanga Band, and local developers. Measures should be taken to preserve
anticipated right-of-way needs and to identify funding mechanisms for needed
interchange and regional arterial improvements.
Policy 2.2 Develop a bypass system of roadways on the east, west and south sides of the City to
accommodate traffic flow from development outside the City and improve center-of-
town traffic conditions.
Policy 2.3 Actively pursue improvements to current freeway interchanges within the City and
construction of new overpasses as required to achieve performance standards.
Policy 3.1 Require proper spacing and interconnect traffic signals where feasible to maximize
the smooth progression of traffic flows and to minimize delay and stop-and-go
conditions.
Growth Management/Public Facilities Element
Policy 2.2 Ensure that phasing of public facilities and services occurs in such a way that new
development is adequately supported as it develops.
Air Quality Element
Policy 3.2 Use transportation systems management techniques to maintain an orderly flow of
traffic and improve mobility.
Policy 4.1 Encourage community-wide reductions in energy consumption through conservation.
Community Design Element
Policy 4.8 Work with Caltrans to implement a freeway and interchange landscaping and
planting program to improve the appearance of the community. This program should
incorporate appropriate native and drought tolerant species.
Infrastructure/Other Projects
4
The Fiscal Year 2021-25 CIP contains forty one Infrastructure/Other Projects. The
Infrastructure/Other Projects consist of minor enhancements or repairs to existing infrastructure and
new community infrastructure. The projects are as follows:
ADA compliance for Pavement Rehab Program – West Side Business Park Area
Americans with Disabilities Act (ADA) Transition Plan Implementation
Bike Lane and Trail Program - Citywide
Bike Lane and Trail Program – Mini Pump Track
Bike Lane and Trails Program – Temecula Creek South Side Trail
Bike Lane Trail Program – Pump Track
City Facilities Rehabilitation
City Facility Security
Citywide Drainage Master Plan
Citywide Financial System Upgrade
Citywide Streetlight Acquisition and Light Emitting Diode (LED) Retrofit
Citywide Surveillance Cameras
Community Recreation Center (CRC) Renovations
Comprehensive General Plan Update
Electric Vehicle Charging Station
Expanded Recycled Water and Conversion Project
Fiber Optic Communication System Upgrade
Fire Station 73 Gym/Garage
Fire Station 84 Training Room Renovation
History Museum
Interstate 15 SR 79 South Interchange Enhanced Landscaping
Local Roadway Safety Plan
Margarita Recreation Center
Mary Phillips Senior Center Enhancement and Renovation
Medians and Traffic Calming Improvements – Citywide
Murrieta Creek Improvements
Old Town Parking Structure
Old Town Surveillance & Sound System
Pechanga Parkway Environmental Mitigation
Pedestrian Signal Equipment Upgrade – Citywide
Public Safety Monument
Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension
Santa Gertrudis Creek Phase II – Margarita Under-Crossing
Sidewalks – Citywide
5
Sidewalks – DLR Drive
Sidewalks – Old Town Boardwalk Enhancement
Sidewalks – Old Town Improvements
Temecula Elementary School (TES) Pool Renovation
Temecula Park & Ride
Urban Forest Management Plan
Utility Undergrounding - Citywide
Staff has reviewed the General Plan and has determined that these projects are consistent with
provisions of the Land Use, Circulation, Open Space/Conservation, and Growth Management/Public
Facilities, Public Safety, Community Design, Air Quality, and Economic Development Elements of
the adopted General Plan. A review of the General Plan did not identify any goals or policies that
provided contrary policy direction or that indicated an inconsistency between the Infrastructure
Projects and the adopted General Plan. The specific examples demonstrating consistency are listed
below.
Land Use Element
Policy 4.4 Create distinctive open space and other areas around the City to prevent urban sprawl.
Policy 6.1 Preserve the natural aesthetic quality of hillsides and reduce hazards associated with
hillside development within the Planning Area.
Policy 6.5 Create distinctive features at entry points to the City that emphasize Temecula’s
aesthetic and environmental setting.
Circulation Element
Policy 3.3 Provide a comprehensive system of Class I and/or Class II bicycle lanes to meet the
needs of cyclists traveling to and from work and other destinations within the City.
Policy 3.5 Encourage the provision of additional regional public transportation services and
support facilities, including park-and-ride lots near the I-15 freeway and within mixed
use overlay areas and village centers.
Policy 5.2 Minimize potential conflicts between off-street bicycle and equestrian trails and
automobile cross traffic.
Policy 5.3 Ensure the accessibility of pedestrian facilities to the elderly and disabled.
Policy 5.4 Provide a comprehensive network of multi-use trails and bikeways between
residential areas and commercial/employment activity centers, public institutions,
and recreation areas.
6
Policy 5.6 Encourage the provision of facilities that support carpooling and public transportation
within the City.
Open Space/Conservation Element
Policy 2.1 Coordinate with the Riverside County Flood Control District to design flood control
improvements that preserve, to the maximum extent feasible, important natural
features and resources of the local creeks and riparian forest of the Santa Margarita
River.
Policy 5.1 Conserve the western escarpment and southern ridgelines, the Santa Margarita River,
slopes in the Sphere of Influence, and other important landforms and historic
landscape features through the development review process.
Policy 8.1 Provide a Citywide recreation system that connects to the County’s regional trail
system which provides for bicycling, equestrian, hiking, and jogging trails with
appropriate support facilities.
Policy 8.5 Develop trails and sidewalks suitable for multiple users, including for the physically
disabled and for personal transportation alternatives.
Growth Management/Public Facilities Element
Policy 1.7 Guide the timing and provision of facilities and services to support development and
protect and enhance quality of life.
Policy 2.2 Ensure that phasing of public facilities and services occurs in such a way that new
development is adequately supported as it develops.
Policy 5.4 Explore opportunities to expand and provide additional community meeting space.
Policy 5.5 Encourage provision of cultural facilities within the community, including museums,
theaters, arts center, a performing arts center, special exhibitions, an outdoor
amphitheater, and public art.
Policy 5.7 Provide library facilities and services for educational, cultural, and recreational
purposes.
Policy 7.1 Work with the Riverside County Flood Control District and other agencies involved
with Murrieta Creek flood control improvements to implement a solution that
maximizes retention of natural resources and provision of recreation opportunities
along the Creek.
Public Safety Element
Policy 3.1 Ensure adequate facilities and police and fire service personnel are provided in the
City.
7
Community Design Element
Policy 1.1 Develop a comprehensive system of trails and open space areas connecting schools,
public recreation areas, residential areas, and commercial centers.
Policy 1.4 Promote community identity by providing specially designed gateway signs and
landscape enhancements at the primary entrances to the City.
Policy 4.1 Promote the development of a continuous sidewalk and trail system throughout the
City.
Policy 5.6 Promote and implement underground utilities (cable, power, etc.) where feasible.
Policy 6.4 Promote use of public art in public spaces, specifically open space areas and entry
points throughout the City.
Policy 7.6 Promote the provision of cultural facilities within the community including: art
museums, theaters, performing art centers, outdoor amphitheaters, special cultural
exhibitions, and public art.
Air Quality Element
Policy 3.4 Establish a convenient and efficient system of bicycle routes and pedestrian
walkways.
Policy 3.5 Promote the use of alternative clean-fueled vehicles, new transportation technologies,
and combustion engine alternatives for person and business use.
Policy 4.1 Encourage community-wide reduction in energy consumption through conservation.
Economic Development
Policy 2.5 Promote retail and other support activities that provide a broader selection of high
quality goods and services for resident, workers and tourists, including apparel
general merchandise, home furnishings and appliances.
Policy 3.4 Take advantage of Temecula’s regional capture of taxable sales and continue to
establish Temecula as a retail center.
Parks and Recreation Projects
The Fiscal Year 2021-25 CIP contains sixteen Parks and Recreation Projects. The Parks and
Recreation Projects consist of maintenance or enhancements to existing parks and recreation
facilities. The Parks and Recreation Projects are as follows:
Children’s Museum Enhancement Project
8
Community Recreation Center (CRC) Pool Site Enhancement
Community Recreation Center Splash Pad & Shade Structures
Community Services Master Plan
Eagle Soar Splash Pad Control System Renovation
Flood Control Channel Reconstruction and Repair
Library Parking – Phase II
Park Restrooms Renovations, Expansion and Americans With Disability Act (ADA)
Improvements
Parks Improvements Program
Playground Equipment Enhancement and Safety Surfacing
Ronald H. Roberts Temecula Public Library Enhancement and Renovation
Ronald Reagan Sports Park Channel Silt Removal
Ronald Regan Sports Park Restroom Expansion and Renovation
Sam Hicks Monument Park Perimeter Fencing
Sports Court Resurfacing
Sports Field Lighting – Light Emitting Diode (LED) Conversion
Staff has reviewed the General Plan and has determined that these projects are consistent with
provisions of the Open Space/Conservation, Community Design, Growth Management/Public
Facilities, and Air Quality Elements of the adopted General Plan. A review of the General Plan did
not identify any goals or policies that provided contrary policy direction or that indicated an
inconsistency between the Parks and Recreation Projects and the adopted General Plan. The specific
examples demonstrating consistency are listed below.
Open Space/Conservation Element
Policy 1.7 Consider the establishment of special use parks for seniors, pets, etc.
Community Design Element
Policy 3.1 Improve the appearance of neighborhood areas and neighborhood edges through
landscaping, location of open space buffers, and special landscape features.
Policy 7.6 Promote provision of cultural facilities within the community including: art
museums, theaters, performing art centers, outdoor amphitheaters, special cultural
exhibitions, and public art.
Growth Management/Public Facilities Element
Policy 1.7 Guide the timing and provision of facilities and services to support development, and
protect and enhance quality of life.
9
Policy 4.6 Plan for the joint use of school/municipal facilities wherever feasible and desirable,
including: school grounds, buildings, City parks, multi-purpose buildings, and
recreation facilities.
Policy 6.4 Coordinate with the wastewater district to make reclaimed water available for
irrigation purposes in the City.
Air Quality Element
Policy 4.1 Encourage community-wide reduction in energy consumption through conservation.
Successor Agency to the Temecula Redevelopment Agency Projects/Housing
The Fiscal Year 2021-25 CIP contains two Successor Agency to the Temecula Redevelopment
Agency (SARDA) Project. The SARDA Project focuses on improving affordable housing
opportunities within the City. The SARDA Project is:
Affordable Housing
Vine Creek Affordable Housing Project
Staff has reviewed the General Plan and has determined that this project is consistent with the
provisions of the Land Use and Housing Elements of the adopted General Plan. A review of the
General Plan did not identify any goals or policies that provided contrary policy dire ction or that
indicated an inconsistency between the SARDA Project and the adopted General Plan. The specific
examples demonstrating consistency are listed below.
Land Use Element
Policy 1.7 Pursue opportunities to locate higher density housing with supporting commercial
and public uses west of I-15.
Policy 7.1 Encourage revitalization of Old Town through implementation of the Old Town
Specific Plan.
Housing Element
Policy 1.2 Encourage residential development that provides a range of housing types in terms
of cost, density and type, and provides the opportunity for local residents to live and
work in the same community by balancing jobs and housing types.
Policy 1.6 Encourage the development of compatible mixed-use projects that promote and
enhance the village concept, facilitate the efficient use of public facilities, and support
alternative transit options.
Policy 2.1 Promote a variety of housing opportunities that accommodate the needs of all income
levels of the population, and provide opportunities to meet the City's fair share of
Low and Moderate Income housing.
10
Policy 2.2 Support innovative public, private and nonprofit efforts in the development of
affordable housing, particularly for special needs groups.
ENVIRONMENTAL DETERMINATION
The Fiscal Year 2021-25 Capital Improvement Program is not a “project” within the meaning of
Section 15378(b)(4) of the CEQA Guidelines, and is therefore exempt from the requirements of
CEQA. Section 15738(b)(4) of the CEQA Guidelines states that a project does not include the
creation of government funding mechanisms or other government fiscal activities which do not
involve any commitment to any specific project which may result in a potentially significant physical
impact on the environment. The Planning Commission’s review and determination that the Fiscal
Year 2021-25 Capital Improvement Program is consistent with the City of Temecula General Plan,
does not result in the construction nor cause the construction of any specific CIP project, and will
have no effect on the environment, and therefore, no environmental impact assessment is necessary.
Moreover, if the finding of consistency between the CIP and the General Plan is determined to be a
project under CEQA, then it is categorically exempt from environmental review pursuant to Section
15262 of the State CEQA Guidelines which provides that a project involving only feasibility or
planning studies for possible future actions, which actions the City has not approved, adopted, or
funded, does not require preparation of an EIR or Negative Declaration, but does require
consideration of environmental factors. In reviewing this CIP and conducting public hearings on it,
the Planning Commission has considered relevant environmental factors. Staff has reviewed the
scope and nature of this CIP and has concluded that the planning and prioritization process
comprising this activity is not a project pursuant to CEQA because it does not order or authorize the
commencement of any physical or other activity that would directly or indirectly have a significant
effect upon the environment. The CIP merely establishes a listing of priority and allocates funds for
the City to commence the necessary planning studies, including review pursuant to CEQA, at a
future unspecified date. The future planning studies will be conducted at the earliest possible time
so as to ensure thorough review pursuant to CEQA. Recognizing that the protection of the
environment is a key factor in the quality of life within the City and to further the City’s strict
adherence to both the spirit and letter of the law as regards to CEQA, the City has also considered
this CIP as if it were a Project pursuant to CEQA. The Project is therefore exempt from review
under CEQA Guidelines Section 15061(b)(3) because it can be seen with certainty that this
prioritizing and fund allocation program 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 CIP are undertaken.
ATTACHMENT 1. Draft Fiscal Year 2021-25 Capital Improvement Program
2. Draft Additional CIP Sheet – Local Roadway Safety Plan
3. PC Resolution
4. Draft City Council Resolution
City of Temecula
Fiscal Years
2021-2025
Capital
Improvement
Program
Capital Improvement Program
Fiscal Years 2021-2025 City of Temecula, CA
City Council City Management
James Stewart, Mayor Aaron Adams, City Manager
Maryann Edwards, Mayor Pro Tem Greg Butler, Assistant City Manager
Mike Naggar, Council Member Peter Thorson, City Attorney
Matt Rahn, Council Member Patrick Thomas, Public Works Director
Zak Schwank, Council Member Jennifer Hennessy, Finance Director
City of Temecula
41000 Main Street
Temecula, California 92590
(951) 694-6430
TemeculaCA.gov
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TABLE OF CONTENTS
INTRODUCTION
Transmittal Message ............................................................................................................................... 9
Resolution of the City Council ............................................................................................................... 15
California Society of Municipal Finance Officers (CSMFO) Certificate of Award .................................. 16
City Organizational Chart ...................................................................................................................... 17
Description of Levels ............................................................................................................................. 18
Parameters for CIP Budget Cost Estimates ........................................................................................... 19
Description of Revenue Sources ........................................................................................................... 20
Capital Improvement Project List…………………………………………………………………………………………………….24
SUMMARIES
Projected Revenue Summary ................................................................................................................ 27
CIP Major Revenue Sources Graph ....................................................................................................... 30
CIP Expenditure Summary………………………………………………………………………………………………………………..31
Expenditure Summary by Project Type Graph ...................................................................................... 34
Capital Projects Summary – by Funding Source ................................................................................... 35
Capital Projects Summary – By Project…………………………………………………………………………………………….51
Summary of Operating & Maintenance Impacts .................................................................................. 62
CIRCULATION PROJECTS
Circulation Projects Location Map ........................................................................................................ 64
Butterfield Stage Road Extension ......................................................................................................... 65
Cherry Street Extension & Murrieta Creek Low-Flow Crossing ............................................................ 66
Citywide Buffered Bike Lane Striping ………………………………………………………………..…………………………….67
Diaz Road Expansion ............................................................................................................................. 68
Emergency Vehicle Pre-Emption Upgrade Program – Citywide ........................................................... 69
Flashing Beacons and Speed Advisory Signs ......................................................................................... 70
French Valley Parkway / Interstate 15 Improvements – Phase II ......................................................... 71
French Valley Parkway / Interstate 15 Improvements – Phase III ........................................................ 73
Interstate 15 Congestion Relief ............................................................................................................ 74
Interstate 15 / State Route 79 South Ultimate Interchange ................................................................. 75
Medians and Parkways – Citywide ....................................................................................................... 77
5
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TABLE OF CONTENTS (continued)
CIRCULATION PROJECTS (continued)
Motor Car Parkway Improvements………………………………………………………………………………………………….78
Murrieta Creek Bridge at Overland Drive ............................................................................................. 79
Nicolas Road Extension & Improvements ............................................................................................. 80
Overhead Street Name Sign Replacement Program - Citywide ........................................................... 81
Overland Drive Extension Commerce Center…………………………………………………………………………………..82
Overland Drive Widening………………………………………………………………………………………………………………..83
Pavement Rehabilitation Program - Citywide ....................................................................................... 84
Pechanga Parkway Widening ................................................................................................................ 86
Roundabout Improvements on Ynez Road……………………………………………………………………………………….87
Traffic Signal Equipment Enhancement Program – Citywide ............................................................... 88
Traffic Signal Installation – Citywide ..................................................................................................... 89
Traffic Signal – Park & Ride Access Improvements ............................................................................... 91
Traffic Signal System Upgrade .............................................................................................................. 92
Ynez Road Improvements ..................................................................................................................... 93
INFRASTRUCTURE / OTHER PROJECTS
Infrastructure Projects Location Map………………………………………………………………..……………………………..97
ADA Compliance for Pavement Rehab Program – West Side Business Park Area……………………………..98
Americans with Disabilities Act (ADA) Transition Plan Implementation .............................................. 99
Bike Lane and Trail Program – Citywide ............................................................................................. 100
Bike Lane and Trail Program – Mini Pump Track ................................................................................ 102
Bike Lane and Trail Program – Temecula Creek South Side Trail ....................................................... 103
Bike Lane Trail Program – Pump Track…………………………………………………………………………………………..104
City Facilities Rehabilitation ................................................................................................................ 105
City Facility Security………………………………………………………………………………………………………………………106
Citywide Drainage Master Plan ........................................................................................................... 107
Citywide Financial System Upgrade .................................................................................................... 108
6
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TABLE OF CONTENTS (continued)
INFRASTRUCTURE PROJECTS (continued)
Citywide Streetlight Acquisition & Light Emitting Diode (LED) Retrofit ............................................. 109
Citywide Surveillance Cameras ........................................................................................................... 110
Community Recreation Center (CRC) Renovations ............................................................................. 111
Comprehensive General Plan Update ................................................................................................. 112
Electric Vehicles Charging Station ....................................................................................................... 113
Expanded Recycled Water Plant Conversion Project.......................................................................... 114
Fiber Optic Communication System Upgrade ..................................................................................... 115
Fire Station 73 Gym/Garage ............................................................................................................... 116
Fire Station 84 Renovation .................................................................................................................. 117
History Museum Renovation .............................................................................................................. 118
Interstate 15 / State Route 79 South Interchange Enhanced Landscaping ........................................ 119
Margarita Recreation Center .............................................................................................................. 120
Mary Phillips Senior Center Enhancement and Renovation…………………………………………………………….121
Medians & Traffic Calming Improvements – Citywide ....................................................................... 122
Murrieta Creek Improvements ........................................................................................................... 123
Old Town Parking Structure ................................................................................................................ 124
Old Town Surveillance & Sound System…………………………………………………………………………………………125
Pechanga Parkway Environmental Mitigation .................................................................................... 126
Pedestrian Signal Equipment Upgrade – Citywide ............................................................................. 127
Public Safety Monument .................................................................................................................... 128
Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension ................................................................. 129
Santa Gertrudis Creek Phase II – Margarita Under-Crossing .............................................................. 130
Sidewalks – Citywide ........................................................................................................................... 131
Sidewalks – DLR Drive ......................................................................................................................... 132
Sidewalks – Old Town Boardwalk Enhancement ................................................................................ 133
Sidewalks – Old Town Improvements…………………………………………………………………………………………….134
Temecula Elementary School (TES) Pool Renovation ......................................................................... 135
Temecula Park & Ride…………………………………………………………………………………………………………………….136
Urban Forest Management Plan…………………………………………………………………………………………………….137
Utility Undergrounding – Citywide…………………………………………………………………………………………………138
7
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TABLE OF CONTENTS (continued)
PARKS and RECREATION PROJECTS
Parks and Recreation Projects Location Map ..................................................................................... 140
Children’s Museum Enhancement Project ......................................................................................... 141
Community Recreation Center (CRC) Pool Site Enhancement………………………………………………………..143
Community Recreation Center Splash Pad & Shade Structures……………………………………………………..144
Community Services Master Plan ....................................................................................................... 145
Eagle Soar Splash Pad Control System Renovation ............................................................................ 146
Flood Control Channel Reconstruction & Repair ................................................................................ 147
Library Parking – Phase II……………………………………………………………………………………………………………….148
Park Restrooms Renovations, Expansion, and Americans with Disabilities Act Improvements ........ 149
Parks Improvement Program .............................................................................................................. 151
Playground Equipment Enhancement & Safety Surfacing .................................................................. 152
Ronald H. Roberts Temecula Public Library Enhancement and Renovation ...................................... 154
Ronald Reagan Sports Park Channel Silt Removal…………………………………………………………………………..155
Ronald Reagan Sports Park Restroom Expansion & Renovation ........................................................ 156
Sam Hicks Monument Park Perimeter Fencing………………………………………………………………………………157
Sports Court Resurfacing .................................................................................................................... 158
Sports Field Lighting Light Emitting Diode (LED) Conversion .............................................................. 159
SARDA / HOUSING PROJECTS
SARDA/Housing Projects Location Map .............................................................................................. 162
Affordable Housing ............................................................................................................................. 163
Vine Creek Affordable Housing Project………………………………………………………………………………………….164
FUTURE YEARS PROJECTS ………………………………………………………………………………………….165
APPENDIX
Glossary of Terms................................................................................................................................ 167
8
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TRANSMITTAL MESSAGE
Honorable Mayor and Members of the City Council:
It is with great pleasure that I submit the City of Temecula’s Capital Improvement Program (CIP)
Budget for Fiscal Years 2020-21 through 2024-25. This document is the result of several
internal CIP review meetings, which incorporates previous City Council direction, and analyzes
each project for feasibility, necessity, funding sources, and timing. All departments were
involved in the process and contributed significantly to the discussions, resulting in a
comprehensive proposed Five-Year Capital Improvement Program. All projects presented in
this five-year budget have been carefully programmed to ensure the community’s capital
improvement needs are met both now and in the future.
CITY OF TEMECULA PROFILE AND DEMOGRAPHICS
The City of Temecula is a dynamic, fast growing community, which extends across 30 square
miles of gently rolling hills and comprises approximately 111,970 residents of various cultural
backgrounds. The City maintains approximately 90% of the 345 total miles of streets within its
boundaries. Additionally, the City has 41 parks on 330 developed acres, providing extensive
recreational opportunities for both Temecula citizens and surrounding communities. The
Temecula Valley Unified School District provides 32 schools for 27,979 students in Kindergarten
through 12th grade.
The City of Temecula focuses on community needs and quality of life through its day-to-day
operations and by meeting the City’s capital improvement needs. Temecula’s residents enjoy
one of the finest lifestyles Southern California has to offer. Environmental and residential
factors produce a beautiful setting that attracts young, well-educated families to fashionable
homes that are inexpensive by Southern California standards. Geography contributes to the
City’s population and retail growth from
San Diego and Orange Counties.
Temecula’s leadership has approached
economic growth from qualitative
standpoint, providing Temecula with a
favorable share of the region’s higher
paying and high technology career
opportunities. The City’s average
income levels are higher than the
surrounding region, the educational
performance of its young people is
above the State average, and Temecula
has been recognized as one of Nation’s
safest cities.
9
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
LOCAL ECONOMY AND LEGISLATIVE IMPACTS
On March 19, 2020, the California State Governor issued Executive Order N-33-20, requiring a
statewide Shelter-In-Place order as a result of the rapidly spreading COVID-19 coronavirus.
Subsequent to this order, the Governor authorized small business taxpayers to take advantage
of a payment plan for sales tax payments, up to $50,000, applicable to sales and use tax
liabilities.
The combination of these two orders has significantly impacted several City revenue sources, as
businesses have shut down, hotels have closed and tax-payers are required to stay at home.
The impacts of this global pandemic are still in the early stages, and will have far-reaching
economic impacts as time goes on. Finance Office has consolidated information received from
local business partners, consultants, State and Federal agencies and estimated the impact to
our local revenues. The estimated impact to City revenues are as follows:
While not all of these sources fund Capital
Projects, Measure S is utilized to fund Public
Safety and the Temecula Community
Services District (TCSD), leaving less available
funding for Capital Projects.
Many CIP projects are either being deferred
or reduced to fit within the available funding
levels. Staff will continuously monitor
revenue sources throughout the year and
will revisit the availability of funding for CIP
projects with Council in the October timeframe.
FISCAL YEARS 2021-25 CIP HIGHLIGHTS
The CIP includes a total of $623,476,187 in identified Capital Projects, with available funding
totaling $514,075,560. There is $109,400,627 in “Unspecified” project funding, indicating that a
revenue source has not yet been secured for these projects, which have been identified as
necessary infrastructure for the City, and will require that funding sources be identified before
the project construction can commence.
Number of
Projects
Type of
Project
Total Cost to
Complete
25 Circulation $506,852,861
40 Infrastructure/Other 74,490,211
16 Parks and Recreation 25,951,175
2 SARDA/Housing 16,181,940
83 $623,476,187
FY19-20 FY20-21
Sales Tax (6,612,629) (5,686,237)
Measure S Tax (5,279,316) (346,571)
Transient Occupancy Tax (816,822) (570,441)
Gas Tax (343,516) (521,795)
RMRA Revenue (137,869) (322,472)
Property Tax (278,528) (656,098)
TCSD Program Revenue (824,330) -
Other General Fund Revenue (108,625) (248,256)
Total Revenue Impact (14,401,635) (8,351,870)
COVID-19 Impact to City Revenue Sources
10
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
A total of 6 new projects have been added to the CIP including the following:
• Overland Drive Widening (Circulation) $2,509,400
• ADA Compliance for Pavement Rehab Program (Infrastructure) $456,000
• Bike Lane & Trail Program – Mini Pump Track (Infrastructure) $95,000
• Mary Phillips Senior Center Renovation (Infrastructure) $430,000
• Sam Hicks Monument Park Perimeter Fencing (Parks/Rec) $201,000
• Vine Creek Affordable Housing Project (SARDA) $2,710,000
Of particular note, the $137.4 million French Valley Parkway/I-15 Improvements-Phase II
project is now fully funded, with the receipt of the $50 million Federal INFRA grant in 2019.
This project includes the design and construction of the two lane northbound road system to
alleviate the traffic on northbound Interstate 15 at the Interstate 215 junction.
CIP BUDGET INFORMATION PROVIDED
Information included in this document is as follows:
• Description of Levels provides the guidelines used in prioritizing projects.
• Parameter for CIP Budget Cost Estimates provides standard estimating criteria for
project costs.
• Description of Revenue Sources provides a general description of sources of revenue for
the CIP.
• Projected Revenue Summary provides five-year projections for each of the major
sources of funds to be utilized for capital improvements.
• CIP Summary by Project provides summary information of the Capital Improvement
projects by the type of project.
• CIP Summary by Funding Source provides summary information on the utilization and
availability of each category of revenue source.
• CIP Expenditure Summary provides the total project cost for each fiscal year.
• Summary of Operating Impacts provides the incremental operating and maintenance
costs generated upon the completion of certain capital projects. These costs are
aggregated into the General Fund Five-Year Financial Forecast in the Annual Operating
Budget.
• Project Budget Sheets provides the Project Description, Benefit, Core Value, Project
Status, Department, Level, Project Cost by activity type, Source of Funds, and Future
Operation & Maintenance Costs. Project Budget Sheets are categorized by Type of
Project, then alphabetically by Project title.
11
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
• Project Location Maps are provided in the beginning of each Project Type section,
indicating the location of each major capital improvement project.
• Future Years Projects includes Capital Project needs that exceed the five-year period in
each of the major groupings (Circulation, Infrastructure, Parks and Recreation,
SARDA/Affordable Housing).
ECONOMIC DEVELOPMENT
Temecula has experienced solid economic growth over the past year with steady expansion of
several major circulation, infrastructure, and parks and recreation projects. The City continues
its efforts to grow and sustain the economy of Temecula through business attraction, retention,
workforce development, higher education, and tourism. The City partners with the Temecula
Valley Chamber of Commerce, Temecula Valley Convention and Visitors Bureau (Visit Temecula
Valley), Small Business Development Center, Riverside County Economic Development Agency,
Riverside County Workforce Development Agency, and the Economic Development Coalition of
Southwest California. These alliances leverage the assets and resources necessary to reinforce
our market. The City’s economic development policy centers on providing a broad range of
infrastructure improvements to encourage both tourism and business investment in the City of
Temecula. Some of the more favorable attributes of Temecula includes a business friendly
atmosphere, a high standard of living and high quality of life, a well-educated workforce,
competitive housing prices, access to the major ports of Southern California, convenient
freeway access, and centralized location between Los Angeles, San Diego, and Orange counties.
By providing a commercial and residential core that is attractive, of high quality, and possesses
adequate infrastructure to support the residential, business and tourist population, Temecula
has quickly become a destination location for a broad spectrum of the population.
Measure S, approved by the voters in November 2016 (one-cent Transactions and Use Tax for
the City), has provided a significant source of funding to accomplish a vast number of capital
improvement projects. The measure was approved based on the commitment to maintain 9-1-
1 emergency response times, prevent cuts to local paramedic/police/fire protection, school
safety patrols, youth/after-school, senior and disabled services; improvement freeway
interchanges/reduce traffic and provide for other general services.
CAPITAL BUDGET POLICY
The purpose of the CIP Budget document is to serve as a planning tool, which coordinates the
financing and scheduling of major projects undertaken by the City. The CIP Budget document
has been prepared in accordance with generally accepted accounting principles. This document
is dynamic and, consequently, must be revised annually to address changing needs, priorities,
and financial conditions. The capital improvements presented in this document are the City’s
major projects, which exceed $30,000 in cost, have long-term life spans, and are generally non-
recurring. Each project cost is identified based on current year estimates, and future projected
costs appropriations are increased by a 2% inflationary index. Future operating and
maintenance costs are estimated based on the life of the project to maintain the project life
12
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
with a 2% yearly inflator and are included in the City of Temecula’s annual operating budget.
These projects include land and right-of-way acquisition, design, construction or rehabilitation
of public buildings or facilities, public infrastructure design and construction, park design and
construction, and redevelopment projects.
The City’s goal in providing a CIP Budget is to develop a multi-year plan for capital
improvements, update it annually, and follow through with all capital improvements in
accordance with the plan. In determining the relative merit of a proposed project, key
management team members evaluate projects for feasibility, community enhancement,
infrastructure, historic preservation, and safety.
PLAN DEVELOPMENT
The City Council adopted the Temecula 2030 Quality of Life Master Plan (QLMP) in October
2011. The QLMP defines the strategic priorities of Temecula’s residents, and partners for the
City‘s next twenty years. It reflects the vision for the City’s future, and commits the City to a
performance based process to accomplish those goals.
This plan was developed by engaging residents,
businesses, local institutions and regional partners in an
inclusive process. The QLMP provides the framework for
the City’s Strategic Budgeting activities. The City Council
has set priorities and guided staff in developing six Core
Values upon which to focus time and resources (as
identified in the QLMP). These areas include:
1. Healthy and Livable City
2. Economic Prosperity
3. A Safe and Prepared Community
4. A Sustainable City
5. Transportation Mobility and Connectivity
6. Accountable and Responsive City Government
All projects presented in the CIP are carefully programmed in concurrence with the City’s
Quality of Life Master Plan to ensure the community’s capital improvement needs are met both
now and in the future. The project sheets reference the specific Core Value(s) each project
satisfies. The framework for the CIP is further defined in the City’s CIP fiscal policy to provide a
structure within which fiscal decisions can be made and to optimize all available resources
toward the accomplishment of the City’s Core Values as defined in the QLMP.
This CIP budget document was developed by incorporating input from key management team
members based on community comments and feedback received throughout the year.
Through several internal CIP review meetings, the team then identified and evaluated
community needs in the areas of roads/streets, bridges, public buildings, and parks and
13
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
recreation facilities. Each proposed project was reviewed and discussed to ensure funding,
timing, and necessity. All projects are evaluated by the City’s Planning Commission to ensure
consistency with the provisions of the City of Temecula General Plan, while considering the
City’s long-term vision as developed by the City Council. The proposed Circulation,
Infrastructure, and Parks and Recreation projects are reviewed by the Planning Commission,
Public/Traffic Safety Commission, and the Parks and Recreation Commission.
Projects in this document have been scheduled in each of the five fiscal years based on
community needs, as determined by the City Council and availability of funding. Priority
rankings in each major category (Circulation, Infrastructure/Other, Parks and Recreation, and
Successor Agency to the Temecula Redevelopment Agency-SARDA) have been assigned in
accordance with the priority guidelines as shown on the Description of Priorities page herein.
Additionally, since many projects in the CIP are conceptual in nature, the general outline for
cost estimates provided in last year’s CIP document were revised and utilized as shown on the
Parameters for CIP Budget Cost page herein.
CONCLUSION
The revenue estimates, although conservative, are strictly estimates. The actual amount of
funds available for construction will vary based upon the state of the economy. The City’s
major revenue sources are primarily received from various County programs, State grant
programs, and Special Districts. The City Council will be updated throughout the year on the
status of projects and corresponding revenue sources.
The Fiscal Years 2021-25 Capital Improvement Program is a result of a total team effort of both
City staff and City Council. These projects are intended to enhance the safety and quality of life
for all citizens in the City of Temecula. I would like to thank staff and the City Council for all of
the contributions that were made in developing the capital budget that will serve as the
footprint for Temecula’s future.
Sincerely,
Aaron Adams
City Manager
14
RESOLUTION OF THE CITY COUNCIL
(Place Holder)
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
15
California Society of
Municipal Finance Officers
Certificate of Award
Capital Budget Excellence Award
Fiscal Year 2019-2020
Presented to the
City of Temecula
For meeting the criteria established to achieve the Capital Budget Excellence Award.
January 31, 2020
Steve Heide Yolanda Rodriguez, Chair
CSMFO President Recognition Committee
Dedicated Excellence in Municipal Financial Reporting
16
CITY ORGANIZATIONAL CHART
Citizens of Temecula
City Council
City Manager
City Attorney
Commissions
City Clerk
Community
Development
Finance
Information
Technology/Support
Services
Public Works
Community
Services
Human Resources
Police / Fire
[Contract]
Economic
Development
Emergency
Management
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
17
DESCRIPTION OF LEVEL RANKING
AND FUTURE YEARS PROJECTS
LEVEL I: The project is urgent and must be completed as soon as feasible. Failure
to address the project may impact the health, safety, or welfare of the
community or have a potential significant impact on the financial well-
being of the City. The project must be initiated or financial opportunity
losses may result.
LEVEL II: The project is important and addressing it is necessary. The project
impacts safety, law enforcement, health, welfare, economic base, quality
of life, and has been identified as a priority in the Quality of Life Master
Plan.
LEVEL III: The project will enhance quality of life and will provide a benefit to the
community. Completion of the project will improve the community by
providing cultural, recreational, and/or aesthetic value, or is deemed as a
necessary improvement to a public facility.
FUTURE YEARS
PROJECTS: The project will be an improvement to the community, but does not
necessarily need to be completed within a five-year capital improvement
program time frame.
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
18
City of Temecula
Fiscal years 2021-25
Capital Improvement Program
PARAMETERS FOR CIP BUDGET COST ESTIMATES
ADMINISTRATION COSTS AS A PERCENTAGE OF
ESTIMATED TOTAL PROJECT COSTS
ACQUISITION COSTS
(vacant, per square foot)
Estimated Total Project
Costs
Administration Costs
Percentage Property Zoning Estimated Cost
(vacant, per sq. ft.)
Over $10 Million 7% Industrial Property $12.00
$5 Million to $10 Million 10% Commercial/Retail/Office $20.00
$1 Million to $5 Million 15% Commercial – Old Town $50.00
$500,000 to $1 Million 20% Rural/Residential $0.50 - $2.00
$100,000 to $500,000 25% Flood Plain $0.57
Less than $100,000 30% Multi-Family Residential $5.00
Single Family Residential $3.00
DESIGN COSTS AS A PERCENTAGE OF
TOTAL CONSTRUCTION COSTS CONSTRUCTION COSTS
Estimated Total
Construction Costs
Design Costs
Percentage Building Type Estimated Cost
Over $10 Million 7% Assembly Use Building (per sq. ft.) $300
$5 Million to $10 Million 10% Office (per sq. ft.) $300
$1 Million to $5 Million 15% Multi-Family Housing (per sq. ft.) $175
$500,000 to $1 Million 18% Community Parks (per acre) $340,000
$100,000 to $500,000 20% Neighborhood Parks (per acre) $250,000
Less than $100,000 25%
Parameters for the CIP cost estimates are adjusted annually to reflect current economic
conditions and cost of living increases. Future projected cost appropriations are increased by 2%
inflationary index. Future operating and maintenance costs are estimated based on the life of the
project to maintain the project life with a 2% yearly inflator, where applicable, and are included
in the City of Temecula annual operating budget.
19
Annual Operating Budget
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
DESCRIPTION OF REVENUE SOURCES
Assembly Bill 2766 (AB 2766)
State funds that are available to implement programs and projects that reduce air pollution from
motor vehicles.
Capital Financing
Funding available through financing proceeds to be used for Capital Improvements.
Community Development Block Grant (CDBG)
The Federal Department of Housing and Urban Development (HUD) provides funds through the
Community Development Block Grant Program (CDBG) for local community development, housing
activities, and public services. The primary objective of the CDBG Program is the development of
viable communities by providing decent housing, a suitable living environment, and expanded
economic opportunities primarily focused on low- and moderate-income persons and
neighborhoods.
Community Facilities District (CFD)
A tool that allows the City to construct desired and authorized public improvements with costs of
the projects paid for by the benefitted properties within the boundaries of a designated area. The
costs are then financed through the issuance of bonds payable over a period of years.
Department of Water Resources (DWR) Proposition 84
Funding made available from the State of California Department of Water Resources funding from
the Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection
Bond Act of 2006. 2015 Proposition 84 Integrated Regional Water Management (IRWM)
Implementation Grant, California Public Resources Code Section 75026 of Divisions 26.5 of the
California Water Code (CWC).
Development Impact Fees (DIF)
Fees generated by development applications to offset the effect of development to include
infrastructure, fire protection, public facilities and services, libraries, roads, schools, parks, traffic
signal mitigation and open space/public art. Fees are determined by the cost of the project at the
time of application.
Facilities Replacement Fund
This Fund was established to accumulate resources necessary to replacement future Facilities
systems, equipment and fixtures.
General Fund
City General Funds retained for capital improvement projects.
Highway Safety Improvement Program
The Highway Safety Improvement Program (HSIP), codified as Section 148 of Title 23, United
States Code (23 U.S.C §148), is a core federal-aid program to States for the purpose of achieving
a significant reduction in fatalities and serious injuries on all public roads.
20
Annual Operating Budget
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
DESCRIPTION OF REVENUE SOURCES (continued)
Highway Bridge Program
This program is funded by Federal Highway Administration (FHWA) and authorized by United
States Code (USC) Title 23, Section 144. The purpose of the Program is to replace or rehabilitate
public highway bridges over waterways, other topographical barriers, other highways, or railroads
when the State and the Federal Highway Administration determine that a bridge is significantly
important and is unsafe because of structural deficiencies, physical deterioration, or functional
obsolescence.
Infrastructure for Rebuilding America (INFRA)
The INFRA program provides dedicated, discretionary funding for projects that address critical
issues facing our nation’s highways and bridges.
Local Early Action Planning (LEAP) Grant
This grant program is provided by the California Department of Housing and Community
Development (HCD). LEAP provides one-time grant funding to cities and counties to
update their planning documents and implement process improvements that will
facilitate the acceleration of housing production and help local governments prepare for
their 6th cycle Regional Housing Needs Allocation (RHNA).
Measure A (Local Streets and Roads)
Riverside County’s half-cent sales tax to fund transportation projects to improve local streets and
roads, major highways, commuter rail, and public transit throughout Riverside County.
Measure S
Pursuant to Ordinance 16-06, on November 8, 2016, the people of Temecula approved a local 1%
Transactions and Use Tax, effective on April 1, 2017, to maintain 9-1-1 emergency response times,
prevent cuts to local paramedic, police, fire protection, school safety patrols, youth/after-school,
senior, disabled services, improve freeway interchanges, reduce traffic and provide for other
general services.
Mobile Source Air Pollution Reduction Review Committee (MSRC)
The MSRC is the Mobile Source Air Pollution Reduction Review Committee, established under
state law (AB 2766) whose sole mission is to fund projects that reduce air pollution from motor
vehicles within the South Coast Air District in Southern California.
Public Art Fund
Public Artwork enhances the quality of life for individuals living and working in the Temecula. This
fund was adopted by City Council for design, acquisition, installation, improvement, maintenance
and insurance of public artwork displayed on City property; offering of performing arts programs
on City property for the community; and art education programs on City property for the
community (provided, however, that not more than five percent of the fund’s annual budget shall
be used for this purpose).
21
Annual Operating Budget
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
DESCRIPTION OF REVENUE SOURCES (continued)
Quimby
The City’s park-in-lieu or park development fee is assessed under provisions of the Subdivision
Map Act which allows the City to require the dedication of land or the payment of a fee in lieu of
land to be used for the purchase (or development) of park property.
Reimbursements/Other
Funding made available from other agencies or sources on a reimbursement, donation, and
contribution basis. The actual agreement states the conditions of monies specific to a particular
project.
Safe, Accountable, Flexible, Efficient, Transportation Equity Act - Legacy for Users
(SAFETEA–LU)
Signed into law on August 10, 2005, and provides for highways, highway safety, and public
transportation to improve safety, reduce traffic congestion, and other activities related to solving
transportation problems. This new program takes off where STP, TEA-21, and ISTEA left off.
Senate Bill 1 (SB1)/Road Repair and Accountability Act (RMRA)/Active Transportation Program
(ATP)
The State of California imposes per gallon excise and sales taxes on fuel sales, as well as
registration taxes on motor vehicles, for allocation to agencies for transportation purposes. In
2017, the State established the Road Repair and Accountability Act (RMRA) to allocate a greater
share of additional monies for transportation purposes.
Senate Bill 621
Represents a regional organization made up of tribal governments primarily within Riverside and
San Bernardino counties. Tribal Alliance of Sovereign Indian Nations (TASIN) member tribes
contribute a percentage of their gaming revenues to the Indian Gaming Special Distribution Fund
(SDF), as established by the State Legislature, to offset the impacts of Indian gaming on public
services and infrastructure.
Senate Bill 821
B 821, the Bicycle and Pedestrian Facilities Program, is provided through the Transportation
Development Act (TDA), funded through a ¼ cent of the general sales tax collected statewide.
The TDA provides two major sources of funding for public transportation: the Local
Transportation Fund (LTF) and the State Transit Assistance (STA). The LTF provides funding for
essential transit and commuter rail services, SB 821 and planning. Each year, two percent of the
LTF revenue is made available for use on bicycle and pedestrian facility projects through the SB
821 program.
22
Annual Operating Budget
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
DESCRIPTION OF REVENUE SOURCES (continued)
State Transportation Improvement Program (STIP)
The State Transportation Improvement Program (STIP) is the biennial five-year plan adopted by
the California Transportation Commission (CTC) for future allocations of certain state
transportation funds for state highway improvements, intercity rail, and regional highway and
transit improvements. State law requires the Commission to update the STIP biennially, in even-
numbered years, with each new STIP adding two new years to prior programming commitments.
State Highway Operation Protection Program & Minor Program (SHOPP)
State Highway System’s program that funds repair and preservations, emergency repairs, safety
improvements and some highway operational improvements.
Surface Transportation Program (STP)
Federal funds available for local agencies to improve the safety and efficiency of the local
transportation system.
Tax Allocation Refunding Bonds Series 2017A and 2017B
As of January 31, 2012, the Redevelopment Agency of the City of Temecula has been dissolved
and the City has elected to become the Successor Agency. The Successor Agency will be
responsible for the winding down of the remaining activities of the dissolved Redevelopment
Agency. These remaining activities include completing affordable housing and infrastructure
projects that are funded with tax allocation bonds issued by the former redevelopment agency.
The Series 2017A and 2017B Refunding Bonds were issued in 2017 to refinance 2002, 2006, 2007,
2010, and 2011 Tax Allocation Bonds to provide financing for low and moderate income housing
projects. The outstanding bonds will be repaid in full in 2038. Monies to pay bond debt service
is requested from the State and disbursed by the County from the Trust Fund established to
accumulate tax increment generated by the former Temecula Redevelopment Agency area.
Technology Replacement Fund
This fund is used for the replacements of computers, system Software and all other Information
Technology equipment.
Transportation Uniform Mitigation Fee (TUMF)
Multi-jurisdictional development impact fee paid for by new development to provide the
transportation infrastructure necessary to accommodate new development.
WRCOG-BEYOND Framework Fund Program
Local assistance funding program for Economic Development and Sustainability Projects.
23
Account Number PW Number Project Title Project Type
210.265.516 PW11‐01 PECHANGA PARKWAY ENVIRONMENTAL MITIGATION Infrastructure
210.265.518 PW19‐10 PEDESTRIAN SIGNAL EQUIPMENT UPGRADE ‐ CITYWIDE Infrastructure
210.265.521 PW17‐25 DIAZ ROAD EXPANSION Circulation
210.265.522 PW17‐08 EMERGENCY VEHICLE PRE‐EMPTION UPGRADE PROGRAM ‐ CITYWIDE Circulation
210.265.524 PW19‐15 CHERRY STREET EXTENSION & MURRIETA CREEK LOW‐FLOW CROSSING Circulation
210.265.526 PW19‐21 CITYWIDE BUFFERED BIKE LANE STRIPING Circulation
210.265.530 PW15‐14 PECHANGA PARKWAY WIDENING Circulation
210.265.535 PW17‐17 YNEZ ROAD IMPROVEMENTS Circulation
210.265.550 PW18‐05 FIBER OPTIC COMMUNICATION SYSTEM UPGRADE Infrastructure
210.265.602 PW16‐06 OVERLAND DRIVE EXTENSION COMMERCE CENTER Circulation
210.265.603 PW20‐01 OVERHEAD STREET NAME SIGN REPLACEMENT PROGRAM ‐ CITYWIDE Circulation
210.265.604 NICOLAS ROAD EXTENSION & IMPROVEMENTS Circulation
210.265.605 PW18‐11 TRAFFIC SIGNAL ‐ PARK & RIDE ACCESS IMPROVMENTS Circulation
210.265.609 PW19‐02 I‐15 CONGESTION RELIEF Circulation
210.265.610 PW19‐09 TRAFFIC SIGNAL ‐ SYSTEM UPGRADE Circulation
210.265.612
AMERICAN WITH DISABILITIES ACT (ADA) TRANSITION PLAN
IMPLEMENTATION Infrastructure
210.265.613 PW18‐06 ROUNDABOUT IMPROVEMENTS ON YNEZ ROAD Circulation
210.265.620 MOTOR CAR PARKWAY IMPROVEMENTS Circulation
210.265.622 MEDIANS & PARKWAYS ‐ CITYWIDE Circulation
210.265.648 PW16‐05 MURRIETA CREEK BRIDGE AT OVERLAND Circulation
210.265.655 PAVEMENT REHABILITATION PROGRAM ‐ CITYWIDE Circulation
210.265.662 PW04‐08 I‐15/STATE ROUTE 79 SOUTH ULTIMATE INTERCHANGE Circulation
210.265.670 FLASHING BEACONS & SPEED ADVISORY SIGNS Circulation
210.265.680 TRAFFIC SIGNAL ‐ EQUIPMENT ENHANCEMENT PROGRAM ‐ CITYWIDE Circulation
210.265.682 TRAFFIC SIGNAL ‐ INSTALLATION ‐ CITYWIDE Circulation
210.265.683 PW18‐15 ELECTRIC VEHICLES CHARGING STATION Infrastructure
210.265.687 PW19‐14 FIRE STATION 84 RENOVATION Infrastructure
210.265.688 PW17‐18
CITYWIDE STREETLIGHT ACQUISITION & LIGHT EMITTING DIODE (LED)
RETROFIT Infrastructure
210.265.689 PW17‐29 EXPANDED RECYCLED WATER PLANT CONVERSION PROJECT Infrastructure
210.265.690 PW17‐19 I‐15/STATE ROUTE 79 SOUTH INTERCHANGE ENHANCED LANDSCAPING Infrastructure
210.265.692 PW17‐21 MARGARITA RECREATION CENTER Infrastructure
210.265.694 PW17‐15 OLD TOWN PARKING STRUCTURE Infrastructure
210.265.696 PW17‐16 SIDEWALKS ‐ OLD TOWN BOARDWALK ENHANCEMENT Infrastructure
210.265.697 PW19‐13 FIRE STATION 73 GYM/GARAGE Infrastructure
210.265.701 CITY FACILITIES REHABILITATION Infrastructure
210.265.703 BIKE LANE AND TRAIL PROGRAM ‐ CITYWIDE Infrastructure
210.265.704 MEDIANS & TRAFFIC CALMING IMPROVEMENTS ‐ CITYWIDE Infrastructure
210.265.708 SIDEWALKS ‐ CITYWIDE Infrastructure
210.265.711 PW17‐01 CITYWIDE SURVEILLANCE CAMERAS Infrastructure
210.265.718 PW18‐04 BIKE LANE TRAIL PROGRAM ‐ PUMP TRACK Infrastructure
210.265.720 PW19‐11 BIKE LANE AND TRAIL PROGRAM ‐ TEMECULA CREEK SOUTH SIDE TRAIL Infrastructure
210.265.721 PW19‐18 SIDEWALKS ‐ DLR DRIVE Infrastructure
210.265.722 PW19‐16 CITYWIDE DRAINAGE MASTER PLAN Infrastructure
210.265.723 PW15‐11 BUTTERFIELD STAGE ROAD EXTENSION Circulation
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Improvement Project List
(Sorted by Account Number)
24
Account Number PW Number Project Title Project Type
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Improvement Project List
(Sorted by Account Number)
210.265.724 CITYWIDE FINANCIAL SYSTEM UPGRADE Infrastructure
210.265.726 PW16‐01 FRENCH VALLEY PARKWAY/I‐15 IMPROVEMENTS ‐ PHASE II Circulation
210.265.728 PW19‐03 FRENCH VALLEY PARKWAY/I‐15 IMPROVEMENTS ‐ PHASE III Circulation
210.265.730 PW19‐07 COMMUNITY RECREATION CENTER (CRC) RENOVATIONS Infrastructure
210.265.732 PW19‐04 SANTA GERTRUDIS CREEK PHASE II ‐ MARGARITA UNDER‐CROSSING Infrastructure
210.265.735 PW15‐07 MURRIETA CREEK IMPROVEMENTS Infrastructure
210.265.739 PW08‐04 SANTA GERTRUDIS CREEK PEDESTRIAN/BICYCLE TRAIL EXTENSION Infrastructure
210.265.747 PW06‐09 TEMECULA PARK & RIDE Infrastructure
210.265.766 PW17‐04 SIDEWALKS ‐ OLD TOWN IMPROVEMENTS Infrastructure
210.265.776 UTILITY UNDERGROUNDING ‐ CITYWIDE Infrastructure
210.265.777 COMPREHENSIVE GENERAL PLAN UPDATE Infrastructure
210.265.778 PUBLIC SAFETY MONUMENT Infrastructure
210.265.779 CITY FACILITY SECURITY Infrastructure
210.265.780 OLD TOWN SURVEILLANCE & SOUND SYSTEM Infrastructure
210.265.781 BIKE LANE AND TRAIL PROGRAM ‐ MINI PUMP TRACK Infrastructure
210.265.782 MARY PHILLIPS SENIOR CENTER ENHANCEMENT AND RENOVATION Infrastructure
210.265.783 OVERLAND DRIVE WIDENING Circulation
210.265.784
ADA COMPLIANCE FOR PAVEMENT REHAB PROGRAM ‐ WEST SIDE BUSINESS
PARK AREA Infrastructure
210.290.113 SPORTS FIELD LIGHTING ‐ LIGHT EMITTING DIODE (LED) CONVERSION Parks/Recreation
210.290.114 PW18‐03 RONALD REAGAN SPORTS PARK RESTROOM EXPANSION & RENOVATION Parks/Recreation
210.290.116 PW18‐02 COMMUNITY RECREATION CENTER (CRC) POOL SITE ENHANCEMENT Parks/Recreation
210.290.117 COMMUNITY SERVICES MASTER PLAN Parks/Recreation
210.290.120 PLAYGROUND EQUIPMENT ENHANCEMENT & SAFETY SURFACING Parks/Recreation
210.290.125 PW19‐05 CHILDREN'S MUSEUM ENHANCEMENT PROJECT Parks/Recreation
210.290.127 PW11‐10 FLOOD CONTROL CHANNEL RECONSTRUCTION & REPAIR Parks/Recreation
210.290.130 PARKS IMPROVEMENT PROGRAM Parks/Recreation
210.290.141 SPORTS COURT RESURFACING Parks/Recreation
210.290.143 TEMECULA ELEMENTARY SCHOOL (TES) POOL RENOVATION Infrastructure
210.290.145 EAGLE SOAR SPLASH PAD CONTROL SYSTEM RENOVATION Parks/Recreation
210.290.146
RONALD H. ROBERTS TEMECULA PUBLIC LIBRARY ENHANCEMENT &
RENOVATION Parks/Recreation
210.290.153 PW13‐09 LIBRARY PARKING ‐ PHASE II Parks/Recreation
210.290.155 PW17‐06
PARK RESTROOMS RENOVATIONS, EXPANSION AND AMERICANS WITH
DISABILITIES ACT (ADA) IMPROVEMENTS Parks/Recreation
210.290.187 PW05‐13 RONALD REAGAN SPORTS PARK CHANNEL SILT REMOVAL Parks/Recreation
210.290.203 HISTORY MUSEUM RENOVATION Infrastructure
210.290.204 URBAN FOREST MANAGEMENT PLAN Infrastructure
210.290.205 COMMUNITY RECREATION CENTER SPLASH PAD & SHADE STRUCTURES Parks/Recreation
210.290.220 SAM HICKS MONUMENT PARK PERIMETER FENCING Parks/Recreation
380.800.815 AFFORDABLE HOUSING SARDA
380.800.820 VINE CREEK AFFORDABLE HOUSING PROJECT SARDA
25
26
Funding SourcePrior Years Actuals2019‐20Amended2020‐21Proposed Budget2021‐22Projected2022‐23Projected2023‐24Projected2024‐25ProjectedTotalProjectFundingCity FundsAssembly Bill 2766 1,228,068 353,898 100,000 100,000 216,955 144,575 152,319 2,295,815Capital Financing 6,405,0006,405,000Facilities Replacement Fund 143,666 300,000 300,000300,000 1,043,666Gas Tax 1,200,0001,200,000General Fund 19,946,162 1,449,499 1,000,000 700,00023,095,661Measure S 21,285,492 14,696,729 4,945,872 2,118,300 1,424,200 3,242,000 7,897,213 55,609,806Proposition 42 88,00088,000Public Art Fund 25,00025,000RMRA 1,251,263 2,978,734 2,118,479 1,863,889 1,901,167 1,939,190 1,977,974 14,030,696Technology Replacement Fund 763,534763,534City Funds Total51,572,651 20,542,394 7,464,351 5,382,189 4,242,322 5,325,765 10,027,506 104,557,178Community Facility Districts CFD 01‐02 (Harveston) 1,005,8401,005,840CFD 03‐01 (Crowne Hill) 502,211502,211CFD 03‐02 (Roripaugh Ranch) 30,440,100 13,371,633 2,346,89846,158,631CFD 03‐03 (Wolf Creek) 763,964 287,0431,051,007CFD 16‐01 (Roripaugh Ranch‐Phase II) 6,585,8986,585,898Community Facility Districts Total32,712,115 13,658,676 8,932,79655,303,587Development Impact Fees DIF‐Corporate Facilities 603,151 448,936 400,000 1,452,087DIF‐Library Facilities 1,033,673 1,228,2532,261,926DIF‐Open Space & Trails 683,946 617,304 37,766 1,339,016DIF‐Park & Rec Improvements 1,235,090 249,400 901,048400,000 2,785,538DIF‐Police Facilities 776,568 344,14695,0001,215,714DIF‐Quimby 450,000 240,000 1,193,952500,000 2,383,952DIF‐Street Improvements 10,122,353 1,930,431 352,000 2,457,692 3,111,30217,973,778DIF‐Traffic Signals 1,282,130 148,925 199,7001,630,755Development Impact Fees Total16,186,911 5,207,395 2,684,466 2,457,692 3,206,302 400,000 900,000 31,042,766Projected Revenue SummaryCity of TemeculaFiscal Years 2021-25Capital Improvement Program27
Funding SourcePrior Years Actuals2019‐20Amended2020‐21Proposed Budget2021‐22Projected2022‐23Projected2023‐24Projected2024‐25ProjectedTotalProjectFundingProjected Revenue SummaryCity of TemeculaFiscal Years 2021-25Capital Improvement ProgramGrants ‐ Federal BTA ‐ Bicycle Transportation Account 223,311223,311CDBG 890,038 774,805 713,000 323,660 323,660 323,660 323,660 3,672,483CMAQ‐Congestion Mitigation Air Quality 729,872 1,178,1591,908,031HBP‐Highway Bridge Program 575,4452,985,231 17,862,69821,423,374HSIP‐Highway Safety Improvement Program 2,605,9102,605,910INFRA Grant 50,000,00050,000,000SAFETEA‐LU 2,110,840 931,3603,042,200STIP‐Surface Transportation Improvement Program 47,600,00047,600,000STP (RCTC) 7,450,594 5,525,40612,976,000Grants ‐ Federal Total9,293,815 12,770,565 99,244,360 3,308,891 18,186,358 323,660 323,660 143,451,309Grants ‐ State/Local Beyond Grant 19,85719,857DWR Grant 426,029426,029LEAP Grant 300,000 200,000 500,000Grants ‐ Prop 68 323,930323,930MSRC‐Mobile Source Air Review Committee Grant 141,000141,000SHOPP 1,250,000 1,250,000Grants ‐ State/Local Total 19,857 890,959 300,000 1,450,000 2,660,816Measure A Program Measure A 18,414,771 5,701,509 614,275 540,714 523,716 505,828 488,034 26,788,847Measure A Program Total 18,414,771 5,701,509 614,275 540,714 523,716 505,828 488,034 26,788,847Reimbursements/Other Developer Contribution 786,764 178,236965,000Pechanga Tribe Contributions 5,000,0005,000,000Reimbursements 7,862,705 1,525,4479,388,152Reimbursements/Other 1,190,5821,190,582Settlement Proceeds 500,000500,000Reimbursements/Other Total 15,340,051 1,703,683 17,043,73428
Funding SourcePrior Years Actuals2019‐20Amended2020‐21Proposed Budget2021‐22Projected2022‐23Projected2023‐24Projected2024‐25ProjectedTotalProjectFundingProjected Revenue SummaryCity of TemeculaFiscal Years 2021-25Capital Improvement ProgramSenate Bills Senate Bill 1 3,759,000 1,502,000 5,261,000Senate Bill 621 14,446,520 132,300 80,000 80,00014,738,820Senate Bills Total14,446,520 3,891,300 80,000 1,582,00019,999,820Successor Agency to the Temecula Redevelopment Agency Affordable Housing 2,710,000 2,710,000RDA Bond Proceeds 13,471,940 13,471,940RPTTF‐Redevelopment Property Tax Trust Fund 750,000 750,000Successor Agency to the Temecula Redevelopment Agency Total 16,181,940 750,000 16,931,940TCSD Service Levels Service Level C ‐ Zone 16 21,50021,500Service Level C ‐ Zone 18 10,00010,000Service Level C ‐ Zone 20 30,80330,803TCSD Service Levels Total 62,30362,303Transportatation Uniform Mitigation Fee (TUMF) TUMF 1,438,0001,438,000TUMF (CETAP/RCTC) 5,825,056 1,047,4536,872,509TUMF (RCTC) 6,795,0006,795,000TUMF (WRCOG) 16,880,095 10,944,676 8,727,000 227,000 44,348,980 81,127,751Transportatation Uniform Mitigation Fee (TUMF)30,938,151 11,992,1298,727,000 227,000 44,348,980 96,233,260Grand Total188,924,842 76,420,913 135,502,188 14,721,486 34,885,698 7,532,253 56,088,180 514,075,56029
CIP MAJOR REVENUE SOURCES
PROJECTED REVENUES: $514,075,560
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
30
Project Title
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Funding
Cost To
Complete
Abbott Corporation Roadway Improvements - - - - - 750,000 - 750,000 750,000
Butterfield Stage Road Extension 31,934,082 11,515,854 - - - - - 43,449,936 11,515,854
Cherry Street Extension & Murrieta Creek Low-Flow Crossing - 180,000 424,300 - 1,782,700 - - 2,387,000 2,387,000
Citywide Buffered Bike Lane Striping - 189,000 - - - - - 189,000 189,000
Diaz Road Expansion 9,312 1,220,124 - - - - 3,337,077 4,566,513 4,557,201
Emergency Vehicle Pre-Emption Upgrade Program - Citywide 196,455 155,545 - - - - - 352,000 155,545
Flashing Beacons & Speed Advisory Signs 127,864 47,420 - 32,000 - 32,000 - 239,284 111,420
French Valley Parkway/I-15 Improvements - Phase II 28,264,377 8,334,869 100,397,000 227,000 133,000 - - 137,356,246 109,091,869
French Valley Parkway/I-15 Improvements - Phase III 32,464 147,536 - - 8,727,000 227,000 131,564,000 140,698,000 140,665,536
I-15 Congestion Relief 20,971 1,330,754 - 1,450,000 4,975,000 - - 7,776,725 7,755,754
I-15/State Route 79 South Ultimate Interchange 48,435,271 3,430,386 80,000 80,000 - - - 52,025,657 3,590,386
Medians & Parkways - Citywide 666,838 228,000 - - - - - 894,838 228,000
Murrieta Creek Bridge At Overland 152,989 1,840,211 - 3,292,923 20,507,000 - - 25,793,123 25,640,134
Nicolas Road Extension & Improvements - 2,706,992 8,932,796 - - - - 11,639,788 11,639,788
Overhead Street Name Sign Replacement Program - Citywide - 100,000 - - - - - 100,000 100,000
Overland Drive Extension Commerce Center 7,614,507 703,390 - - - - - 8,317,897 703,390
Overland Drive Widening - - 352,000 350,000 1,807,400 - - 2,509,400 2,509,400
Pavement Rehabilitation Program - Citywide 23,745,369 11,761,608 2,589,154 2,404,603 2,424,883 2,445,018 2,466,008 47,836,643 24,091,274
Pechanga Parkway Widening 1,785,326 3,214,674 - - - - - 5,000,000 3,214,674
Roundabout Improvements On Ynez Road 68,299 766,701 - - - - - 835,000 766,701
Traffic Signal - Equipment Enhancement Program - Citywide 602,269 1,289,519 285,000 210,000 150,000 260,000 260,000 3,056,788 2,454,519
Traffic Signal - Installation - Citywide 950,170 377,813 574,700 - 375,000 - 300,000 2,577,683 1,627,513
Traffic Signal - Park & Ride Access Improvments 110,057 922,617 315,000 - - - - 1,347,674 1,237,617
Traffic Signal - System Upgrade - 581,900 - - - - - 581,900 581,900
Ynez Road Improvements 159,876 1,111,890 - 1,800,000 - - 3,500,000 6,571,766 6,411,890
Circulation Total 144,876,496 52,156,803 113,949,950 9,846,526 40,881,983 3,714,018 141,427,085 506,852,861 361,976,365
ADA Compliance For Pavement Rehab Program - West Side Business
Park Area - - 456,600 - - - - 456,600 456,600
American With Disabilities Act (ADA) Transition Plan Implementation 23,801 299,859 - 323,660 323,660 323,660 323,660 1,618,300 1,594,499
Bike Lane And Trail Program - Citywide 203,359 418,028 100,000 100,000 486,088 1,020,000 152,319 2,479,794 2,276,435
Bike Lane And Trail Program - Mini Pump Track - - 95,000 - - - - 95,000 95,000
Bike Lane And Trail Program - Temecula Creek South Side Trail - 317,845 - - 863,750 - - 1,181,595 1,181,595
Bike Lane Trail Program - Pump Track 63,994 476,006 37,766 - - - - 577,766 513,772
City Facilities Rehabilitation 2,128,523 315,143 300,000 300,000 - - - 3,043,666 915,143
City Facility Security - 250,000 - - - - - 250,000 250,000
Citywide Drainage Master Plan - - - - - - 720,000 720,000 720,000
Citywide Financial System Upgrade - 1,376,718 - - - - - 1,376,718 1,376,718
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CIP Expenditure Summary
31
Project Title
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Funding
Cost To
Complete
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CIP Expenditure Summary
Citywide Streetlight Acquisition & Light Emitting Diode Retrofit 2,265,993 5,737,318 - - - - - 8,003,311 5,737,318
Citywide Surveillance Cameras 2,010,648 1,278,738 150,000 - 95,000 - - 3,534,386 1,523,738
Community Recreation Center (CRC) Renovations - 150,000 2,000,000 - - 350,000 2,500,000 5,000,000 5,000,000
Comprehensive General Plan Update - - 300,000 1,000,000 700,000 - - 2,000,000 2,000,000
Electric Vehicles Charging Station 118,445 69,555 - - - - - 188,000 69,555
Expanded Recycled Water Plant Conversion Project 80,649 605,390 - - - - - 686,039 605,390
Fiber Optic Communication System Upgrade 93,364 1,227,836 - - - - - 1,321,200 1,227,836
Fire Station 73 Gym/Garage - 304,000 - - - - 1,480,136 1,784,136 1,784,136
Fire Station 84 Training Room Renovation - 666,750 - - - - - 666,750 666,750
History Museum - - - - 304,000 - - 304,000 304,000
I-15/State Route 79 South Interchange Enhanced Landscaping 51,820 436,663 - - 3,938,867 - - 4,427,350 4,375,530
Margarita Recreation Center 213,276 8,443,232 - - - - - 8,656,508 8,443,232
Mary Phillips Senior Center Enhancement And Renovation - - 430,000 - - - - 430,000 430,000
Medians & Traffic Calming Improvements - Citywide 71,652 225,248 260,000 - 270,000 - - 826,900 755,248
Murrieta Creek Improvements 225,704 700,081 35,000 - - - - 960,785 735,081
Old Town Parking Structure 130,642 869,358 - - - - - 1,000,000 869,358
Old Town Surveillance & Sound System - - - - - 750,000 150,000 900,000 900,000
Pechanga Parkway Environmental Mitigation 785,379 265,628 - - - - - 1,051,007 265,628
Pedestrian Signal Equipment Upgrade - Citywide - 976,200 - - - - - 976,200 976,200
Public Safety Monument - - - - 30,000 - - 30,000 30,000
Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension 715,773 5,572,822 - - - - - 6,288,595 5,572,822
Santa Gertrudis Creek Phase II - Margarita Under-Crossing - 433,000 382,464 1,901,300 - - - 2,716,764 2,716,764
Sidewalks - Citywide 402,837 772,292 - 500,000 - 500,000 - 2,175,129 1,772,292
Sidewalks - DLR Drive - 442,077 - - - - - 442,077 442,077
Sidewalks - Old Town Boardwalk Enhancement 308,956 1,103,609 - - - - - 1,412,565 1,103,609
Sidewalks - Old Town Improvements 1,297,591 220,556 - - - - - 1,518,147 220,556
Temecula Elementary School (TES) Pool Renovation 48,436 86,664 - - - - - 135,100 86,664
Temecula Park & Ride 4,202,313 457,905 - - - - - 4,660,218 457,905
Urban Forest Management Plan - 351,230 - - - - - 351,230 351,230
Utility Undergrounding - Citywide 89,061 155,314 - - - - - 244,375 155,314
Infrastructure Total 15,532,214 35,005,065 4,546,830 4,124,960 7,011,365 2,943,660 5,326,115 74,490,209 58,957,995
32
Project Title
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Funding
Cost To
Complete
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CIP Expenditure Summary
Children's Museum Enhancement Project 299,716 245,374 - - - - - 545,090 245,374
Community Recreation Center (CRC) Pool Site Enhancement 1,867,326 74,708 - - - - - 1,942,034 74,708
Community Recreation Center Splash Pad & Shade Structures - 100,000 - - - 1,000,000 - 1,100,000 1,100,000
Community Services Master Plan 76,308 199,892 - - - - - 276,200 199,892
Eagle Soar Splash Pad Control System Renovation - 200,000 - - - - - 200,000 200,000
Flood Control Channel Reconstruction & Repair 495,970 1,393,790 77,468 - 4,752,532 - - 6,719,760 6,223,790
Library Parking - Phase II 1,230,340 2,106,555 - - - - - 3,336,895 2,106,555
Park Restrooms Renovations, Expansion And Americans with
Disabilities Act (ADA) Improvements 57,962 1,069,838 - - - - - 1,127,800 1,069,838
Parks Improvement Program 1,705,435 254,565 - 250,000 - 250,000 - 2,460,000 754,565
Playground Equipment Enhancement & Safety Surfacing 1,993,147 2,164,502 - 500,000 - 500,000 - 5,157,649 3,164,502
Ronald H. Roberts Temecula Public Library Enhancement &
Renovation - 164,504 - - - - - 164,504 164,504
Ronald Reagan Sports Park Channel Silt Removal 672,219 27,767 - - - - - 699,986 27,767
Ronald Reagan Sports Park Restroom Expansion & Renovation 18,967 706,033 395,000 - - - - 1,120,000 1,101,033
Sam Hicks Monument Park Perimeter Fencing - - 201,000 - - - - 201,000 201,000
Sports Court Resurfacing 23,900 96,357 50,000 - 50,000 - 50,000 270,257 246,357
Sports Field Lighting - Light Emitting Diode (LED) Conversion 77,824 452,176 100,000 - - - - 630,000 552,176
Parks/Recreation Total 8,519,113 9,256,061 823,468 750,000 4,802,532 1,750,000 50,000 25,951,174 17,432,061
Affordable Housing - - 13,471,940 - - - - 13,471,940 13,471,940
Vine Creek Affordable Housing Project - - 2,710,000 - - - - 2,710,000 2,710,000
SARDA Total - - 16,181,940 - - - - 16,181,940 16,181,940
Grand Total 168,927,823 96,417,929 135,502,188 14,721,486 52,695,880 8,407,678 146,803,200 623,476,184 454,548,361
33
EXPENDITURE SUMMARY
BY PROJECT TYPE
PROJECTED EXPENDITURES: $623,476,184
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
34
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
Affordable Housing Fund
Vine Creek Affordable Housing Project 2,710,000 2,710,000
Project Funding 2,710,000 2,710,000
Revenue Projection 2,710,000
Available Funding 0 0 0 0 0 0 0
Assembly Bill 2766
Bike Lane And Trail Program - Citywide 229,353 100,000 100,000 216,955 144,575 152,319 943,202
Bike Lane And Trail Program - Temecula Creek South
Side Trail 67,845 67,845
Citywide Buffered Bike Lane Striping 56,700 56,700
Electric Vehicles Charging Station 47,000 47,000
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 58,683 58,683
Temecula Park & Ride 1,122,385 1,122,385
Project Funding 1,228,068 353,898 100,000 100,000 216,955 144,575 152,319 2,295,815
Revenue Projection 1,453,608 139,455 140,731 143,543 146,411 149,336 152,319
Available Funding 225,540 11,097 51,828 95,371 24,827 29,588 29,588
Capital Financing
Margarita Recreation Center 6,405,000 6,405,000
Project Funding 6,405,000 6,405,000
Revenue Projection 6,405,000
Available Funding 0 0 0 0 0 0 0
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
35
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Community Facility Districts
Butterfield Stage Road Extension 30,440,100 10,664,641 41,104,741
French Valley Parkway/I-15 Improvements - Phase II 1,005,840 1,005,840
I-15/State Route 79 South Ultimate Interchange 502,211 502,211
Nicolas Road Extension & Improvements 2,706,992 8,932,796 11,639,788
Pechanga Parkway Environmental Mitigation 763,964 287,043 1,051,007
Project Funding 32,712,115 13,658,676 8,932,796 55,303,587
Revenue Projection 55,567,251
Available Funding 22,855,136 9,196,460 263,664 263,664 263,664 263,664 263,664
Development Impact Fees (DIF)
DIF - Corporate Facilities
City Facilities Rehabilitation 250,000 250,000
Citywide Surveillance Cameras 353,151 448,936 802,087
Old Town Surveillance & Sound System 400,000 400,000
Project Funding 603,151 448,936 400,000 1,452,087
Revenue Projection 609,915 183,858 277,978 266,872 63,651 53,612 53,654
Available Funding 6,764 (258,314) 19,664 286,536 350,187 3,799 57,453
DIF - Fire Facilities
Project Funding
Revenue Projection 71,678 33,802 29,053 29,080
Available Funding 0 0 0 71,678 105,480 134,533 163,613
DIF - Library
Library Parking - Phase II 1,033,673 1,228,253 2,261,926
Project Funding 1,033,673 1,228,253 2,261,926
Revenue Projection 1,698,128 312,433 244,897 122,941 84,198 83,241 83,241
Available Funding 664,455 (251,365) (6,468) 116,473 200,671 283,912 367,153
36
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
DIF - Open Space & Trails
Bike Lane And Trail Program - Citywide 369,873 2,304 372,177
Bike Lane And Trail Program - Mini Pump Track
Bike Lane And Trail Program - Temecula Creek South
Side Trail
Bike Lane Trail Program - Pump Track 125,000 415,000 37,766 577,766
Murrieta Creek Improvements
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 189,073 200,000 389,073
Project Funding 683,946 617,304 37,766 1,339,016
Revenue Projection 979,173 264,427 123,508 61,245 38,741 38,741 38,741
Available Funding 295,227 (57,650) 28,092 89,337 128,078 166,819 205,560
DIF - Parks & Recreation
Bike Lane And Trail Program - Mini Pump Track 95,000 95,000
Children's Museum Enhancement Project 145,090 145,090
Community Recreation Center (CRC) Renovations 806,048 400,000 1,206,048
Margarita Recreation Center 137,000 137,000
Playground Equipment Enhancement & Safety
Surfacing 1,040,000 1,040,000
Temecula Elementary School (TES) Pool Renovation 50,000 85,100 135,100
Urban Forest Management Plan 27,300 27,300
Project Funding 1,235,090 249,400 901,048 400,000 2,785,538
Revenue Projection 1,612,676 907,180 423,726 210,121 132,914 132,914 132,914
Available Funding 377,586 1,035,366 558,044 768,165 901,079 1,033,993 766,907
37
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
DIF - Police Facilities
Citywide Surveillance Cameras 430,113 188,601 95,000 713,714
Emergency Vehicle Pre-Emption Upgrade Program -
Citywide 196,455 155,545 352,000
Library Parking - Phase II 50,000 50,000
Margarita Recreation Center
Playground Equipment Enhancement & Safety
Surfacing
Temecula Park & Ride 100,000 100,000
Project Funding 776,568 344,146 95,000 1,215,714
Revenue Projection 779,836 194,330 131,857 100,459 16,102 12,344 12,357
Available Funding 3,268 (146,548) (14,691) 85,768 6,870 19,214 31,571
DIF - Quimby
Community Recreation Center (CRC) Renovations 1,193,952 500,000 1,693,952
Parks Improvement Program 250,000 250,000
Playground Equipment Enhancement & Safety
Surfacing 200,000 240,000 440,000
Project Funding 450,000 240,000 1,193,952 500,000 2,383,952
Revenue Projection 1,315,159 553,539 524,512 8,835 8,835 8,835 8,835
Available Funding 865,159 1,178,698 509,258 518,093 526,928 535,763 44,598
DIF - Street Improvements
Diaz Road Expansion 590 590
French Valley Parkway/I-15 Improvements - Phase II 75,360 75,360
Medians & Parkways - Citywide 854,839 39,999 894,838
Medians & Traffic Calming Improvements - Citywide 40,000 40,000
Murrieta Creek Bridge At Overland 239,638 1,178,117 307,692 2,644,302 4,369,749
38
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Overland Drive Extension Commerce Center 8,082,475 8,082,475
Overland Drive Widening 352,000 350,000 467,000 1,169,000
Roundabout Improvements On Ynez Road 210,000 60,000 270,000
Ynez Road Improvements 619,451 652,315 1,800,000 3,071,766
Project Funding 10,122,353 1,930,431 352,000 2,457,692 3,111,302 17,973,778
Revenue Projection 11,568,811 954,148 2,516,611 3,360,854 279,937 115,609 116,275
Available Funding 1,446,458 470,175 2,634,786 3,537,948 706,583 822,192 938,467
DIF - Traffic Signals
Flashing Beacons & Speed Advisory Signs 81,284 81,284
Traffic Signal - Equipment Enhancement Program -
Citywide 519,831 21,957 541,788
Traffic Signal - Installation - Citywide 681,015 126,968 199,700 1,007,683
Project Funding 1,282,130 148,925 199,700 1,630,755
Revenue Projection 1,294,923 136,132 360,300 483,920 40,004 16,579 16,678
Available Funding 12,793 0 160,600 644,520 684,524 701,103 717,781
Development Impact Fee Total Project Funding 16,186,911 5,207,395 2,684,466 2,457,692 3,206,302 400,000 900,000 31,042,766
Development Impact Fee Total Revenue Projection 19,858,621 3,506,047 4,603,389 4,686,925 698,184 490,928 491,775
Development Impact Fee Total Available Funding 3,671,710 1,970,362 3,889,285 6,118,518 3,610,400 3,701,328 3,293,103
Facilities Replacement Fund
City Facilities Rehabilitation 143,666 300,000 300,000 300,000 1,043,666
Project Funding 143,666 300,000 300,000 300,000 1,043,666
Revenue Projection 143,666 300,000 300,000 300,000
Available Funding 0 0 0 0 0 0 0
39
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Gas Tax/Road Maintenance and Rehabilitation
Account (RMRA)
Pavement Rehabilitation Program - Citywide 2,451,263 2,978,734 2,118,479 1,863,889 1,901,167 1,939,190 1,977,974 15,230,696
Ronald Reagan Sports Park Channel Silt Removal 88,000 88,000
Project Funding 2,539,263 2,978,734 2,118,479 1,863,889 1,901,167 1,939,190 1,977,974 15,318,696
Revenue Projection 3,849,976 1,959,158 1,827,342 1,863,889 1,901,167 1,939,190 1,977,974
Available Funding 1,310,713 291,137 0 0 0 0 0
General Fund
City Facilities Rehabilitation 1,750,000 1,750,000
Citywide Streetlight Acquisition & Light Emitting
Diode (LED) Retrofit 2,503,311 2,503,311
Comprehensive General Plan Update 800,000 700,000 1,500,000
Expanded Recycled Water Plant Conversion Project 55,697 55,697
Flood Control Channel Reconstruction & Repair 650,284 650,284
French Valley Parkway/I-15 Improvements - Phase II 4,236,174 4,236,174
French Valley Parkway/I-15 Improvements - Phase III 30,000 30,000
I-15 Congestion Relief 400,000 951,725 200,000 1,551,725
Library Parking - Phase II 37,627 37,627
Murrieta Creek Improvements 135,858 135,858
Old Town Parking Structure 1,000,000 1,000,000
Overland Drive Extension Commerce Center 235,422 235,422
Parks Improvement Program 1,003,059 1,003,059
Pavement Rehabilitation Program - Citywide 5,692,614 5,692,614
40
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Ronald Reagan Sports Park Channel Silt Removal 461,366 461,366
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 78,920 78,920
Sidewalks - Citywide 375,000 375,000
Sidewalks - DLR Drive 442,077 442,077
Temecula Park & Ride 1,129,802 1,129,802
Traffic Signal - Park & Ride Access Improvments 226,725 226,725
Project Funding 19,946,162 1,449,499 1,000,000 700,000 23,095,661
Revenue Projection 19,946,162 1,449,499 1,000,000 700,000
Available Funding 0 0 0 0 0 0 0
Grants - Federal
ADA Compliance For Pavement Rehab Program -
West Side Business Park Area 313,000 313,000
American With Disabilities Act (ADA) Transition Plan
Implementation 23,801 299,859 323,660 323,660 323,660 323,660 1,618,300
French Valley Parkway/I-15 Improvements - Phase II 671,000 50,931,360 51,602,360
I-15/State Route 79 South Ultimate Interchange 7,450,594 6,965,246 14,415,840
Mary Phillips Senior Center Enhancement And
Renovation 400,000 400,000
Murrieta Creek Bridge At Overland 575,445 2,985,231 17,862,698 21,423,374
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 223,311 223,311
Sidewalks - Old Town Boardwalk Enhancement 212,745 325,291 538,036
41
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Sidewalks - Old Town Improvements 653,492 149,655 803,147
Temecula Park & Ride 729,872 1,178,159 1,908,031
Project Funding 9,293,815 10,164,655 51,644,360 3,308,891 18,186,358 323,660 323,660 93,245,399
Revenue Projection 9,293,815 10,164,655 51,644,360 3,308,891 18,186,358 323,660 323,660
Available Funding 0 0 0 0 0 0 0
Grants - State & Local
Bike Lane And Trail Program - Citywide 19,857 19,857
Citywide Buffered Bike Lane Striping 132,300 132,300
Comprehensive General Plan Update 300,000 200,000 500,000
Electric Vehicles Charging Station 141,000 141,000
Expanded Recycled Water Plant Conversion Project 426,029 426,029
Fiber Optic Communication System Upgrade 1,208,200 1,208,200
French Valley Parkway/I-15 Improvements - Phase II 47,600,000 47,600,000
I-15 Congestion Relief 1,250,000 1,250,000
I-15/State Route 79 South Ultimate Interchange 14,446,520 80,000 80,000 14,606,520
Pedestrian Signal Equipment Upgrade - Citywide 908,200 908,200
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 3,759,000 3,759,000
Santa Gertrudis Creek Phase II - Margarita Under-
Crossing 1,502,000 1,502,000
Traffic Signal - System Upgrade 489,510 489,510
Urban Forest Management Plan 323,930 323,930
Project Funding 14,466,377 7,388,169 47,980,000 3,032,000 72,866,546
Revenue Projection 14,466,377 7,388,169 47,980,000 3,032,000
Available Funding 0 0 0 0 0 0 0
42
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Jefferson Street In Lieu Fees
Project Funding
Revenue Projection 493,336
Available Funding 493,336 493,336 493,336 493,336 493,336 493,336 493,336
Measure A
ADA Compliance For Pavement Rehab Program -
West Side Business Park Area 143,600 143,600
French Valley Parkway/I-15 Improvements - Phase II 1,627,914 1,627,914
Pavement Rehabilitation Program - Citywide 16,646,857 5,701,509 470,675 540,714 523,716 505,828 488,034 24,877,333
Sidewalks - Old Town Improvements 140,000 140,000
Project Funding 18,414,771 5,701,509 614,275 540,714 523,716 505,828 488,034 26,788,847
Revenue Projection 23,432,886 683,394 614,275 540,714 523,716 505,828 488,034
Available Funding 5,018,115 0 0 0 0 0 0
Measure S
Bike Lane And Trail Program - Temecula Creek South
Side Trail 250,000 250,000
Cherry Street Extension & Murrieta Creek Low-Flow
Crossing 180,000 424,300 604,300
Children's Museum Enhancement Project 400,000 400,000
City Facility Security 250,000 250,000
Citywide Drainage Master Plan 720,000 720,000
Citywide Financial System Upgrade 613,184 613,184
Citywide Streetlight Acquisition & Light Emitting
Diode (LED) Retrofit 4,700,000 800,000 5,500,000
Citywide Surveillance Cameras 748,238 1,120,347 150,000 2,018,585
43
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Community Recreation Center (CRC) Pool Site
Enhancement 1,860,000 82,034 1,942,034
Community Recreation Center (CRC) Renovations 150,000 350,000 1,600,000 2,100,000
Community Recreation Center Splash Pad & Shade
Structures 100,000 1,000,000 1,100,000
Community Services Master Plan 276,200 276,200
Diaz Road Expansion 82,923 80,000 3,337,077 3,500,000
Eagle Soar Splash Pad Control System Renovation 200,000 200,000
Expanded Recycled Water Plant Conversion Project 142,010 142,010
Fiber Optic Communication System Upgrade 113,000 113,000
Fire Station 73 Gym/Garage 304,000 1,480,136 1,784,136
Fire Station 84 Training Room Renovation 666,750 666,750
Flashing Beacons & Speed Advisory Signs 62,000 32,000 32,000 32,000 158,000
Flood Control Channel Reconstruction & Repair 797,427 442,049 77,468 1,316,944
French Valley Parkway/I-15 Improvements - Phase II 454,000 1,971,845 1,865,640 227,000 133,000 4,651,485
French Valley Parkway/I-15 Improvements - Phase III 150,000 150,000
I-15/State Route 79 South Interchange Enhanced
Landscaping 441,350 47,133 446,200 934,683
Library Parking - Phase II 847,342 140,000 987,342
Margarita Recreation Center 1,386,773 727,735 2,114,508
Mary Phillips Senior Center Enhancement And
Renovation 30,000 30,000
Medians & Traffic Calming Improvements - Citywide 231,900 260,000 270,000 761,900
Murrieta Creek Improvements 18,791 35,000 53,791
44
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Old Town Surveillance & Sound System 350,000 150,000 500,000
Overhead Street Name Sign Replacement Program -
Citywide 100,000 100,000
Park Restrooms Renovations, Expansion And
Americans With Disabilities Act (ADA) Improvements 347,800 780,000 1,127,800
Parks Improvement Program 400,000 250,000 250,000 250,000 1,150,000
Pavement Rehabilitation Program - Citywide 2,000,000 2,000,000
Pedestrian Signal Equipment Upgrade - Citywide 38,000 30,000 68,000
Playground Equipment Enhancement & Safety
Surfacing 850,000 1,827,649 500,000 500,000 3,677,649
Ronald H. Roberts Temecula Public Library
Enhancement & Renovation 164,504 164,504
Ronald Reagan Sports Park Restroom Expansion &
Renovation 725,000 395,000 1,120,000
Sam Hicks Monument Park Perimeter Fencing 201,000 201,000
Santa Gertrudis Creek Pedestrian/Bicycle Trail
Extension 821,899 957,709 1,779,608
Santa Gertrudis Creek Phase II - Margarita Under-
Crossing 433,000 382,464 399,300 1,214,764
Sidewalks - Citywide 350,000 450,129 500,000 500,000 1,800,129
Sidewalks - Old Town Boardwalk Enhancement 710,000 164,529 874,529
Sidewalks - Old Town Improvements 400,000 175,000 575,000
Sports Court Resurfacing 100,000 20,257 50,000 50,000 50,000 270,257
Sports Field Lighting - Light Emitting Diode (LED)
Conversion 250,000 280,000 100,000 630,000
Temecula Park & Ride 400,000 400,000
Traffic Signal - Equipment Enhancement Program -
Citywide 100,000 1,250,000 285,000 210,000 150,000 260,000 260,000 2,515,000
45
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Traffic Signal - Installation - Citywide 270,000 375,000 375,000 300,000 1,320,000
Traffic Signal - Park & Ride Access Improvments 50,505 80,444 315,000 445,949
Traffic Signal - System Upgrade 38,000 54,390 92,390
Utility Undergrounding - Citywide 244,375 244,375
Project Funding 21,285,492 14,696,729 4,945,872 2,118,300 1,424,200 3,242,000 7,897,213 55,609,806
Revenue Projection 21,285,492 14,696,729 4,945,872 2,118,300 1,424,200 3,242,000 7,897,213
Available Funding 0 0 0 0 0 0 0
Public Art Fund
Roundabout Improvements On Ynez Road 25,000 25,000
Project Funding 25,000 25,000
Revenue Projection 46,702
Available Funding 21,702 21,702 21,702 21,702 21,702 21,702 21,702
Reimbursements/Other
Butterfield Stage Road Extension 786,995 120,200 907,195
French Valley Parkway/I-15 Improvements - Phase II 6,008,000 6,008,000
I-15/State Route 79 South Ultimate Interchange 1,928,282 695,560 2,623,842
Medians & Traffic Calming Improvements - Citywide 25,000 25,000
Murrieta Creek Improvements 86,449 684,687 771,136
Parks Improvement Program 56,941 56,941
Pavement Rehabilitation Program - Citywide 36,000 36,000
Pechanga Parkway Widening 5,000,000 5,000,000
Ronald Reagan Sports Park Channel Silt Removal 150,620 150,620
Roundabout Improvements On Ynez Road 540,000 540,000
46
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Traffic Signal - Installation - Citywide 246,764 3,236 250,000
Traffic Signal - Park & Ride Access Improvments 500,000 175,000 675,000
Project Funding 15,340,051 1,703,683 17,043,734
Revenue Projection 15,340,051 1,703,683
Available Funding 0 0 0 0 0 0 0
Service Level C - Zone 16
Expanded Recycled Water Plant Conversion Project 21,500 21,500
Project Funding 21,500 21,500
Revenue Projection 21,500
Available Funding 0 0 0 0 0 0 0
Service Level C - Zone 18
Expanded Recycled Water Plant Conversion Project 10,000 10,000
Project Funding 10,000 10,000
Revenue Projection 10,000
Available Funding 0 0 0 0 0 0 0
Service Level C - Zone 20
Expanded Recycled Water Plant Conversion Project 30,803 30,803
Project Funding 30,803 30,803
Revenue Projection 30,803
Available Funding 0 0 0 0 0 0 0
47
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Successor Agency
Abbott Corporation Roadway Improvements 750,000 750,000
Affordable Housing 13,471,940 13,471,940
Project Funding 13,471,940 750,000 14,221,940
Revenue Projection 13,471,940 750,000
Available Funding 13,471,940 13,471,940 0 0 0 0 0
Technology Replacement Fund
Citywide Financial System Upgrade 763,534 763,534
Project Funding 763,534 763,534
Revenue Projection 763,534
Available Funding 0 0 0 0 0 0 0
Transporation Uniform Mitigation Fee (TUMF)
Butterfield Stage Road Extension 1,438,000 1,438,000
Diaz Road Expansion 1,065,923 1,065,923
French Valley Parkway/I-15 Improvements - Phase II 14,265,953 6,283,160 20,549,113
French Valley Parkway/I-15 Improvements - Phase III 8,727,000 227,000 44,348,980 53,302,980
I-15/State Route 79 South Ultimate Interchange 15,234,198 4,643,046 19,877,244
Project Funding 30,938,151 11,992,129 8,727,000 227,000 44,348,980 96,233,260
Revenue Projection 30,938,151 11,992,129 8,727,000 227,000 44,348,980
Available Funding 0 0 0 0 0 0 0
48
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Unspecified Funding
ADA Compliance For Pavement Rehab Program -
West Side Business Park Area
American With Disabilities Act (ADA) Transition Plan
Implementation
Bike Lane And Trail Program - Citywide 269,133 875,425 1,144,558
Bike Lane And Trail Program - Temecula Creek South
Side Trail 863,750 863,750
Cherry Street Extension & Murrieta Creek Low-Flow
Crossing 1,782,700 1,782,700
Flood Control Channel Reconstruction & Repair 4,752,532 4,752,532
French Valley Parkway/I-15 Improvements - Phase II
French Valley Parkway/I-15 Improvements - Phase III 87,215,020 87,215,020
History Museum 304,000 304,000
I-15 Congestion Relief 4,975,000 4,975,000
I-15/State Route 79 South Interchange Enhanced
Landscaping 3,492,667 3,492,667
Murrieta Creek Bridge At Overland
Overland Drive Widening 1,340,400 1,340,400
Public Safety Monument 30,000 30,000
Ynez Road Improvements 3,500,000 3,500,000
Project Funding 17,810,182 875,425 90,715,020 109,400,627
Revenue Projection
Available Funding 0 0 0 0 (17,810,182) (18,685,607) (109,400,627)
49
Funding Source - Project Name
Prior Years
Actuals
2019-20
Amended
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total
Project
Cost
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Funding Source
Total CIP Project Funding 188,924,842 76,420,913 135,502,188 14,721,486 52,695,880 7,532,253 56,088,180 514,075,560
Total CIP Revenue Projection 235,993,034 54,808,755 114,765,969 16,994,262 32,307,036 7,627,942 55,679,955
Total Available Funding 47,068,192 25,456,034 4,719,815 6,992,591 4,413,929 4,509,618 4,101,393
Total Unspecified Funding 0 0 0 0 (17,810,182) (18,685,607) (109,400,627)(109,400,627)
Total Capital Improvement Project Costs 188,924,842 76,420,913 135,502,188 14,721,486 70,506,062 26,217,860 165,488,807 623,476,187
50
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
Funding
Abbott Corporation Roadway
Improvements 750,000 750,000
Butterfield Stage Road Extension 30,440,100 41,104,741
786,995 907,195
1,438,000 1,438,000
32,665,095 43,449,936
Cherry Street Extension &
Murrieta Creek Low-Flow
Crossing 424,300 604,300
1,782,700 1,782,700
424,300 1,782,700 2,387,000
Citywide Buffered Bike Lane
Striping 56,700
132,300
189,000
Diaz Road Expansion 590 590
82,923 3,500,000
1,065,923
83,513 4,566,513
Emergency Vehicle Pre-Emption
Upgrade Program - Citywide 196,455 352,000
Flashing Beacons & Speed
Advisory Signs 81,284 81,284
62,000 32,000 32,000 158,000
143,284 32,000 32,000 239,284
French Valley Parkway/I-15
Improvements - Phase II 1,005,840 1,005,840
75,360 75,360
4,236,174 4,236,174
50,000,000 50,000,000
1,627,914 1,627,914
454,000 1,865,640 227,000 133,000 4,651,485Measure S 1,971,845
INFRA Grant
Measure A
DIF-Street Improvements
General Fund
Total 32,000
CFD 01-02 (Harveston)
DIF-Traffic Signals
Measure S 32,000
Total 1,145,923 3,337,077
DIF-Police Facilities 155,545
Measure S 80,000 3,337,077
TUMF (WRCOG)1,065,923
Total 189,000
DIF-Street Improvements
Assembly Bill 2766 56,700
Senate Bill 621 132,300
Unspecified
Total 180,000
Total 10,784,841
Measure S 180,000
Reimbursements 120,200
TUMF
CIRCULATION PROJECTS
RPTTF-Redevelopment Property Tax Trust Fund
CFD 03-02 (Roripaugh Ranch)10,664,641
Funding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
51
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
6,008,000 6,008,000
931,360 1,602,360
47,600,000 47,600,000
472,841 1,472,509
2,343,000 2,343,000
11,450,112 16,733,604
27,673,241 100,397,000 227,000 133,000 137,356,246
French Valley Parkway/I-15
Improvements - Phase III 30,000 30,000
150,000 150,000
8,727,000 227,000 53,302,980
87,215,020
180,000 8,727,000 227,000 140,698,000
I-15 Congestion Relief 400,000 200,000 1,551,725
1,250,000 1,250,000
4,975,000 4,975,000
400,000 1,450,000 4,975,000 7,776,725
I-15/State Route 79 South
Ultimate Interchange 502,211 502,211
737,700 1,433,260
1,190,582 1,190,582
1,439,840
14,446,520 80,000 80,000 14,606,520
7,450,594 12,976,000
5,352,215 5,400,000
4,452,000 4,452,000
5,429,983 10,025,244
39,561,805 80,000 80,000 52,025,657
Medians & Parkways - Citywide 854,839 894,838
Murrieta Creek Bridge At
Overland 239,638 307,692 2,644,302 4,369,749
2,985,231 17,862,698 21,423,374
239,638 3,292,923 20,507,000 25,793,123Total 1,753,562
DIF-Street Improvements 1,178,117
HBP-Highway Bridge Program 575,445
Total 12,303,852
DIF-Street Improvements 39,999
TUMF (RCTC)
TUMF (WRCOG)4,595,261
STP (RCTC)5,525,406
TUMF (CETAP/RCTC)47,785
SAFETEA-LU 1,439,840
Senate Bill 621
Reimbursements 695,560
Reimbursements/Other
Total 951,725
CFD 03-01 (Crowne Hill)
SHOPP
Unspecified
Total 131,564,000
General Fund 951,725
TUMF (WRCOG)44,348,980
Unspecified 87,215,020
General Fund
Measure S
TUMF (WRCOG)5,283,492
Total 8,926,005
TUMF (CETAP/RCTC)999,668
TUMF (RCTC)
SAFETEA-LU 671,000
STIP-Surface Transportation Improvement
Reimbursements
52
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Nicolas Road Extension &
Improvements 2,346,898 5,053,890
6,585,898 6,585,898
8,932,796 11,639,788
Overhead Street Name Sign
Replacement Program - Citywide 100,000 100,000
Overland Drive Extension
Commerce Center 8,082,475 8,082,475
235,422 235,422
8,317,897 8,317,897
Overland Drive Widening 352,000 350,000 467,000 1,169,000
1,340,400 1,340,400
352,000 350,000 1,807,400 2,509,400
Pavement Rehabilitation
Program - Citywide 1,200,000 1,200,000
5,692,614 5,692,614
16,646,857 470,675 540,714 523,716 505,828 24,877,333
2,000,000 2,000,000
36,000 36,000
1,251,263 2,118,479 1,863,889 1,901,167 1,939,190 14,030,696
26,826,734 2,589,154 2,404,603 2,424,883 2,445,018 47,836,643
Pechanga Parkway Widening 5,000,000 5,000,000
Roundabout Improvements On
Ynez Road 540,000 540,000
210,000 270,000
25,000 25,000
775,000 835,000
Traffic Signal - Equipment
Enhancement Program -
Citywide 519,831 541,788
100,000 285,000 210,000 150,000 260,000 2,515,000
619,831 285,000 210,000 150,000 260,000 3,056,788
Measure S 1,250,000 260,000
Total 1,271,957 260,000
Total 60,000
DIF-Traffic Signals 21,957
DIF-Street Improvements 60,000
Public Art Fund
Pechanga Tribe Contributions
Developer Contribution
RMRA 2,978,734 1,977,974
Total 8,680,243 2,466,008
Measure S
Reimbursements
General Fund
Measure A 5,701,509 488,034
Total
Gas Tax
DIF-Street Improvements
Unspecified
General Fund
Total
Measure S
DIF-Street Improvements
CFD 16-01 (Roripaugh Ranch-Phase II)
Total 2,706,992
CFD 03-02 (Roripaugh Ranch)2,706,992
53
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Traffic Signal - Installation -
Citywide 246,764 250,000
681,015 199,700 1,007,683
375,000 375,000 1,320,000
927,779 574,700 375,000 2,577,683
Traffic Signal - Park & Ride
Access Improvments 175,000
226,725 226,725
50,505 315,000 445,949
500,000 500,000
777,230 315,000 1,347,674
Traffic Signal - System Upgrade 489,510
38,000 92,390
38,000 581,900
Ynez Road Improvements 619,451 1,800,000 3,071,766
3,500,000
619,451 1,800,000 6,571,766
TOTAL CIRCULATION PROJECTS 145,999,792 113,949,950 9,846,526 40,881,983 3,714,018 506,852,861
ADA Compliance For Pavement
Rehab Program - West Side
Business Park Area 313,000 313,000
143,600 143,600
456,600 456,600
American With Disabilities Act
(ADA) Transition Plan
Implementation 23,801 323,660 323,660 323,660 1,618,300
Bike Lane And Trail Program -
Citywide 100,000 100,000 216,955 144,575 943,202
19,857 19,857
369,873 372,177
269,133 875,425 1,144,558
389,730 100,000 100,000 486,088 1,020,000 2,479,794Total 231,657 152,319
DIF-Open Space & Trails 2,304
Unspecified
Assembly Bill 2766 229,353 152,319
Beyond Grant
Total
CDBG 299,859 323,660
INFRASTRUCTURE PROJECTS
CDBG
Measure A
Total 652,315 3,500,000
51,033,507 141,427,085
DIF-Street Improvements 652,315
Unspecified 3,500,000
Measure S 54,390
Total 543,900
Total 255,444
HSIP-Highway Safety Improvement Program 489,510
Measure S 80,444
Settlement Proceeds
Developer Contribution 175,000
General Fund
Measure S 270,000 300,000
Total 400,204 300,000
Developer Contribution 3,236
DIF-Traffic Signals 126,968
54
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Bike Lane And Trail Program -
Mini Pump Track 95,000 95,000
Bike Lane And Trail Program -
Temecula Creek South Side Trail 67,845
250,000
863,750 863,750
863,750 1,181,595
Bike Lane Trail Program - Pump
Track 125,000 37,766 577,766
City Facilities Rehabilitation 250,000 250,000
143,666 300,000 300,000 1,043,666
1,750,000 1,750,000
2,143,666 300,000 300,000 3,043,666
City Facility Security 250,000
Citywide Drainage Master Plan 720,000
Citywide Financial System
Upgrade 613,184
763,534
1,376,718
Citywide Streetlight Acquisition
& Light Emitting Diode (LED)
Retrofit 2,503,311 2,503,311
4,700,000 5,500,000
7,203,311 8,003,311
Citywide Surveillance Cameras 353,151 802,087
430,113 95,000 713,714
748,238 150,000 2,018,585
1,531,502 150,000 95,000 3,534,386Total 1,757,884
DIF-Police Facilities 188,601
Measure S 1,120,347
Total 800,000
DIF-Corporate Facilities 448,936
General Fund
Measure S 800,000
Technology Replacement Fund 763,534
Total 1,376,718
Measure S 720,000
Measure S 613,184
Total 300,000
Measure S 250,000
Facilities Replacement Fund 300,000
General Fund
DIF-Open Space & Trails 415,000
DIF-Corporate Facilities
Unspecified
Total 317,845
Assembly Bill 2766 67,845
Measure S 250,000
DIF-Park & Rec Improvements
55
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Community Recreation Center
(CRC) Renovations 806,048 1,206,048
1,193,952 1,693,952
350,000 2,100,000
2,000,000 350,000 5,000,000
Comprehensive General Plan
Update 800,000 700,000 1,500,000
300,000 200,000 500,000
300,000 1,000,000 700,000 2,000,000
Electric Vehicles Charging Station 47,000 47,000
141,000
47,000 188,000
Expanded Recycled Water Plant
Conversion Project 426,029
55,697
142,010 142,010
21,500
10,000
30,803
142,010 686,039
Fiber Optic Communication
System Upgrade 1,208,200
113,000 113,000
113,000 1,321,200
Fire Station 73 Gym/Garage 1,784,136
Fire Station 84 Training Room
Renovation 666,750 666,750
History Museum 304,000 304,000
I-15/State Route 79 South
Interchange Enhanced
Landscaping 441,350 446,200 934,683
3,492,667 3,492,667
441,350 3,938,867 4,427,350Total 47,133
Measure S 47,133
Unspecified
Measure S
Unspecified
Total 1,208,200
Measure S 304,000 1,480,136
HSIP-Highway Safety Improvement Program 1,208,200
Measure S
Service Level C - Zone 20 30,803
Total 544,029
Service Level C - Zone 16 21,500
Service Level C - Zone 18 10,000
General Fund 55,697
Measure S
Total 141,000
DWR Grant 426,029
Assembly Bill 2766
MSRC-Mobile Source Air Review Committee Grant 141,000
Grants
Total
Total 150,000 2,500,000
General Fund
DIF-Quimby 500,000
Measure S 150,000 1,600,000
DIF-Park & Rec Improvements 400,000
56
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Margarita Recreation Center 6,405,000 6,405,000
137,000
1,386,773 2,114,508
7,791,773 8,656,508
Mary Phillips Senior Center
Enhancement And Renovation 400,000 400,000
30,000 30,000
430,000 430,000
Medians & Traffic Calming
Improvements - Citywide 40,000 40,000
231,900 260,000 270,000 761,900
25,000
271,900 260,000 270,000 826,900
Murrieta Creek Improvements 135,858 135,858
35,000 53,791
86,449 771,136
222,307 35,000 960,785
Old Town Parking Structure 1,000,000 1,000,000
Old Town Surveillance & Sound
System 400,000 400,000
350,000 500,000
750,000 900,000
Pechanga Parkway
Environmental Mitigation 763,964 1,051,007
Pedestrian Signal Equipment
Upgrade - Citywide 908,200
38,000 68,000
38,000 976,200
Public Safety Monument 30,000 30,000Unspecified
Measure S 30,000
Total 938,200
CFD 03-03 (Wolf Creek)287,043
HSIP-Highway Safety Improvement Program 908,200
Measure S 150,000
Total 150,000
General Fund
DIF-Corporate Facilities
Reimbursements 684,687
Total 703,478
General Fund
Measure S 18,791
Reimbursements 25,000
Total 25,000
DIF-Street Improvements
Measure S
Measure S
Total
Total 864,735
CDBG
DIF-Park & Rec Improvements 137,000
Measure S 727,735
Capital Financing
57
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Santa Gertrudis Creek
Pedestrian/Bicycle Trail
Extension 58,683 58,683
223,311 223,311
189,073 389,073
78,920 78,920
821,899 1,779,608
3,759,000
1,371,886 6,288,595
Santa Gertrudis Creek Phase II -
Margarita Under-Crossing 382,464 399,300 1,214,764
1,502,000 1,502,000
382,464 1,901,300 2,716,764
Sidewalks - Citywide 375,000 375,000
350,000 500,000 500,000 1,800,129
725,000 500,000 500,000 2,175,129
Sidewalks - DLR Drive 442,077
Sidewalks - Old Town Boardwalk
Enhancement 212,745 538,036
710,000 874,529
922,745 1,412,565
Sidewalks - Old Town
Improvements 653,492 803,147
140,000 140,000
400,000 575,000
1,193,492 1,518,147
Temecula Elementary School
(TES) Pool Renovation 50,000 135,100
Temecula Park & Ride 1,122,385 1,122,385
729,872 1,908,031
100,000 100,000
1,129,802 1,129,802
400,000 400,000
3,482,059 4,660,218Total 1,178,159
General Fund
Measure S
CMAQ-Congestion Mitigation Air Quality 1,178,159
DIF-Police Facilities
DIF-Park & Rec Improvements 85,100
Assembly Bill 2766
Measure S 175,000
Total 324,655
CDBG 149,655
Measure A
Measure S 164,529
Total 489,820
General Fund 442,077
CDBG 325,291
Measure S 450,129
Total 450,129
Total 433,000
General Fund
Measure S 433,000
Senate Bill 1
Senate Bill 1 3,759,000
Total 4,916,709
General Fund
Measure S 957,709
BTA - Bicycle Transportation Account
DIF-Open Space & Trails 200,000
Assembly Bill 2766
58
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Urban Forest Management Plan 27,300
323,930
351,230
Utility Undergrounding -
Citywide 244,375 244,375
TOTAL INFRASTRUCTURE
PROJECTS 30,904,621 4,546,830 4,124,960 7,011,365 2,943,660 74,490,211
Children's Museum
Enhancement Project 145,090 145,090
400,000 400,000
545,090 545,090
Community Recreation Center
(CRC) Pool Site Enhancement 1,860,000 1,942,034
Community Recreation Center
Splash Pad & Shade Structures 1,000,000 1,100,000
Community Services Master Plan 276,200 276,200
Eagle Soar Splash Pad Control
System Renovation 200,000
Flood Control Channel
Reconstruction & Repair 650,284 650,284
797,427 77,468 1,316,944
4,752,532 4,752,532
1,447,711 77,468 4,752,532 6,719,760
Library Parking - Phase II 1,033,673 2,261,926
50,000 50,000
37,627 37,627
847,342 987,342
1,968,642 3,336,895
Measure S 140,000
Total 1,368,253
DIF-Police Facilities
General Fund
Total 442,049
DIF-Library Facilities 1,228,253
Measure S 442,049
Unspecified
Measure S 200,000
General Fund
Measure S 100,000
Measure S
Total
Measure S 82,034
PARKS/RECREATION PROJECTS
DIF-Park & Rec Improvements
Measure S
Measure S
19,632,660 5,326,115
Grants 323,930
Total 351,230
DIF-Park & Rec Improvements 27,300
59
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Park Restrooms Renovations,
Expansion And Americans With
Disabilities Act (ADA)
Improvements 347,800 1,127,800
Parks Improvement Program 250,000 250,000
1,003,059 1,003,059
400,000 250,000 250,000 1,150,000
56,941 56,941
1,710,000 250,000 250,000 2,460,000
Playground Equipment
Enhancement & Safety Surfacing 1,040,000 1,040,000
200,000 440,000
850,000 500,000 500,000 3,677,649
2,090,000 500,000 500,000 5,157,649
Ronald H. Roberts Temecula
Public Library Enhancement &
Renovation 164,504
Ronald Reagan Sports Park
Channel Silt Removal 461,366 461,366
88,000 88,000
150,620 150,620
699,986 699,986
Ronald Reagan Sports Park
Restroom Expansion &
Renovation 725,000 395,000 1,120,000
Sam Hicks Monument Park
Perimeter Fencing 201,000 201,000
Sports Court Resurfacing 100,000 50,000 50,000 270,257
Sports Field Lighting - Light
Emitting Diode (LED) Conversion 250,000 100,000 630,000
TOTAL PARKS/RECREATION
PROJECTS 12,020,429 823,468 750,000 4,802,532 1,750,000 25,951,175
Measure S 280,000
5,754,746 50,000
Measure S
Measure S 20,257 50,000
Total
Measure S
Proposition 42
Reimbursements
Measure S 164,504
General Fund
Measure S 1,827,649
Total 2,067,649
DIF-Park & Rec Improvements
DIF-Quimby 240,000
Reimbursements
Total 250,000
General Fund
Measure S 250,000
Measure S 780,000
DIF-Quimby
60
Capital Project Name
Prior Years
Actuals
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
Total
Project
FundingFunding Source
2019-20
Amended
2024-25
Projected
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Capital Projects Summary - By Project
Affordable Housing 13,471,940 13,471,940
Vine Creek Affordable Housing
Project 2,710,000 2,710,000
TOTAL SARDA PROJECTS 16,181,940 16,181,940
TOTAL CAPITAL IMPROVEMENT
PROGRAM 188,924,842 135,502,188 14,721,486 52,695,880 8,407,678 623,476,18776,420,913 146,803,200
SARDA PROJECTS
RDA Bond Proceeds
Affordable Housing
61
Capital Project Operating Budget Account Description
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
155 - PARK RESTROOMS RENOVATIONS,
EXPANSION AND AMERICANS WITH DISABILITIES
ACT (ADA) IMPROVEMENTS 5250 - OTHER OUTSIDE SERVICES Janitorial Services 25,500 26,010 26,530 27,061
688 - CITYWIDE STREETLIGHT ACQUISITION &
LIGHT EMITTING DIODE (LED) RETROFIT 5319 - STREET LIGHTING Electricity Savings (618,000) (636,540) (655,636) (675,305)
690 - I-15/STATE ROUTE 79 SOUTH INTERCHANGE
ENHANCED LANDSCAPING 5415 - LANDSCAPE MAINTENANCE Required by Caltrans 52,000 54,080 56,240 58,490
692 - MARGARITA RECREATION CENTER
5100 - SALARIES & WAGES Staffing for MRC (2 positions)200,000 205,000 210,000 215,000
5240 - UTILITIES Additional Utility Costs 55,000 55,000 55,000 55,000
5250 - OTHER OUTSIDE SERVICES Janitorial/Security 50,000 50,000 50,000 50,000
5378 - CONTRACTED CLASSES Contract Classes 140,900 152,277 164,145 176,520
5418 - POOL MAINTENANCE Swimming Pool maintenance 100,000 100,000 100,000 100,000
711 - CITYWIDE SURVEILLANCE CAMERAS 5250 - OTHER OUTSIDE SERVICES
Maintenance and Operations for
Surveillance System 300,000 300,000 300,000 300,000
724 - CITYWIDE FINANCIAL SYSTEM UPGRADE 5211 - SOFTWARE & MAINTENANCE Annual Software Maintenance 66,934 66,934 66,934 66,934
780 - OLD TOWN SURVEILLANCE & SOUND
SYSTEM 5215 - REPAIR & MAINTENANCE - EQUIPMENT
Maintenance fees for Old Town
Sound System - - 36,000 36,000
Total Incremental Operating &
Maintenance Impacts 372,334 372,761 409,213 409,700
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
Summary of Operating & Maintenance Impacts
Incremental Operating impacts have been reflected in the City's General Fund 5-Year Financial Forecast.
62
CIRCULATION PROJECTS
Table of Contents
Circulation Projects Location Map…………………………………………………………………………………………………..64
Butterfield Stage Road Extension ......................................................................................................... 65
Cherry Street Extension & Murrieta Creek Low‐Flow Crossing ............................................................ 66
Citywide Buffered Bike Lane Striping ………………………………………………………………..…………………………….67
Diaz Road Expansion ............................................................................................................................. 68
Emergency Vehicle Pre‐Emption Upgrade Program – Citywide ........................................................... 69
Flashing Beacons and Speed Advisory Signs ......................................................................................... 70
French Valley Parkway / Interstate 15 Improvements – Phase II ......................................................... 71
French Valley Parkway / Interstate 15 Improvements – Phase III ........................................................ 73
Interstate 15 Congestion Relief ............................................................................................................ 74
Interstate 15 / State Route 79 South Ultimate Interchange ................................................................. 75
Medians and Parkways – Citywide ....................................................................................................... 77
Motor Car Parkway Improvements………………………………………………………………………………………………….78
Murrieta Creek Bridge at Overland Drive ............................................................................................. 79
Nicolas Road Extension & Improvements ............................................................................................. 80
Overhead Street Name Sign Replacement Program ‐ Citywide ............................................................ 81
Overland Drive Extension Commerce Center…………………………………………………………………………………..82
Overland Drive Widening………………………………………………………………………………………………………………..83
Pavement Rehabilitation Program ‐ Citywide ....................................................................................... 84
Pechanga Parkway Widening ................................................................................................................ 86
Roundabout Improvements on Ynez Road……………………………………………………………………………………...87
Traffic Signal Equipment Enhancement Program – Citywide ............................................................... 88
Traffic Signal Installation – Citywide ..................................................................................................... 89
Traffic Signal – Park & Ride Access Improvements ............................................................................... 91
Traffic Signal System Upgrade .............................................................................................................. 92
Ynez Road Improvements ..................................................................................................................... 93
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
63
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""
""""
""
""
""
""
""
""
""
""
""""
""
2
1
4
56
8
9
10
13
15
16
3
7
1112
14
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""
""""
""
""
""
""
""
""
""
""
""""
""
2
1
4
56
8
9
10
13
15
16
3
7
1112
14
!"#$15
!"#$15
Circulation Projects
City of TemeculaFiscal Years 2021-25Capital Improvement Program
Map Number Description1 Motor Car Parkway Improvements2 Butterfield Stage Road Extension3 Cherry Street Extension and Murrieta Creek Low Flow Crossing4 Diaz Road Expansion5 French Valley Interchange Phase II6 French Valley Interchange Phase III7 I-15 Congestion Relief8 Interstate-15/State Route 79 South Ultimate Interchange
Map Number Description9 Murrieta Creek Bridge at Overland Drive10 Nicolas Road Extension and Improvements11 Overland Drive Extension Commerce Center12 Overland Drive Widening13 Pechanga Parkway Widening14 Roundabout Improvements on Ynez Road15 Traffic Signal - Park and Ride Access Improvements16 Ynez Road Improvements64
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 2,447,331 206,731 2,654,062
Construction 13,137,631 9,480,698 22,618,329
Construction Engineering 548,283 704,694 1,252,977
Design & Environmental 793,906 94,998 888,904
Land Acquisition 15,006,728 1,027,936 16,034,664
Utilities 203 797 1,000
Total Expenditures 31,934,082 11,515,854 -----43,449,936
Source of Funds:
CFD 03-02 (Roripaugh Ranch) 30,440,100 10,664,641 41,104,741
Reimbursements 786,995 120,200 907,195
TUMF 1,438,000 1,438,000
Total Funding 32,665,095 10,784,841 -----43,449,936
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the complete design and
construction of four lanes on Butterfield Stage Road (from Rancho California
Road to Murrieta Hot Springs Road), four lanes on Murrieta Hot Springs Road
(from Butterfield Stage Road to the City limits), and two lanes on Calle
Chapos (from Butterfield Stage Road to Walcott Road), totaling
approximately 3.2 miles of road.
Benefit: This project improves traffic circulation by providing a crucial north
and south arterial road on the eastern side of the City.
Core Value: Transportation Mobility and Connectivity
Project Status: Phase I and Phase II of this project (Murrieta Hot Springs
Road to La Serena) have been completed. Phase III (La Serena to Rancho
California Road) is scheduled to be completed during Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.723 / PW15-11
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
BUTTERFIELD STAGE ROAD EXTENSION
Circulation Project
65
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 50,000 50,000 238,000 338,000
Construction 1,387,000 1,387,000
Construction Engineering 88,300 88,300
Design & Environmental 130,000 374,300 504,300
MSHCP 69,400 69,400
Total Expenditures - 180,000 424,300 -1,782,700 --2,387,000
Source of Funds:
Measure S 180,000 424,300 604,300
Unspecified 1,782,700 1,782,700
Total Funding - 180,000 424,300 -1,782,700 --2,387,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design and construction of the
extension of Cherry Street from Adams Avenue to Diaz Road, including a new
low-flow crossing of Murrieta Creek at the northerly City limits. This project
also includes environmental studies and permits, Encroachment Permit from
Riverside County Flood Control and potential for mitigation.
Benefit: This project improves traffic circulation and access to from and to
the northerly industrial area west of Murrieta Creek.
Core Value: Transportation Mobility and Connectivity
Project Status: Based on funding availability, the construction will begin after
design is complete
Department: Public Works - Account No. 210.265.999.524 / PW19-15
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CHERRY STREET EXTENSION & MURRIETA CREEK LOW-FLOW CROSSING
Circulation Project
66
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 35,000 35,000
Construction 154,000 154,000
Total Expenditures - 189,000 -----189,000
Source of Funds:
Assembly Bill 2766 56,700 56,700
Senate Bill 621 132,300 132,300
Total Funding - 189,000 -----189,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The Citywide Buffered Bike Lane striping project
includes the installation of buffered bike lines and green thermoplastic bike
legends along various streets and roads throughout the City.
Benefit: This project will support the overall goals and objectives, as part of
the City's Multi-Use Trails and Bikeways Master Plan, and expand the City's
bicycle trail network.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is estimated to be complete by Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.526 / PW19-21
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITYWIDE BUFFERED BIKE LANE STRIPING
Circulation Project
67
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 7,563 155,950 208,000 371,513
Construction 2,589,077 2,589,077
Construction Engineering 385,000 385,000
Design & Environmental 1,749 1,064,174 1,065,923
MSHCP 155,000 155,000
Total Expenditures 9,312 1,220,124 ----3,337,077 4,566,513
Source of Funds:
DIF-Street Improvements 590 590
Measure S 82,923 80,000 3,337,077 3,500,000
TUMF (WRCOG)1,065,923 1,065,923
Total Funding 83,513 1,145,923 ----3,337,077 4,566,513
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) TUMF Zone funding is pursuant to approval of the Public Works Committee to program PAED and ENG to Diaz Road (designated Western
Bypass). After the approval of the WRCOG Executive Committee, an agreement between the City and WRCOG will need to be executed. After the
PAED and ENG phases are complete, City will request that any unused funds be reprogrammed to the CON phase.
Project Description: Converts Diaz Road into a Major Arterial (4 Lanes
Divided) classification, between Cherry Street and Rancho California Road.
Improvements will be added to Diaz Road on its current alignment as shown
in the Roadway Plan of the General Plan's Circulation Element. This project
includes the design, environmental clearance, right of way acquisition, and
construction necessary to complete the 2.2 mile segment.
Benefit: This project improves traffic circulation by expanding an important
north-south arterial on the west side of the City and completes a portion of
the designated Western Bypass.
Core Value: Transportation Mobility and Connectivity
Project Status: This project design is estimated to be complete by Fiscal Year
2019-20, and construction will commence when funding is available.
Department: Public Works - Account No. 210.265.999.521 / PW17-25
Level: III
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
DIAZ ROAD EXPANSION
Circulation Project
68
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 12,000 12,000
Construction 143,545 143,545
Equipment 196,455 196,455
Total Expenditures 196,455 155,545 -----352,000
Source of Funds:
DIF-Police Facilities 196,455 155,545 352,000
Total Funding 196,455 155,545 -----352,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the enhancement and upgrade of
emergency vehicle pre-emption equipment at twenty (20) signalized
intersections Citywide. The project includes upgrade of pre-emption optical
detectors, wiring, and optical processor cards. The requested appropriation
for Fiscal Year 2019-20 is for upgrading the gate on Kahwea Road to include
pre-emption equipment to allow emergency vehicle access.
Benefit: This project enhances traffic safety and supports the long-term
maintenance and rehabilitation of City assets and infrastructure.
Core Value: A Safe and Prepared Community
Project Status: A priority list of project locations has been developed, and
the project is anticipated to be completed in 2020. The Kahwea Road gate
upgrade will be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.522 / PW17-08
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
EMERGENCY VEHICLE PRE-EMPTION UPGRADE PROGRAM - CITYWIDE
Circulation Project
69
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 3,000 1,000 1,000 5,000
Construction 127,864 41,420 30,000 30,000 229,284
Design & Environmental 3,000 1,000 1,000 5,000
Total Expenditures 127,864 47,420 - 32,000 - 32,000 -239,284
Source of Funds:
DIF-Traffic Signals 81,284 81,284
Measure S 62,000 32,000 32,000 32,000 158,000
Total Funding 143,284 32,000 - 32,000 - 32,000 -239,284
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project maintains the City’s Neighborhood Traffic
Calming Program, School Area Safety, and Arterial Traffic Calming by
installing flashing beacons, rectangular rapid flashing beacons (RRFB) and
speed advisory signs to advise motorists of the school zone, crosswalks and
speed limits. This project includes solar powered panels, programmable
timers, chargeable batteries, aluminum poles, and pull boxes.
Benefit: This project improves traffic safety on roadways, neighborhoods,
and school zones.
Core Value: A Safe and Prepared Community
Project Status: The installation of flashing beacons and LED speed limit
display signs is ongoing.
Department: Public Works - Account No. 210.265.999.670
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FLASHING BEACONS & SPEED ADVISORY SIGNS
Circulation Project
70
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 2,404,908 281,891 227,000 227,000 133,000 3,273,799
Construction 671,000 88,950,000 89,621,000
Construction Engineering 10,230,000 10,230,000
Design & Environmental 16,464,225 2,238,978 18,703,203
Land Acquisition 9,393,251 5,143,000 990,000 15,526,251
Utilities 1,993 1,993
Total Expenditures 28,264,377 8,334,869 100,397,000 227,000 133,000 --137,356,246
Source of Funds:
CFD 01-02 (Harveston) 1,005,840 1,005,840
DIF-Street Improvements 75,360 75,360
General Fund 4,236,174 4,236,174
INFRA Grant 50,000,000 50,000,000
Measure A 1,627,914 1,627,914
Measure S 454,000 1,971,845 1,865,640 227,000 133,000 4,651,485
Reimbursements 6,008,000 6,008,000
SAFETEA-LU 671,000 931,360 1,602,360
STIP-Surface Transportation
Improvement Program
47,600,000 47,600,000
TUMF (CETAP/RCTC) 472,841 999,668 1,472,509
TUMF (RCTC)2,343,000 2,343,000
TUMF (WRCOG)11,450,112 5,283,492 16,733,604
Total Funding 27,673,241 8,926,005 100,397,000 227,000 133,000 --137,356,246
Project Description: This project includes the design and construction of the
two lane northbound collector/distributer road system beginning north of
the Winchester Road Interchange on-ramps and ending just north of the
I-15/I-215 junction with connectors to I-15 and I-215.
Benefit: This project will address and improve traffic circulation in the City’s
northern area by providing the northbound collector/distributer road
system.
Core Value: Transportation Mobility and Connectivity
Project Status: The environmental re-evaluation and design are estimated to
be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.726 / PW16-01
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FRENCH VALLEY PARKWAY/I-15 IMPROVEMENTS - PHASE II
Circulation Project
71
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) General Fund Includes Required Contribution match for TUMF (CETAP/RCTC) funds.
2. (2) State Transportation Improvement Program-2014 RCTC Call for projects as approved by the Commission on November 13, 2013
($10,000,000).
3. (3) TUMF (RCTC)- Regional funding is pursuant to RCTC Agreement No. 06-72-048-00 for a total of $7,517,000 ($5,517,000-ROW; $2,000,000-
PS&E). $200,000 City Match, Phase I expended $3,174,000-ROW; $2,000,000 PS&E; $200,000 City Match. Phase II expended $2,343,000 ROW.
4. (4) TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 06-SW-TEM-1079 for a total of $11,575,000 reduced to
$11,451,875 ($975,752-PA&ED; $8,801,875-PS&E; $1,674,248-ROW) for Phase I and Phase II.
5. (5) TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $4,078,000 reduced to $4,043,000
($108,724 PA&ED;3,934,296 PS&E) for Phase I and Phase II.
6. (6) TUMF (WRCOG) - TUMF Zone Funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $1,925,000-ROW. No expenditures for
Phase I.
7. (7) TUMF (CETAP/RCTC) - Funding is pursuant to the RCTC Agreement No. 17-73-007-00 in the amount of $1,472,509 ($673,562 ROW; $798,947
DESIGN; $106,603 City Match).
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FRENCH VALLEY PARKWAY/I-15 IMPROVEMENTS - PHASE II
Circulation Project
72
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 2,464 97,536 227,000 227,000 874,000 1,428,000
Caltrans Oversight 17,250,000 17,250,000
Construction 102,500,000 102,500,000
Construction Engineering 2,050,000 2,050,000
Design & Environmental 8,500,000 8,500,000
Land Acquisition 30,000 50,000 8,890,000 8,970,000
Total Expenditures 32,464 147,536 --8,727,000 227,000 131,564,000 140,698,000
Source of Funds:
General Fund 30,000 30,000
Measure S 150,000 150,000
TUMF (WRCOG)8,727,000 227,000 44,348,980 53,302,980
Unspecified 87,215,020 87,215,020
Total Funding 180,000 ---8,727,000 227,000 131,564,000 140,698,000
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) TUMF (WRCOG) - TUMF Zone Funding is eligible for construction of Winchester Interchange pursuant to 2009 Nexus-$9,822,980.00
2. (2) TUMF (WRCOG) - TUMF Zone Funding is eligible for construction of French Valley Interchange pursuant to 2009 Nexus-$43,480,000.00.
Project Description: This project includes the design and construction of the
French Valley Parkway Interchange and the southbound collector/distributor
road system.
Benefit: This project will address and improve traffic circulation in the City’s
northern area by providing a full service interchange with on and off ramps
in both directions.
Core Value: Transportation Mobility and Connectivity
Project Status: Based on funding availability, the design will begin once
construction is complete for Phase II of the project.
Department: Public Works - Account No. 210.265.999.728 / PW19-03
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FRENCH VALLEY PARKWAY/I-15 IMPROVEMENTS - PHASE III
Circulation Project
73
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 20,456 229,029 200,000 100,000 549,485
Construction 775,000 4,875,000 5,650,000
Construction Engineering 475,000 475,000
Design & Environmental 515 1,101,725 1,102,240
Total Expenditures 20,971 1,330,754 - 1,450,000 4,975,000 --7,776,725
Source of Funds:
General Fund 400,000 951,725 200,000 1,551,725
SHOPP 1,250,000 1,250,000
Unspecified 4,975,000 4,975,000
Total Funding 400,000 951,725 - 1,450,000 4,975,000 --7,776,725
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) SHOPP - State Highway Operation and Protection Program and Minor Program
Project Description: This project includes the design and construction of a
single auxiliary lane, northbound Interstate 15 (I-15) connecting the
Temecula Parkway on-ramp to the Rancho California Road off-ramp.
Benefit: This project provides an operational improvement to relieve
congestion on northbound I-15. It represents one of several operational
improvements identified by the Move I-15 Regional Task Force to address
congestion on I-15.
Core Value: Transportation Mobility and Connectivity
Project Status: Project development is set to commence in Fiscal Year 2019-
20.
Department: Public Works - Account No. 210.265.999.609 / PW19-02
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
I-15 CONGESTION RELIEF
Circulation Project
74
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 1,411,289 223,242 80,000 80,000 1,794,531
Construction 25,983,150 2,525,042 28,508,192
Construction Engineering 3,898,603 402,675 4,301,278
Design & Environmental 4,107,505 120,422 4,227,927
Land Acquisition 13,032,881 150,847 13,183,728
Utilities 1,842 8,158 10,000
Total Expenditures 48,435,271 3,430,386 80,000 80,000 ---52,025,657
Source of Funds:
CFD 03-01 (Crowne Hill)502,211 502,211
Reimbursements 737,700 695,560 1,433,260
Reimbursements/Other 1,190,582 1,190,582
SAFETEA-LU 1,439,840 1,439,840
Senate Bill 621 14,446,520 80,000 80,000 14,606,520
STP (RCTC)7,450,594 5,525,406 12,976,000
TUMF (CETAP/RCTC)5,352,215 47,785 5,400,000
TUMF (RCTC)4,452,000 4,452,000
TUMF (WRCOG)5,429,983 4,595,261 10,025,244
Total Funding 39,561,805 12,303,852 80,000 80,000 ---52,025,657
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the construction of a ramp system
improving access to Interstate 15 from State Route 79 South, to
accommodate traffic generated by future development anticipated in the
City’s General Plan as well as regional traffic volume forecasted through
2037.
Benefit: This project will improve circulation and freeway access at the
Interstate 15 and State Route 79 South intersection.
Core Value: Transportation Mobility and Connectivity
Project Status: Construction, including the plant establishment period, was
completed in April 2020. Upon acceptance by Caltrans, the City will maintain
the landscaping for a period of 3 years.
Department: Public Works - Account No. 210.265.999.662 / PW04-08
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
I-15/STATE ROUTE 79 SOUTH ULTIMATE INTERCHANGE
Circulation Project
75
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Notes :
1. (1) SAFETEA-LU - Funding is pursuant to Authorization/Agreement Summary (E-76) (63.51% of Federal Participating Costs, up to $1,439,840)
2. (2) STP (RCTC) - Funding is pursuant to Authorization/Agreement Summary (E-76)(63.51% of Federal Participating Costs, up to $12,976,000)
3. (3) TUMF (RCTC/Region) - Funding is pursuant to RCTC Agreement No. 06-72-506 ($4,452,000 Total)
4. (4) TUMF (RCTC/CETAP) - Funding is pursuant to RCTC Agreement No. 11-72-041-00 ($5,400,000 Total;$1,400,000 ROW;$4,000,000 CON).
5. (5) TUMF (WRCOG) - Funding is pursuant to WRCOG Agreement 13-SW-TEM-1163($10,025,244 CON)
6. (6) Pursuant to RCWD UA 23316 - RCWD shall reimburse City for actual costs of Additive Bid No. 01 ($280,560)
7. (7) Pursuant to EMWD UA 23317 - EMWD shall reimburse City for actual costs of Additive Bid No. 02 ($415,000)
8. (8) Revenues collected on Lease Agreement with Front Street - Service Station, LP dated September 11, 2013 (est. $740,000)
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
I-15/STATE ROUTE 79 SOUTH ULTIMATE INTERCHANGE
Circulation Project
76
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 666,838 228,000 894,838
Total Expenditures 666,838 228,000 -----894,838
Source of Funds:
DIF-Street Improvements 854,839 39,999 894,838
Total Funding 854,839 39,999 -----894,838
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: Pursuant to Conditions of Approval, this project
completes the missing portions of the raised landscaped median island on (a)
Rancho California Road between Moraga Road to Lyndie Lane ($188,000),
and (b) Ynez Road from Date Street to the City boundary ($100,000).
Benefit: This project improves traffic circulation by elimination potential
conflicts between left turn movements and through traffic on circulation
element streets with a classification of major arterial or higher.
Core Value: Transportation Mobility and Connectivity
Project Status: This project will reimburse developers for eligible
improvements upon project completion.
Department: Public Works - Account No. 210.265.999.622
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MEDIANS & PARKWAYS - CITYWIDE
Circulation Project
77
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 750,000 750,000
Total Expenditures ---750,000 750,000
Source of Funds:
RPTTF-Redevelopment Property
Tax Trust Fund
750,000 750,000
Total Funding ---750,000 750,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design and construction of
roadway improvements on Motor Car Parkway, Ynez Road, Margarita Road,
and Solana Way. This project was previously required as part of the Owner
Participation Agreement (OPA) with Abbott Corporation, however in 2018
Abbott sold the subject property to Mt. San Jacinto Community College, who
assumed interest in the OPA requiring the road improvements.
Benefit: This project improves traffic circulation on Motor Car Parkway, Ynez
Road, Margarita Road, and Solana Way.
Core Value: Transportation Mobility and Connectivity
Project Status: This project has not yet started.
Department: Public Works - Account No. 210.265.999.620
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MOTOR CAR PARKWAY IMPROVEMENTS
Circulation Project
78
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 69,279 170,721 30,000 270,000
Construction 18,337,000 18,337,000
Construction Engineering 2,140,000 2,140,000
Design & Environmental 83,709 780,350 824,214 1,688,273
Land Acquisition 150,000 2,291,000 2,441,000
MSHCP 739,140 177,709 916,849
Total Expenditures 152,989 1,840,211 - 3,292,923 20,507,000 --25,793,123
Source of Funds:
DIF-Street Improvements 239,638 1,178,117 307,692 2,644,302 4,369,749
HBP-Highway Bridge Program 575,445 2,985,231 17,862,698 21,423,374
Total Funding 239,638 1,753,562 - 3,292,923 20,507,000 --25,793,123
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Highway Bridge Program (HBP) Funding is 88.53% HBP and 11.47% City Matching Funds.
Project Description: This project includes the design and construction of a
new bridge crossing over Murrieta Creek between Rancho California Road
and Winchester Road. This project also includes environmental studies,
mitigation, acquisition of right-of-way, and installation of new traffic signals
at Overland Drive intersections with Diaz Road and Enterprise Circle West
and Commerce.
Benefit: This project improves traffic circulation and access to Overland Drive
freeway over-crossing.
Core Value: Transportation Mobility and Connectivity
Project Status: This project is currently in design and is partially funded by
the Federal Highway Bridge Program (HBP). During design phase staff will
continue seeking additional programming and allocation of more HBP funds
for the project.
Department: Public Works - Account No. 210.265.999.648 / PW16-05
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MURRIETA CREEK BRIDGE AT OVERLAND
Circulation Project
79
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 581,989 581,989
Construction 8,700,000 8,700,000
Construction Engineering 232,796 232,796
Design & Environmental 250,003 250,003
Land Acquisition 1,440,000 1,440,000
MSHCP 435,000 435,000
Total Expenditures - 2,706,992 8,932,796 ----11,639,788
Source of Funds:
CFD 03-02 (Roripaugh Ranch) 2,706,992 2,346,898 5,053,890
CFD 16-01 (Roripaugh Ranch-
Phase II)
6,585,898 6,585,898
Total Funding - 2,706,992 8,932,796 ----11,639,788
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, environmental
documents and permits, construction, improvements and extension of
Nicolas Road from Roripaugh Ranch Phase II westerly boundary to Calle
Girasol/Liefer Road. The improvements include approximately 4,000 LF road
improvements and culvert crossing at Santa Gertrudis Creek. The developer
of the Roripaugh Ranch will take the lead in completing the design and the
environment document while the City will take the lead in the construction
Phase.
Benefit: This project improves traffic circulation on the eastern side of the
City.
Core Value: Transportation Mobility and Connectivity
Project Status: The design is almost complete and the environmental
document and permits are being processed. Construction process is
anticipated to begin in Fiscal Year 2020-21.
Department: Public Works - Account No. 210.265.999.604
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
NICOLAS ROAD EXTENSION & IMPROVEMENTS
Circulation Project
80
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 20,000 20,000
Furnishings & Equipment 80,000 80,000
Total Expenditures - 100,000 -----100,000
Source of Funds:
Measure S 100,000 100,000
Total Funding 100,000 ------100,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the conversion of existing
Internally Illuminated Street Name Signs (IISNS) from fluorescent tubes to a
Reflective Non- Illuminated Street Name Sign panel including sign brackets
and removal of electrical service wiring.
Benefit: This project eliminates energy consumption and costs associated
with illuminated Street Name Signs and supports the long-term maintenance
and rehabilitation of City assets and infrastructure.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is estimated to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.603 / PW20-01
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
OVERHEAD STREET NAME SIGN REPLACEMENT PROGRAM - CITYWIDE
Circulation Project
81
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 771,966 7,185 779,151
Construction 1,018,608 305,935 1,324,543
Construction Engineering 31,034 22,697 53,731
Design & Environmental 690,916 50,298 741,214
Land Acquisition 5,049,894 305,417 5,355,311
MSHCP 21,968 21,968
Utilities 30,121 11,858 41,979
Total Expenditures 7,614,507 703,390 -----8,317,897
Source of Funds:
DIF-Street Improvements 8,082,475 8,082,475
General Fund 235,422 235,422
Total Funding 8,317,897 ------8,317,897
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design and construction of the
extension of Overland Drive from Commerce Center Drive to Murrieta Creek,
just west of Enterprise Circle West. This project also includes environmental
studies, acquisition of right-of-way, new road improvements and installation
of new traffic signals at Overland Drive intersections with Commerce Center
Drive.
Benefit: This project improves traffic circulation and access to Overland Drive
freeway over-crossing.
Core Value: Transportation Mobility and Connectivity
Project Status: Construction is complete. The City Council accepted the
improvements on December 10, 2019. The remaining budget is for
anticipated right of way settlements.
Department: Public Works - Account No. 210.265.999.602 / PW16-06
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
OVERLAND DRIVE EXTENSION COMMERCE CENTER
Circulation Project
82
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 67,000 50,000 84,000 201,000
Construction 1,340,400 1,340,400
Construction Engineering 67,000 67,000
Design & Environmental 195,000 195,000
Land Acquisition 90,000 300,000 276,000 666,000
MSHCP 40,000 40,000
Total Expenditures --352,000 350,000 1,807,400 --2,509,400
Source of Funds:
DIF-Street Improvements 352,000 350,000 467,000 1,169,000
Unspecified 1,340,400 1,340,400
Total Funding --352,000 350,000 1,807,400 --2,509,400
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, environmental
document, and construction for the widening of Overland Drive from
Jefferson Avenue to Commerce Center Drive. The project also include right of
way acquisition.
Benefit: This project improves traffic circulation by eliminating the
bottleneck of Overland Drive and create a continuous improved Overland
Drive corridor from Margarita Road to Enterprise Circle West. Also, this
project will facilitate meeting the traffic mitigation requirements for the
Murriet Creek Bridge at Overland Drive project.
Core Value: Transportation Mobility and Connectivity
Project Status: This is a new project.
Department: Public Works - Account No. 210.265.999.783
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
OVERLAND DRIVE WIDENING
Circulation Project
83
Street and Limits
Useful
Life(Years)
Anticipated Year of
Construction/Estimated
Project Cost Funding Source
Prior Years Actual Expenditures $26,826,734
De Portola Road - Jedidiah Smith Road to Margarita Road (10-20)2019-20
Rancho California Road (Humber Drive to Margarita Rd)(10-20)
Westside Business Park (10-20)
Entire lengths of Avenida Alvarado/ Rio Nedo/ Aqua Vista
Way/ Tierra Alta Way/ Zevo Drive/Business Park Drive Loop/
Via Dos Picos/ Del Rio Road/ Las Haciendas Street/ Calle
Cortez/ Enterprise Circle North and Via Montezuma (Jefferson
to Del Rio Road)(10-20)
Winchester Road (Nicolas Rd to Eastern City Limits)(10-20)
Ynez Road (Winchester Road to County Center Drive)(10-20)$2,978,734 RMRA ( 1 )
Entire lengths of County Center Drive and Equity Drive (10-20)$5,701,509 Measure A
Butterfield Stage Road (Pauba Rd to Rancho California Rd)(10-20)$8,680,243
Old Town Front Street (Moreno to Temecula Parkway)(10-20)2020-21
Pauba Road (Margarita Rd to Via Rami)(10-20)
Nicolas Road (Winchester Rd to North General Kearny Rd)(10-20)
Santiago Road (I-15 to Ynez Rd)(10-20)$2,118,479 RMRA ( 1 )
Winchester Road (Jefferson to Diaz Road)(10-20)$470,675 Measure A
Enterprise Circle North (Winchester Rd to Winchester Rd)(10-20)$2,589,154
Pauba Road (Meadows Pkwy to Butterfield Stage Rd)(10-20)2021-22
Meadows Parkway (Pauba Rd to Rancho California Rd)(10-20)
Solana Way (Ynez Rd to Margarita Rd) (10-20)$1,863,889 RMRA ( 1 )
Ynez Road (Rancho California Rd to Solana Way)(10-20)$540,714 Measure A
Jedidiah Smith Road (Temecula Pkwy to Margarita Rd)(10-20)$2,404,603
Winchester Road (Dendy Pkwy to Diaz Rd)(10-20)2022-23
Dendy Parkway (Winchester Rd to Diaz Rd)(10-20)
Diaz Road (Rio Nedo to Winchester Rd)(10-20)
N General Kearny Road (Margarita Rd to Calle Pina Colada)(10-20)
Margarita Road (Solana Way to Date St)(10-20)
Rancho Vista Road (Ynez Rd to Margarita Rd)/(10-20) $1,901,167
RMRA ( 1 )
Ynez Road (Pauba Rd to Rancho California Rd)(10-20)$523,716 Measure A
Ridge Park Drive (Rancho California Rd to Vincent Moraga Drive (10-20)$2,424,883
Ridge Park Drive (Rancho California Rd to Vincent Moraga Drive (10-20)2023-24
Vincent Moraga Drive (Rancho California Rd to Ridge Park Driv (10-20)
Old Town Front Street (Moreno Rd to Rancho California Rd)(10-20)
Butterfield Stage Road (Temecula Pkwy to Pauba Rd)(10-20)
De Portola Road (Margarita Rd to Butterfield Stage Rd)(10-20)
Moraga Road (Rancho California Rd to Margarita Rd)(10-20)$1,939,190 RMRA ( 1 )
Ynez Road (Equity Drive to City Limit)(10-20)$505,828 Measure A
La Paz Street (Temecula Pkwy to Ynez Rd)(10-20)$2,445,018
Meadows Parkway (Temecula Pkwy to Pauba Rd)(10-20)2024-25
Pauba Road (Ynez Rd to Margarita Rd)(10-20)
Rainbow Canyon Road (Pechanga Pkwy to City Limit)(10-20)$1,977,974 RMRA ( 1 )
Deer Hollow Way (Pechanga Pkwy to Peppercorn Drive)(10-20)$488,034 Measure A
Nicolas Road (North General Kearny Rd to Joseph Rd)(10-20)$2,466,008
Total $47,836,643
(1) Road Repair and Accountability Act of 2017 (SB1) - Road Maintenance and Rehabilitation Account (RMRA)
* For Fiscal Year 2019-20 and beyond, the list of Streets are subject to change based on the updated Pavement Management Program.
PAVEMENT REHABILITATION PROGRAM - CITYWIDE
Circulation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
84
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 2,574,251 1,601,669 531,089 659,259 668,205 662,724 682,098 7,379,295
Construction 20,054,090 8,612,926 1,529,526 1,366,410 1,373,475 1,404,571 1,398,633 35,739,631
Construction Engineering 327,929 1,038,070 528,539 378,934 383,203 377,723 385,277 3,419,675
Design & Environmental 789,099 508,943 1,298,042
Total Expenditures 23,745,369 11,761,608 2,589,154 2,404,603 2,424,883 2,445,018 2,466,008 47,836,643
Source of Funds:
Gas Tax 1,200,000 1,200,000
General Fund 5,692,614 5,692,614
Measure A 16,646,857 5,701,509 470,675 540,714 523,716 505,828 488,034 24,877,333
Measure S 2,000,000 2,000,000
Reimbursements 36,000 36,000
RMRA 1,251,263 2,978,734 2,118,479 1,863,889 1,901,167 1,939,190 1,977,974 14,030,696
Total Funding 26,826,734 8,680,243 2,589,154 2,404,603 2,424,883 2,445,018 2,466,008 47,836,643
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Road Repair and Accountability Act (RMRA)
Project Description: This project includes the environmental processing,
design, construction of pavement rehabilitation, and reconstruction of major
streets as recommended in the Pavement Management Program update.
Benefit: This project improves pavement conditions so that the
transportation needs of the public, business industry, and government can
be met.
Core Value: Transportation Mobility and Connectivity
Project Status: A priority list of rehabilitation projects from the Pavement
Management Program is used to determine the projects to be undertaken.
Construction is completed annually based on the allocated funds.
Department: Public Works - Account No. 210.265.999.655
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PAVEMENT REHABILITATION PROGRAM - CITYWIDE
Circulation Project
85
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 541,770 84,996 626,766
Construction 693,066 2,859,414 3,552,480
Construction Engineering 87,270 265,730 353,000
Design & Environmental 383,320 4,434 387,754
MSHCP 79,900 100 80,000
Total Expenditures 1,785,326 3,214,674 -----5,000,000
Source of Funds:
Pechanga Tribe Contributions 5,000,000 5,000,000
Total Funding 5,000,000 ------5,000,000
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) In accordance with the Intergovernmental Agreement Approved by the City Council on 11/17/2015.
Project Description: This project includes the widening of Pechanga Parkway
from Via Gilberto to North Casino Drive to provide a Principal Arterial Road
with six (6) lanes of traffic. This project will be designed, environmentally
cleared and constructed to mitigate the traffic impacts related to the
recently completed expansion of the adjacent Pechanga Resort & Casino
Project.
Benefit: This project improves pavement conditions so that the
transportation needs of the public, business industry, and government can
be met.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is anticipated to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.530 / PW15-14
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PECHANGA PARKWAY WIDENING
Circulation Project
86
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 59,173 44,153 103,326
Construction 690,174 690,174
Construction Engineering 2,303 29,197 31,500
Design & Environmental 6,823 3,177 10,000
Total Expenditures 68,299 766,701 -----835,000
Source of Funds:
Developer Contribution 540,000 540,000
DIF-Street Improvements 210,000 60,000 270,000
Public Art Fund 25,000 25,000
Total Funding 775,000 60,000 -----835,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the construction of a traffic circle,
roundabout, on Ynez Road at the intersection of La Paz Road. The
improvements include the construction of a raised traffic circle with desert
style hardscape inside the circle.
Benefit: This project maintains the natural beauty of the community and
improves traffic safety at this intersection.
Core Value: Healthy and Livable City
Project Status: Project is anticipated to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.613 / PW18-06
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
ROUNDABOUT IMPROVEMENTS ON YNEZ ROAD
Circulation Project
87
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 20,747 10,000 10,000 10,000 10,000 10,000 70,747
Construction 865,000 865,000
Furnishings & Equipment 602,269 403,772 275,000 200,000 140,000 250,000 250,000 2,121,041
Total Expenditures 602,269 1,289,519 285,000 210,000 150,000 260,000 260,000 3,056,788
Source of Funds:
DIF-Traffic Signals 519,831 21,957 541,788
Measure S 100,000 1,250,000 285,000 210,000 150,000 260,000 260,000 2,515,000
Total Funding 619,831 1,271,957 285,000 210,000 150,000 260,000 260,000 3,056,788
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the enhancement and upgrade of
existing traffic signal equipment, including battery back-up systems, Light
Emitting Diode (LED) traffic signal indications, traffic signal controller
cabinets, service cabinets, safety street lighting, replacement of traffic signal
controllers, signal communication equipment, closed circuit television (CCTV)
camera equipment and fiber optic cable. This project will also includes an
upgrade of existing traffic signal conductors including conduit, service
conductors, and detector cable to comply with current standards.
Benefit: This project enhances traffic safety and supports the long-term
enhancements and rehabilitation of City assets and infrastructure.
Core Value: Healthy and Livable City
Project Status: Enhancements will be completed on an ongoing basis when
funding becomes available.
Department: Public Works - Account No. 210.265.999.680
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TRAFFIC SIGNAL - EQUIPMENT ENHANCEMENT PROGRAM - CITYWIDE
Circulation Project
88
Total Project
Cost Year Funding Source
Prior Year Actual Expenditures 927,779$ DIF(Traffic)/Developer
3,236$ 2019-20 Developer Contribution
126,968$ 2019-20 DIF(Traffic)
270,000$ 2019-20 Measure S
Total 400,204$
199,700$ 2020-21 DIF(Traffic)
375,000$ 2020-21 Measure S
Total 574,700$
-$ 2021-22
Total -$
375,000$ 2022-23 Measure S
Total 375,000$
-$ 2023-24
Total -$
300,000$ 2024-25 Measure S
Total 300,000$
2,577,683$
Prior Year Actual Expenditures 927,779$
Fiscal Year 2019-20 400,204$
Fiscal Year 2020-21 574,700$
Fiscal Year 2021-22 -$
Fiscal Year 2022-23 375,000$
Fiscal Year 2023-24 -$
Fiscal Year 2024-25 300,000$
TOTAL: 2,577,683$
Ranch California Road at Tee Drive
(1) DIF Traffic Developer Reimbursement
De Portola Road at Campanula Way (East)(1)
Signal Location
Future Traffic Signals
Future Traffic Signal
Future Traffic Signal
TRAFFIC SIGNAL INSTALLATION - CITYWIDE
Circulation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
89
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 113,215 3,934 117,149
Construction 835,243 362,590 574,700 375,000 300,000 2,447,533
Design & Environmental 1,712 11,289 13,001
Total Expenditures 950,170 377,813 574,700 -375,000 -300,000 2,577,683
Source of Funds:
Developer Contribution 246,764 3,236 250,000
DIF-Traffic Signals 681,015 126,968 199,700 1,007,683
Measure S 270,000 375,000 375,000 300,000 1,320,000
Total Funding 927,779 400,204 574,700 -375,000 -300,000 2,577,683
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, construction,
installation and modification of traffic signals at various locations throughout
the City. The project also includes reimbursement for developer installed
traffic signals.
Benefit: This project improves traffic safety and circulation throughout the
City.
Core Value: Healthy and Livable City
Project Status: A priority list of traffic signals has been developed. The traffic
signals scheduled for installation will be designed and constructed in the
scheduled fiscal year when funding becomes available. Reimbursements for
developer installed traffic signals will be made as Development Impact Fees
for Traffic Signals become available.
Department: Public Works - Account No. 210.265.999.682
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TRAFFIC SIGNAL - INSTALLATION - CITYWIDE
Circulation Project
90
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 82 147,043 147,125
Construction 562,365 300,000 862,365
Construction Engineering 17,655 17,655
Design & Environmental 109,975 166,129 276,104
MSHCP 29,425 15,000 44,425
Total Expenditures 110,057 922,617 315,000 ----1,347,674
Source of Funds:
Developer Contribution 175,000 175,000
General Fund 226,725 226,725
Measure S 50,505 80,444 315,000 445,949
Settlement Proceeds 500,000 500,000
Total Funding 777,230 255,444 315,000 ----1,347,674
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the installation of a traffic signal on
Temecula Parkway at Wabash Lane. The project also includes relocating the
access of the Park and Ride facility on Temecula Parkway at La Paz Road from
Vallejo Avenue to Wabash Lane.
Benefit: This project improves traffic safety and circulation throughout the
City.
Core Value: Healthy and Livable City
Project Status: Design is underway and construction will follow in Fiscal Year
2020-21.
Department: Public Works - Account No. 210.265.999.605 / PW18-11
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TRAFFIC SIGNAL - PARK & RIDE ACCESS IMPROVMENTS
Circulation Project
91
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 5,000 5,000
Construction 481,900 481,900
Construction Engineering 7,000 7,000
Design & Environmental 88,000 88,000
Total Expenditures - 581,900 -----581,900
Source of Funds:
HSIP-Highway Safety
Improvement Program
489,510 489,510
Measure S 38,000 54,390 92,390
Total Funding 38,000 543,900 -----581,900
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will install protected/permissive traffic
signal heads, on new signal poles and signal mast arms, relocate existing
equipment and modify existing striping and raised medians at the following
five (5) intersections: Margarita Road at Verdes Lane, Ynez Road at Town
Center North and Town Center South, Redhawk Parkway at Paseo
Parallon/Overland Trail, and Winchester Road at Enterprise Circle.
Benefit: This project improves traffic safety and circulation throughout the
City.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is estimated to be complete by Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.610 / PW19-09
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TRAFFIC SIGNAL - SYSTEM UPGRADE
Circulation Project
92
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 38,129 456,871 495,000
Construction 1,555,000 3,500,000 5,055,000
Construction Engineering 165,000 165,000
Design & Environmental 121,747 490,019 50,000 661,766
MSHCP 165,000 30,000 195,000
Total Expenditures 159,876 1,111,890 - 1,800,000 --3,500,000 6,571,766
Source of Funds:
DIF-Street Improvements 619,451 652,315 1,800,000 3,071,766
Unspecified 3,500,000 3,500,000
Total Funding 619,451 652,315 - 1,800,000 --3,500,000 6,571,766
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes widening Ynez Road, from Rancho
Vista Road to La Paz Street, to two lanes in each direction, and the
completion of missing segments of curb & gutter, sidewalk, landscaped
medians, street lights and modify the traffic signal at Santiago Road.
Benefit: This project improves traffic circulation by widening an important
arterial road in this part of the City.
Core Value: Transportation Mobility and Connectivity
Project Status: The project will be completed by Fiscal Year 2021-22.
Department: Public Works - Account No. 210.265.999.535 / PW17-17
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
YNEZ ROAD IMPROVEMENTS
Circulation Project
93
94
INFRASTRUCTURE PROJECTS
Table of Contents
Infrastructure Projects Location Map…………………………………………………………………………………………….….97
ADA Compliance for Pavement Rehab Program – West Side Business Park Area……………………………...98
Americans with Disabilities Act (ADA) Transition Plan Implementation ................................................ 99
Bike Lane and Trail Program – Citywide ............................................................................................... 100
Bike Lane and Trail Program – Mini Pump Track .................................................................................. 102
Bike Lane and Trail Program – Temecula Creek South Side Trail ......................................................... 103
Bike Lane Trail Program – Pump Track…………………………………………………………………………………………….104
City Facilities Rehabilitation .................................................................................................................. 105
City Facility Security………………………………………………………………………………………………………………………..106
Citywide Drainage Master Plan ............................................................................................................. 107
Citywide Financial System Upgrade ...................................................................................................... 108
Citywide Streetlight Acquisition & Light Emitting Diode (LED) Retrofit ................................................ 109
Citywide Surveillance Cameras ............................................................................................................. 110
Community Recreation Center (CRC) Renovations ............................................................................... 111
Comprehensive General Plan Update ................................................................................................... 112
Electric Vehicles Charging Station ......................................................................................................... 113
Expanded Recycled Water Plant Conversion Project ............................................................................ 114
Fiber Optic Communication System Upgrade ....................................................................................... 115
Fire Station 73 Gym/Garage ................................................................................................................. 116
Fire Station 84 Renovation .................................................................................................................... 117
History Museum Renovation ................................................................................................................ 118
Interstate 15 / State Route 79 South Interchange Enhanced Landscaping .......................................... 119
Margarita Recreation Center ................................................................................................................ 120
Mary Phillips Senior Center Enhancement and Renovation……………………………………………………………..121
Medians & Traffic Calming Improvements – Citywide ......................................................................... 122
Murrieta Creek Improvements ............................................................................................................. 123
Old Town Parking Structure .................................................................................................................. 124
Old Town Surveillance & Sound System…………………………………………………………………………………………..125
Pechanga Parkway Environmental Mitigation .................................................................................... ..126
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
95
INFASTRUCTURE PROJECTS
Table of Contents (continued)
Pedestrian Signal Equipment Upgrade – Citywide ............................................................................. 127
Public Safety Monument..................................................................................................................... 128
Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension ................................................................. 129
Santa Gertrudis Creek Phase II – Margarita Under‐Crossing .............................................................. 130
Sidewalks – Citywide ........................................................................................................................... 131
Sidewalks – DLR Drive ......................................................................................................................... 132
Sidewalks – Old Town Boardwalk Enhancement ................................................................................ 133
Sidewalks – Old Town Improvements…………………………………………………………………………………………….134
Temecula Elementary School (TES) Pool Renovation ......................................................................... 135
Temecula Park & Ride……………………………………………………………………………………………………………………136
Urban Forest Management Plan……………………………………………………………………………………………………137
Utility Undergrounding – Citywide………………………………………………………………………………………………..138
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
96
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""""
""
""
""
""
""
""
""
""
""
""
""""""
""
""
2
4
58
9
11
12
13
18
16
15
14
7
1
3610
17
19
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""""
""
""
""
""
""
""
""
""
""
""
""""""
""
""
2
4
58
9
11
12
13
18
16
15
14
7
1
3610
17
19
!"#$15
!"#$15
Infrastructure Projects
City of TemeculaFiscal Years 2021-25Capital Improvement Program
Map Number Description1 ADA Compliance for Pavement Rehab Program - Business Park2 Bike Pump Track3 Community Recreation Center (CRC) Renovations4 Fire Station 73 Gym/Garage5 Fire Station 84 Renovation6 History Museum Renovation7 I-15/SR 79 South Interchange Enhanced Landscaping8 Library Parking Phase II9 Margarita Recreation Center10 Mary Phillips Senior Center Enhancement and Renovation
Map Number Description11 Murrieta Creek Improvements12 Pechanga Parkway Environmental Mitigation13 Santa Gertrudis Creek Pedestrian/Bicycle Trail Extension14 Santa Gertrudis Creek Phase II - Margarita Undercrossing15 Sidewalks - DLR Dr16 Sidewalks - Old Town Boardwalk Enhancements17 Sidewalks - Old Town Improvements18 Temecula Elementary School (TES) Pool Renovation19 Temecula Park & Ride
97
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 76,100 76,100
Construction 380,500 380,500
Total Expenditures --456,600 ----456,600
Source of Funds:
CDBG 313,000 313,000
Measure A 143,600 143,600
Total Funding --456,600 ----456,600
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: Design, construct, modify and/or remove identified
barriers within the public right of way along various roadways in the West
Side Business Park Area. The project will provide for improvements to ADA
access ramps along the perimeter roadways adjacent to commerical and
industrial business centers. This project is a predecessor to the Pavement
Rehabilitation Project for West Side Business Park Area.
Benefit: This project furthers the City's Core Values of A Safe and Prepared
Community, Accountable and Responsive City Government, as well as
Transportation Mobility and Connectivity.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is estimated to be complete by Fiscal Year 2020-21.
Department: Public Works - Account No. 210.265.999.784
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
ADA COMPLIANCE FOR PAVEMENT REHAB PROGRAM - WEST SIDE BUSINESS PARK AREA
Infrastructure Project
98
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 23,801 72,876 78,660 78,660 78,660 78,660 411,317
Construction 226,983 245,000 245,000 245,000 245,000 1,206,983
Total Expenditures 23,801 299,859 - 323,660 323,660 323,660 323,660 1,618,300
Source of Funds:
CDBG 23,801 299,859 323,660 323,660 323,660 323,660 1,618,300
Total Funding 23,801 299,859 - 323,660 323,660 323,660 323,660 1,618,300
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The American with Disabilities Act (ADA) Transition Plan
Implementation will utilize the recently completed Transition Plan and
implement its recommendations based on the established priorities. The
implementation will include improvements to public facilities, programs, and
public right of ways to modify/remove identified barriers over a fiscally
constrained framework.
Benefit: This project furthers the City’s Core Values of A Safe and Prepared
Community, Accountable and Responsive City Government, as well as
Transportation Mobility and Connectivity.
Core Value: A Safe and Prepared Community
Project Status: The American With Disabilities Act (ADA) Transition Plan
Upgrade was completed in Fiscal Year 2017-18. The implementation of the
Transition Plan recommendation is an ongoing program.
Department: Public Works - Account No. 210.265.999.612
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
AMERICAN WITH DISABILITIES ACT (ADA) TRANSITION PLAN IMPLEMENTATION
Infrastructure Project
99
Bike Lane and Trail Program
Actuals To
Date
Cost to
Complete Year Funding Source
Bike Lane and Trail Program 203,359$ 250,000$ 2019-20 DIF (Open Space and Trails)
100,000$ 2020-21 AB2766
168,028$ 2019-20 DIF (Open Space and Trails)
AB2766
100,000$ 2021-22 DIF (Open Space and Trails)
AB2766
120,000$ 2022-23 DIF (Open Space and Trails)
366,088$ AB2766
750,000$ 2023-24 Unspecified
North General Kearney Trail 270,000$ 2023-24 Unspecified
152,319$ 2024-25 Unspecified
Total 203,359$ 2,276,435$ 2,479,794$
Lake Skinner Trail
Rancho California Bicycle Lane and Cycle Track
Yukon to Ynez
Long Canyon Creek Trail
BIKE LANE AND TRAIL PROGRAM - CITYWIDE
Infrastructure / Other Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
100
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 6,452 30,000 5,000 5,000 25,000 25,000 96,452
Construction 49,763 298,028 95,000 95,000 411,088 895,000 152,319 1,996,198
Design & Environmental 147,144 90,000 50,000 100,000 387,144
Total Expenditures 203,359 418,028 100,000 100,000 486,088 1,020,000 152,319 2,479,794
Source of Funds:
Assembly Bill 2766 229,353 100,000 100,000 216,955 144,575 152,319 943,202
Beyond Grant 19,857 19,857
DIF-Open Space & Trails 369,873 2,304 372,177
Unspecified 269,133 875,425 1,144,558
Total Funding 389,730 231,657 100,000 100,000 486,088 1,020,000 152,319 2,479,794
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The Multi-Use Trails and Bikeways Master Plan was
completed in Fiscal Year 2015-16. The Master Plan includes new and
potential trail and bikeway segment information sheets that detail
constraints, solutions, surface types and widths, and estimated construction
costs. The plan also details multiple recommendations including, but not
limited to: new signs, gates, fence openings, sharrows, green paint, bike
boxes, separated bikeways, bicycle boulevards, striping, maps, bike racks, fix-
it stations, bike shares, bike corrals, bike lockers, cycle tracks, rapid flashing
beacons, crossings, bicycle detection and actuation at signalized
intersections, pedestrian and bicycle counts, access and maintenance
agreements, and trailheads. The City is a Bronze Level Bicycle Friendly
Community and this program is intended to allow for continued
implementation of facilities and programs, which further the City's
commitment to proving a safe and convenient network that connects
schools, parks, open space, shopping, and employment centers.
Benefit: This project provides alternative modes of transportation and
increases connectivity and accessibility to Old Town, Wine Country, and the
City’s many schools, parks, trails, and open space areas.
Core Value: A Sustainable City
Project Status: The Master Plan was completed in Fiscal Year 2015-16 and
includes a list of capital improvements throughout the City. Improvements
will be made on an ongoing basis as funding becomes available.
Department: Public Works - Account No. 210.265.999.703
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
BIKE LANE AND TRAIL PROGRAM - CITYWIDE
Infrastructure Project
101
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 30,000 30,000
Construction 60,000 60,000
Construction Engineering 5,000 5,000
Total Expenditures --95,000 ----95,000
Source of Funds:
DIF-Park & Rec Improvements 95,000 95,000
Total Funding --95,000 ----95,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The City opened the Ronald Reagan Sports Park Pump
Track in November of 2019. The project has mostly positive post
construction feedback and a consistently high use rate. In order to
accomodate more riders it is proposed that a smaller pump track be
constructed for smaller and less experienced riders to help offset the high
usage at the RRSP Pump track.
Benefit: This project supports healthy and active lifestyles by promoting
recreation programs, parks, trails, and facilities. In addition, this project
satisfies the City’s Core Values of A Sustainable City and Transportation
Mobility and Connectivity.
Core Value: A Sustainable City
Project Status: Project is estimated to be complete by Fiscal Year 2020-21.
Department: Public Works - Account No. 210.265.999.781
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
BIKE LANE AND TRAIL PROGRAM - MINI PUMP TRACK
Infrastructure Project
102
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 50,000 50,000 100,000
Construction 117,845 775,000 892,845
Design & Environmental 150,000 150,000
MSHCP 38,750 38,750
Total Expenditures - 317,845 --863,750 --1,181,595
Source of Funds:
Assembly Bill 2766 67,845 67,845
Measure S 250,000 250,000
Unspecified 863,750 863,750
Total Funding - 317,845 --863,750 --1,181,595
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes an agreement with Riverside
County Flood Control to install new gates, pave and stripe an existing
maintenance road for a Class I Trail. The route would parallel Temecula
Creek on the South side, connecting Butterfield Stage Road to Loma Linda
Road, terminating at the alignment with Avenida de Missiones. This section
of trail is part of the proposed seventeen (17) mile Temecula Loop Trail
identified in the Multi-Use Trails and Bikeways Master Plan.
Benefit: This section of trail would satisfy the City’s Core Values of a Healthy
and Livable City, Transportation Mobility and Connectivity, and A Sustainable
City.
Core Value: Healthy and Livable City
Project Status: Project design will commence in Fiscal Year 2019-20 and
construction will occur when funding becomes available.
Department: Public Works - Account No. 210.265.999.720 / PW19-11
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
BIKE LANE AND TRAIL PROGRAM - TEMECULA CREEK SOUTH SIDE TRAIL
Infrastructure Project
103
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 24,406 24,593 48,999
Construction 404,500 37,766 442,266
Construction Engineering 12,000 12,000
Design & Environmental 39,587 34,913 74,500
Total Expenditures 63,994 476,006 37,766 ----577,766
Source of Funds:
DIF-Open Space & Trails 125,000 415,000 37,766 577,766
Total Funding 125,000 415,000 37,766 ----577,766
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design and construction of a
Bicycle Pump Track at Ronald Reagan Sports Park located just north of the
existing skate park. The pump track consists of hard packed dirt with an
asphalt cap sculpted into a series of rollers, berms, banked turns, and
transitions. These features are designed to permit a rider to traverse a
looped course with minimal pedaling using gravity to flow through the
course. The pump track area also includes an infield material to allow for
drainage, hardscape paved entry area with signage, bench seating, shade
structure, landscaping, and bike racks.
Benefit: This project supports healthy and active lifestyles by promoting
recreation programs, parks, trails, and facilities.
Core Value: A Sustainable City
Project Status: Main track construction completed in Fiscal Year 2019-20.
Construction funds being requested in Fiscal Year 2020-21 are for a future
shade structure with lights.
Department: Public Works - Account No. 210.265.999.718 / PW18-04
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
BIKE LANE TRAIL PROGRAM - PUMP TRACK
Infrastructure Project
104
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 158,660 25,000 25,000 208,660
Construction 1,923,836 315,143 250,000 250,000 2,738,979
Design & Environmental 46,026 25,000 25,000 96,026
Total Expenditures 2,128,523 315,143 300,000 300,000 ---3,043,666
Source of Funds:
DIF-Corporate Facilities 250,000 250,000
Facilities Replacement Fund 143,666 300,000 300,000 300,000 1,043,666
General Fund 1,750,000 1,750,000
Total Funding 2,143,666 300,000 300,000 300,000 ---3,043,666
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project facilitates rehabilitation projects at City
owned and operated facilities such as the Mary Phillips Senior Center,
Community Recreation Center, Temecula Elementary School pool and locker
room, Civic Center, Field Operations Center, Maintenance Facility, TVE2,
Escallier House & Barn, Mercantile Building, Old Town Parking Garage, Old
Town Sixth Street Parking Lot, S.A.F.E., Temecula Children’s Museum,
Temecula Community Center, Temecula Public Library, Temecula Valley
Museum and the Chapel of Memories. The rehabilitation projects could
include, but is not limited to, parking lot rehabilitation and light
replacements, heating ventilation and air conditioner (HVAC) upgrades, roof
repairs, carpet and flooring replacement, cabinet re-facing/replacement,
concrete repairs, replacement of fencing and repair of swimming pools.
Benefit: This project minimizes emergency repair costs, prolongs the service
life of facilities, and upgrades aging facility components.
Core Value: Healthy and Livable City
Project Status: A priority list of rehabilitation projects has been developed.
Rehabilitation projects are completed on an ongoing basis as funding
becomes available.
Department: Public Works - Account No. 210.265.999.701
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITY FACILITIES REHABILITATION
Infrastructure Project
105
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 25,000 25,000
Construction 200,000 200,000
Design & Environmental 25,000 25,000
Total Expenditures - 250,000 -----250,000
Source of Funds:
Measure S 250,000 250,000
Total Funding - 250,000 -----250,000
Future Operating & Maintenance Costs:
Total Operating Costs
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: To protect property and life.
Core Value: A Safe and Prepared Community
Project Status: This project will commence in Fiscal Year 2019-20.
Department: - Account No. 210.265.999.779
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITY FACILITY SECURITY
Infrastructure Project
106
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 120,000 120,000
Design & Environmental 600,000 600,000
Total Expenditures ---720,000 720,000
Source of Funds:
Measure S 720,000 720,000
Total Funding ---720,000 720,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will prepare a report that shows all drainage
courses within the City and existing drainage improvements that have been
constructed to control storm runoff. In addition, the project will include a
master hydrology study showing the anticipated storm flows at build-out.
Benefit: The Master Drainage Plan will provide the City with sufficient up-to-
date and accurate information to systematically plan and manage its
drainage systems and provide higher level of flood protection to its
residents, communities, properties, and infrastructure investments.
Core Value: A Safe and Prepared Community
Project Status: Project is estimated to be complete by Fiscal Year 2024-25.
Department: Public Works - Account No. 210.265.999.722 / PW19-16
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITYWIDE DRAINAGE MASTER PLAN
Infrastructure Project
107
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Information Technology 1,376,718 1,376,718
Total Expenditures - 1,376,718 -----1,376,718
Source of Funds:
Measure S 613,184 613,184
Technology Replacement Fund 763,534 763,534
Total Funding - 1,376,718 -----1,376,718
Future Operating & Maintenance Costs:
Total Operating Costs 66,934 66,934 66,934 66,934
Notes :
1. (1) Operating & Maintenance costs reflect ongoing software maintenance for new Financial System.
Project Description: This project includes the implementation costs
associated with the upgrade of the City's Financial Accounting System. The
City's current system was implemented in 2001, and a successor Enterprise
Resource Planning (ERP) solution is available. The ERP system will integrate
with existing software platform used Citywide and will provide upgraded
core applications for financial management and human resource
management.
Benefit: This project increases efficiencies, accountability and transparency
of the City's financial, accounting and human resource information.
Core Value: Accountable and Responsible City Government
Project Status: Project commenced in Fiscal Year 2019-20 and is anticipated
to take 18-24 months for implementation.
Department: Public Works - Account No. 210.265.999.724
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITYWIDE FINANCIAL SYSTEM UPGRADE
Infrastructure Project
108
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 63 63
Equipment 2,265,930 2,265,930
Furnishings & Equipment 5,737,318 5,737,318
Total Expenditures 2,265,993 5,737,318 -----8,003,311
Source of Funds:
General Fund 2,503,311 2,503,311
Measure S 4,700,000 800,000 5,500,000
Total Funding 7,203,311 800,000 -----8,003,311
Future Operating & Maintenance Costs:
Total Operating Costs (618,000)(636,540) (655,636)(675,305)
Notes :
1. (1) Operating & Maintenance savings represents a combination of energy savings realized from the conversion to LED light bulbs, as well as
reduced electricity rates charged by SCE after the City acquires the streetlights.
Project Description: Phase I of this project acquired the Southern California
Edison (SCE) owned streetlights within the City's boundary, including the
light poles, mast arms, and light fixtures. Phase II of this project includes
retrofitting the purchased lights with a Light Emitting Diode (LED) lighting
system.
Benefit: This project provides for the opportunity to reduce facilities costs,
reduce energy usage, and extend the life of lighting infrastructure.
Core Value: A Sustainable City
Project Status: Project is estimated to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.688 / PW17-18
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITYWIDE STREETLIGHT ACQUISITION & LIGHT EMITTING DIODE (LED) RETROFIT
Infrastructure Project
109
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 2,593 2,593
Construction 1,869,708 1,278,385 150,000 95,000 3,393,093
Design & Environmental 138,347 353 138,700
Total Expenditures 2,010,648 1,278,738 150,000 -95,000 --3,534,386
Source of Funds:
DIF-Corporate Facilities 353,151 448,936 802,087
DIF-Police Facilities 430,113 188,601 95,000 713,714
Measure S 748,238 1,120,347 150,000 2,018,585
Total Funding 1,531,502 1,757,884 150,000 -95,000 --3,534,386
Future Operating & Maintenance Costs:
Total Operating Costs 300,000 300,000 300,000 300,000
Notes :
1. (1) Operating & Maintenance costs reflect the ongoing software and equipment maintenance associated with the infrastructure of the
surveillance system.
Project Description: The Citywide Camera Surveillance system will be utilized
by the City to support public safety, traffic management, and asset
protection activities in service to its citizens. The City’s goal for the system is
to standardize and integrate existing and new video management systems to
provide video technology to improve overall safety and security to the
residents of the City.
Benefit: To protect property and life. This project provides Police the ability
to perform virtual patrols, maximizing staff efficiency and resources.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete by Fiscal Year 2022-23.
Department: Information Systems - Account No. 210.265.999.711 / PW17-01
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CITYWIDE SURVEILLANCE CAMERAS
Infrastructure Project
110
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 50,000 222,363 272,363
Construction 1,407,087 350,000 2,500,000 4,257,087
Construction Engineering 40,000 40,000
Design & Environmental 100,000 330,550 430,550
Total Expenditures - 150,000 2,000,000 -- 350,000 2,500,000 5,000,000
Source of Funds:
DIF-Park & Rec Improvements 806,048 400,000 1,206,048
DIF-Quimby 1,193,952 500,000 1,693,952
Measure S 150,000 350,000 1,600,000 2,100,000
Total Funding - 150,000 2,000,000 -- 350,000 2,500,000 5,000,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project facilitates the rehabilitation, improvement,
and reconfiguration of the Community Recreation Center. Projects include:
expansion and reconfiguration of teen center; conversion of office space to
accommodate a dedicated police substation; renovation of key components
of the building including safety features, flooring, roof, and restroom facility
access; ADA compliance; renovation and expansion of existing office space
and rec rooms including AV upgrades; expanded storage space and upgraded
kitchen equipment.
Benefit: This project will create a safe, engaging place for teens to
participate in individual and group social, recreational, physical, and
educational activities, while also providing necessary renovations to the CRC
facility.
Core Value: Healthy and Livable City
Project Status: Planning and preliminary design will begin in Fiscal Year 2019
-20 and construction will occur as funding becomes available.
Department: Public Works - Account No. 210.265.999.730 / PW19-07
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
COMMUNITY RECREATION CENTER (CRC) RENOVATIONS
Infrastructure Project
111
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 300,000 1,000,000 200,000 1,500,000
Design & Environmental 500,000 500,000
Total Expenditures --300,000 1,000,000 700,000 --2,000,000
Source of Funds:
General Fund 800,000 700,000 1,500,000
Grants 300,000 200,000 500,000
Total Funding --300,000 1,000,000 700,000 --2,000,000
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Grants funding represents $500,000 in Local Early Action Planning Grant Program (LEAP) funding provided by the California Department of
Housing and Community Development (HCD). LEAP provides one-time grant funding to cities and counties to update their planning documents and
implement process improvements that will facilitate the acceleration of housing production and help local governments prepare for their 6th cycle
Regional Housing Needs Allocation (RHNA).
Project Description: California State Law requires that each city adopt a
comprehensive General Plan as the fundamental policy document for future
development. It provides the framework for management and utilization of
the City's physical, economic, and human resources. This document guides
civic decisions regarding land use, conservation of existing housing and the
provision of new dwelling units, the provisions of supporting infrastructure
and public services, the protection of environmental resources, the
allocation of fiscal resources, and the protection of residents from natural
and human-caused hazards. The City's General Plan was last updated in
2005. The General Plan will serve as the blueprint for the community for
approximately the next fifteen years. This project will update all of the
elements of the General Plan and will also include the implementation of
new legislation to ensure compliance with State Law.
Benefit: The General Plan update satisfies all six of the City's core values:
Healthy and Livable City; Economic Prosperity; Safe and Prepared
Community; Sustainable City; Transportation, Mobility, and Connectivity;
and Accountable and Responsive Local Government.
Core Value: Healthy and Livable City
Project Status: This project is estimated to start in Fiscal Year 2021-22.
Department: Community Development - Account No. 210.265.999.777
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
COMPREHENSIVE GENERAL PLAN UPDATE
Infrastructure Project
112
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 118,445 69,555 188,000
Total Expenditures 118,445 69,555 -----188,000
Source of Funds:
Assembly Bill 2766 47,000 47,000
MSRC-Mobile Source Air Review
Committee Grant
141,000 141,000
Total Funding 47,000 141,000 -----188,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design and construction of
improvements to accommodate electric vehicle charging station installations
at various City facilities. The project also includes accommodating four
charging stations at each of the following facilities: 1) Park & Ride on
Temecula Parkway at La Paz; 2) Sixth Street Parking Lot at Mercedes Street;
3) Parking Structure on Mercedes Street. The improvements include
extending the necessary power, upgrading electrical panels, if necessary,
concrete base, and Dual Port Bollard USA Gateway Station with concrete
mounting kit.
Benefit: This project encourages alternative transportation options.
Core Value: A Sustainable City
Project Status: Project must be complete by Fiscal Year 2022-23 per grant
program guidelines.
Department: Public Works - Account No. 210.265.999.683 / PW18-15
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
ELECTRIC VEHICLES CHARGING STATION
Infrastructure Project
113
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 153 21,845 21,998
Construction 560,562 560,562
Construction Engineering 18,000 18,000
Design & Environmental 80,496 4,983 85,479
Total Expenditures 80,649 605,390 -----686,039
Source of Funds:
DWR Grant 426,029 426,029
General Fund 55,697 55,697
Measure S 142,010 142,010
Service Level C - Zone 16 21,500 21,500
Service Level C - Zone 18 10,000 10,000
Service Level C - Zone 20 30,803 30,803
Total Funding 142,010 544,029 -----686,039
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Department of Water Resources Proposition 84 Grant Agreement
2. (2) Service Level C - Zone 16 (Tradewinds)
3. (3) Service Level C - Zone 18 (Temeku Hills)
4. (4) Service Level C - Zone 20 (Crowne Hill)
Project Description: This project includes the administration, design and
construction of six (6) sites within the City for the conversion of water
facilities from potable to recycled water. This effort is in cooperation with
Rancho California Water District (RCWD) to administer the implementation
of improvements in association with the State of California Department of
Water Resources Proposition 84 Grant Agreement.
Benefit: This project will reduce use of potable water, increase overall water
savings and enhance energy efficiencies and potentially reduce greenhouse
gas emissions.
Core Value: A Sustainable City
Project Status: Project is estimated to be complete by Fiscal Year 2020-21.
Department: Public Works - Account No. 210.265.999.689 / PW17-29
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
EXPANDED RECYCLED WATER PLANT CONVERSION PROJECT
Infrastructure Project
114
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 1,201,400 1,201,400
Design & Environmental 93,364 26,436 119,800
Total Expenditures 93,364 1,227,836 -----1,321,200
Source of Funds:
HSIP-Highway Safety
Improvement Program
1,208,200 1,208,200
Measure S 113,000 113,000
Total Funding 113,000 1,208,200 -----1,321,200
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will install optic communication system
upgrades including conduit, cable, traffic signal controllers and related
communication equipment to improve safety and operations with optimized
traffic signal timing coordination. Signalized intersections will be improved
along the Winchester Road, Rancho California Road and Temecula Parkway
corridors.
Benefit: This project will upgrade the City's communication system
equipment.
Core Value: A Safe and Prepared Community
Project Status: This project is anticipated to be completed in Fiscal Year 2019
-20.
Department: Public Works - Account No. 210.265.999.550 / PW18-05
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FIBER OPTIC COMMUNICATION SYSTEM UPGRADE
Infrastructure Project
115
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 75,000 150,000 225,000
Construction 48,755 1,114,583 1,163,338
Construction Engineering 20,000 20,000
Design & Environmental 180,245 136,068 316,313
MSHCP 59,485 59,485
Total Expenditures - 304,000 ----1,480,136 1,784,136
Source of Funds:
Measure S 304,000 1,480,136 1,784,136
Total Funding - 304,000 ----1,480,136 1,784,136
Future Operating & Maintenance Costs:
Total Operating Costs
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: 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.
Core Value: A Safe and Prepared Community
Project Status: This project will be designed in Fiscal Year 2019-20 and
constructed as funds become available.
Department: Fire - Account No. 210.265.999.697 / PW19-13
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FIRE STATION 73 GYM/GARAGE
Infrastructure Project
116
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 168,750 168,750
Construction 349,000 349,000
Design & Environmental 149,000 149,000
Total Expenditures - 666,750 -----666,750
Source of Funds:
Measure S 666,750 666,750
Total Funding 666,750 ------666,750
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, construction and
renovation of Fire Station #84, including upgrades to the training room. This
fire station serves as the headquarter station for the City of Temecula Fire
Department. This renovation will give a fresh look to the station as well as
update the facility to be more energy efficient. The renovation will add a gym
to the facility, upgrade electrical, upgrade the windows, and re-paint the
exterior and interior of the station. The living quarters will also receive some
renovations to the bathrooms, kitchen and day room.
Benefit: This improvement will create a better learning experience for our
community members that attend classes for training.
Core Value: A Safe and Prepared Community
Project Status: This project will be designed in Fiscal Year 2019-20 and
constructed as funds become available.
Department: Fire - Account No. 210.265.999.687 / PW19-14
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FIRE STATION 84 RENOVATION
Infrastructure Project
117
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 304,000 304,000
Total Expenditures ----304,000 304,000
Source of Funds:
Unspecified 304,000 304,000
Total Funding ----304,000 304,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project facilitates the rehabilitation, improvement,
reconfiguration, and rebranding of the Temecula Valley Museum as the
Temecula Museum of Arts and Culture. Projects include: reconfiguration and
relocation of permanent exhibits; an update of downstairs space to offer a
flexible space that can be used for events and rentals, accommodate rotating
exhibits, and allow for easier installation; and renovation of key components
of the building including safety features, flooring, and restroom facility
access
Benefit: This project will increase safety for staff and patrons, by improving
installation processes and access to restroom facilities; elevate overall
quality and experience for patrons through reconfiguration; and attract more
artists and visitors through the increased capacity for exhibition and
rebranding.
Core Value: Economic Prosperity
Project Status: This project will be completed as funding becomes available.
Department: TCSD - Account No. 210.290.999.203
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
HISTORY MUSEUM RENOVATION
Infrastructure Project
118
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 21,905 100,673 104,000 226,578
Construction 3,329,867 3,329,867
Construction Engineering 445,000 445,000
Design & Environmental 29,915 335,990 60,000 425,905
Total Expenditures 51,820 436,663 --3,938,867 --4,427,350
Source of Funds:
Measure S 441,350 47,133 446,200 934,683
Unspecified 3,492,667 3,492,667
Total Funding 441,350 47,133 --3,938,867 --4,427,350
Future Operating & Maintenance Costs:
Total Operating Costs 52,000 54,080 56,240 58,490
Notes :
1. (1) Operating & Maintenance costs reflect the ongoing irrigation and landscape maintenance required by CalTrans.
Project Description: The project includes the landscape beautification of the
Interstate 15/State Route 79 South (Temecula Parkway) interchange to
implement the Interstate 15 State Route 79 South Interchange Enhanced
Landscaping Corridor Plan in association with Visit Temecula Valley and the
Pechanga Tribe.
Benefit: This project meets the City-wide long-term goals as identified in the
Quality of Life Master Plan to include a Healthy and Livable City and
Economic Prosperity.
Core Value: Healthy and Livable City
Project Status: This project is in the design phase and will be completed as
funding is identified.
Department: Public Works - Account No. 210.265.999.690 / PW17-19
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
I-15/STATE ROUTE 79 SOUTH INTERCHANGE ENHANCED LANDSCAPING
Infrastructure Project
119
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 48,890 460,428 509,318
Construction 5,410,253 5,410,253
Construction Engineering 1,028,535 1,028,535
Design & Environmental 69,605 898,797 968,402
Information Technology 94,781 645,219 740,000
Total Expenditures 213,276 8,443,232 -----8,656,508
Source of Funds:
Capital Financing 6,405,000 6,405,000
DIF-Park & Rec Improvements 137,000 137,000
Measure S 1,386,773 727,735 2,114,508
Total Funding 7,791,773 864,735 -----8,656,508
Future Operating & Maintenance Costs:
Total Operating Costs 545,900 562,277 579,145 596,520
Notes :
1. (1) Operating & Maintenance costs reflect the staffing, utilities, landscaping, security and supplies costs associated with the operation of this
new facility.
Project Description: This project consists of the construction of a new
recreation center in Margarita Community Park in place of the former YMCA
building. The project includes the demolition of the existing building and
pool, constructing a new building and pool as determined by a Community
Needs Assessment and available budget. The Information Technology
component includes camera system infrastructure, access control, Public Wi-
Fi and other identified technology needs.
Benefit: This project will provide the City a new facility to meet the
increasing demands of recreational programs.
Core Value: Healthy and Livable City
Project Status: Concept Design started in Fiscal Year 2017-18. Final design
and environmental approval anticipated in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.692 / PW17-21
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MARGARITA RECREATION CENTER
Infrastructure Project
120
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 20,000 20,000
Construction 400,000 400,000
Design & Environmental 10,000 10,000
Total Expenditures --430,000 ----430,000
Source of Funds:
CDBG 400,000 400,000
Measure S 30,000 30,000
Total Funding --430,000 ----430,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the enhancement and renovation
of the Mary Phillips Senior Center to include new exterior siding, painting,
replacement of perimeter soffits, fascia boards and eaves, any doors and
windows as needed.
Benefit: This project updates and enhances the appearance and improves
safety and extends the life of the facility.
Core Value: Healthy and Livable City
Project Status: This project is estimated to be complete on FY2020-21.
Department: Public Works - Account No. 210.265.999.782
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MARY PHILLIPS SENIOR CENTER ENHANCEMENT AND RENOVATION
Infrastructure Project
121
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 25,000 10,000 10,000 45,000
Construction 41,752 165,148 220,000 230,000 656,900
Construction Engineering 10,000 10,000 10,000 30,000
Design & Environmental 29,900 25,100 20,000 20,000 95,000
Total Expenditures 71,652 225,248 260,000 -270,000 --826,900
Source of Funds:
DIF-Street Improvements 40,000 40,000
Measure S 231,900 260,000 270,000 761,900
Reimbursements 25,000 25,000
Total Funding 271,900 25,000 260,000 -270,000 --826,900
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Reimbursements reflects contribution from the Temecula Valley Unified School District.
Project Description: This project includes the design and construction of
raised concrete medians (with stamped concrete), neighborhood
identification medians, pedestrian bulb-outs, and other features to provide
neighborhood traffic calming at locations such as Seraphina Road, Nighthawk
Pass, Roripaugh Road, Suzi Lane, Chandler Drive, Channel Street, Del Rey
Road, Via Norte and other traffic calming program locations throughout the
City.
Benefit: This project provides neighborhood traffic calming, enhances
pedestrian, bicycle safety and the quality of life at various locations within
the City.
Core Value: A Safe and Prepared Community
Project Status: This project has a priority list of locations and will be
constructed in priority order.
Department: Public Works - Account No. 210.265.999.704
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MEDIANS & TRAFFIC CALMING IMPROVEMENTS - CITYWIDE
Infrastructure Project
122
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 48,338 74,290 15,000 137,628
Construction 5,000 593,000 598,000
Design & Environmental 172,366 32,791 20,000 225,157
Total Expenditures 225,704 700,081 35,000 ----960,785
Source of Funds:
General Fund 135,858 135,858
Measure S 18,791 35,000 53,791
Reimbursements 86,449 684,687 771,136
Total Funding 222,307 703,478 35,000 ----960,785
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Construction of the Southside Parking Lot Reconfiguration will not occur until the Purchase and Sale Agreement with Riverside County Flood
Control is executed and the proceeds are received.
Project Description: This project includes the design and construction of the
proposed United States Army Corps of Engineers and Riverside County Flood
Control improvements to the Murrieta Creek within the City limits. This
project also includes the study, design, and construction of alternatives to
reconfigure the existing Southside Parking Lot which has been impacted by
the Riverside County Flood Control's acquisition of a portion of the parking
lot.
Benefit: This project helps prevent flooding of Old Town Temecula and
mitigate the property acquisition impacts to the South Side Parking Lot.
Core Value: A Safe and Prepared Community
Project Status: The City is working with Riverside County to form a Joint
Powers Authority to further the implementation of this project. Construction
of Phase II, just south of Rancho California Road to south of First Street
bridge, started Fall 2015 and is complete. Design for the parking lot
reconfiguration has begun and the City is working with the adjacent property
owners to ensure that the new parking design will maximize the number of
parking spaces.
Department: Public Works - Account No. 210.265.999.735 / PW15-07
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
MURRIETA CREEK IMPROVEMENTS
Infrastructure Project
123
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 98,888 6,112 105,000
Design & Environmental 31,754 863,246 895,000
Total Expenditures 130,642 869,358 -----1,000,000
Source of Funds:
General Fund 1,000,000 1,000,000
Total Funding 1,000,000 ------1,000,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will include the design and eventual
construction of a new parking structure in Old Town. The Old Town Parking
Management Plan outlines a number of parking strategies that can be
implemented in Old Town over time. Additional parking structures are
anticipated to be constructed as part of the long term parking management
strategy.
Benefit: This project will satisfy the City's Core Values of a Healthy and
Livable City and Economic Prosperity.
Core Value: Healthy and Livable City
Project Status: Project design is estimated to be completed in Fiscal Year
2019-20 and construction will commence when funding becomes available.
Department: Public Works - Account No. 210.265.999.694 / PW17-15
Level: III
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
OLD TOWN PARKING STRUCTURE
Infrastructure Project
124
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Design & Environmental 50,000 50,000
Equipment 700,000 150,000 850,000
Total Expenditures ----- 750,000 150,000 900,000
Source of Funds:
DIF-Corporate Facilities 400,000 400,000
Measure S 350,000 150,000 500,000
Total Funding ---750,000 150,000 900,000
Future Operating & Maintenance Costs:
Total Operating Costs 36,000 36,000
Notes :
1. (1) Operating & Maintenance costs reflect the ongoing software and equipment maintenance costs associated with the surveillance system.
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: To protect property and life and enhance the ambiance/experience
of Old Town.
Core Value: Healthy and Livable City
Project Status: This project will commence in Fiscal Year 2023-24.
Department: - Account No. 210.265.999.780
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
OLD TOWN SURVEILLANCE & SOUND SYSTEM
Infrastructure Project
125
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 310,541 183,386 493,927
Construction 166,565 20,520 187,085
Construction Engineering 1,710 8,290 10,000
Design & Environmental 285,097 48,432 333,529
Land Acquisition 20,442 5,000 25,442
Utilities 1,023 1,023
Total Expenditures 785,379 265,628 -----1,051,007
Source of Funds:
CFD 03-03 (Wolf Creek)763,964 287,043 1,051,007
Total Funding 763,964 287,043 -----1,051,007
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, construction, and
implementation of an environmental mitigation site required for the
Pechanga Parkway Project, including acquisition and planting of the
mitigation site in Temecula Creek. In addition, this project provides water to
plant material and monitoring the mitigation site for five (5) years.
Benefit: This project increases environmental mitigation areas.
Core Value: A Sustainable City
Project Status: The design and construction of new wetlands was completed
during Fiscal Year 2014-15. Upon the approval of the resource agencies, the
maintenance of the created area is estimated to be completed by the end of
Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.516 / PW11-01
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PECHANGA PARKWAY ENVIRONMENTAL MITIGATION
Infrastructure Project
126
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 5,000 5,000
Construction 803,200 803,200
Construction Engineering 105,000 105,000
Design & Environmental 63,000 63,000
Total Expenditures - 976,200 -----976,200
Source of Funds:
HSIP-Highway Safety
Improvement Program
908,200 908,200
Measure S 38,000 30,000 68,000
Total Funding 38,000 938,200 -----976,200
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will install pedestrian countdown signal
heads, ADA compliant pedestrian pushbutton equipment and upgrade traffic
signal controllers to improve safety and operations at signalized intersections
Citywide including the Butterfield Stage Road, Jefferson Avenue, Margarita
Road, Redhawk Parkway, Pechanga Parkway, Rancho California Road,
Temecula Parkway and Ynez Road corridors.
Benefit: This project improves pedestrian safety and traffic circulation
throughout the City.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.518 / PW19-10
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PEDESTRIAN SIGNAL EQUIPMENT UPGRADE - CITYWIDE
Infrastructure Project
127
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 5,000 5,000
Design & Environmental 25,000 25,000
Total Expenditures ----30,000 30,000
Source of Funds:
Unspecified 30,000 30,000
Total Funding ----30,000 30,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: To identify suitable location in park space/public for an
acknowledgement and tribute to the men and women who serve as first
responders in Police, Fire and emergency service occupations. The design of
such a tribute would be in partnership with public safety personnel and serve
as a reminder to residents of their dedication and sacrifice to maintaining the
safety of our community.
Benefit: To honor Fire and Police.
Core Value: A Sustainable City
Project Status: Project will commence as funding becomes available.
Department: Public Works - Account No. 210.265.999.778
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PUBLIC SAFETY MONUMENT
Infrastructure Project
128
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 211,765 631,222 842,987
Construction 4,217,043 4,217,043
Construction Engineering 265,600 265,600
Design & Environmental 504,008 248,104 752,112
MSHCP 210,853 210,853
Total Expenditures 715,773 5,572,822 -----6,288,595
Source of Funds:
Assembly Bill 2766 58,683 58,683
BTA - Bicycle Transportation
Account
223,311 223,311
DIF-Open Space & Trails 189,073 200,000 389,073
General Fund 78,920 78,920
Measure S 821,899 957,709 1,779,608
Senate Bill 1 3,759,000 3,759,000
Total Funding 1,371,886 4,916,709 -----6,288,595
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, environmental, and
construction of the extension and interconnect of the existing Santa
Gertrudis Creek Pedestrian/Bicycle Trail from Ynez Road to the Murrieta
Creek Multi-Purpose Trail. The extension and interconnect will provide
access and under-crossings at Ynez Road, Interstate 15 and Jefferson
Avenue, and a continuous paved trail along the Santa Gertrudis Creek to
interconnect with the Murrieta Creek Multi-Purpose Trail.
Benefit: The project provides additional pedestrian and bicycle trails for the
community.
Core Value: Transportation Mobility and Connectivity
Project Status: The design and environmental document is expected to be
complete by the end of Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.739 / PW08-04
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SANTA GERTRUDIS CREEK PEDESTRIAN/BICYCLE TRAIL EXTENSION
Infrastructure Project
129
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 110,000 50,000 146,200 306,200
Construction 1,462,000 1,462,000
Construction Engineering 220,000 220,000
Design & Environmental 323,000 310,964 633,964
Land Acquisition 21,500 21,500
MSHCP 73,100 73,100
Total Expenditures - 433,000 382,464 1,901,300 ---2,716,764
Source of Funds:
Measure S 433,000 382,464 399,300 1,214,764
Senate Bill 1 1,502,000 1,502,000
Total Funding - 433,000 382,464 1,901,300 ---2,716,764
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) California Transportation Commission (CTC) adopted the 2019 Active Transportation Program Augmentation on January 30 - 31, 2019.
Project Description: This project includes the design, environmental, and
construction of the under-crossing in Santa Gertrudis Creek at Margarita
Road to connect to the pedestrian/bicycle trail. The under-crossing at
Margarita Road will provide a continuous paved trail along the Santa
Gertrudis Creek at this location.
Benefit: The project provides a safe pedestrian and bicycle trail connection
for the community.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is anticipated to be completed in Fiscal Year 2021-22.
Department: Public Works - Account No. 210.265.999.732 / PW19-04
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SANTA GERTRUDIS CREEK PHASE II - MARGARITA UNDER-CROSSING
Infrastructure Project
130
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 179,912 138,283 50,000 50,000 418,195
Construction 121,727 475,278 320,000 320,000 1,237,005
Construction Engineering 4,412 50,588 60,000 60,000 175,000
Design & Environmental 96,787 108,143 70,000 70,000 344,930
Total Expenditures 402,837 772,292 - 500,000 - 500,000 -2,175,129
Source of Funds:
General Fund 375,000 375,000
Measure S 350,000 450,129 500,000 500,000 1,800,129
Total Funding 725,000 450,129 - 500,000 - 500,000 -2,175,129
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will include the construction of sidewalks at
various locations throughout the City.
Benefit: This project will provide walking surfaces for pedestrians.
Core Value: Transportation Mobility and Connectivity
Project Status: A study to identify areas with missing sidewalks and prioritize
them was completed as part of the Trails and Bikeways Master Plan Update
in Fiscal Year 2015-16. Based on the study and the available resources,
sidewalks will be constructed in the selected areas considering economy of
scale and proximity to private development.
Department: Public Works - Account No. 210.265.999.708
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SIDEWALKS - CITYWIDE
Infrastructure Project
131
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 74,000 74,000
Construction 284,130 284,130
Construction Engineering 18,081 18,081
Design & Environmental 51,660 51,660
MSHCP 14,206 14,206
Total Expenditures - 442,077 -----442,077
Source of Funds:
General Fund 442,077 442,077
Total Funding - 442,077 -----442,077
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will include the construction of sidewalks on
the north side of northerly leg and the west side of DLR Drive.
Benefit: This project will provide walking surfaces for pedestrians and will
facilitate the construction of the Lexus dealership.
Core Value: Transportation Mobility and Connectivity
Project Status: This is estimated to be complete by Fiscal Year 2020-21.
Department: Public Works - Account No. 210.265.999.721 / PW19-18
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SIDEWALKS - DLR DRIVE
Infrastructure Project
132
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 231,473 34,475 265,948
Construction 77,482 979,114 1,056,596
Construction Engineering 90,020 90,020
Total Expenditures 308,956 1,103,609 -----1,412,565
Source of Funds:
CDBG 212,745 325,291 538,036
Measure S 710,000 164,529 874,529
Total Funding 922,745 489,820 -----1,412,565
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will establish programs that will remove
boardwalk plank boards and replace them with colored concrete sidewalks
stamped with wood grain finish similar to what was installed with the new
Main Street bridge.
Benefit: This project promotes a sustainable walkable surface that will
require little maintenance. New sidewalks will enhance American with
Disabilities Act(ADA) access. It will also promote a "walkable" community by
connecting the City.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.696 / PW17-16
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SIDEWALKS - OLD TOWN BOARDWALK ENHANCEMENT
Infrastructure Project
133
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 341,298 4,886 346,184
Construction 834,462 187,148 1,021,610
Construction Engineering 30,850 13,900 44,750
Design & Environmental 90,981 14,622 105,603
Total Expenditures 1,297,591 220,556 -----1,518,147
Source of Funds:
CDBG 653,492 149,655 803,147
Measure A 140,000 140,000
Measure S 400,000 175,000 575,000
Total Funding 1,193,492 324,655 -----1,518,147
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project is comprised of adding new sidewalks,
paving, street lights and trees on both sides of 5th Street from Old Town
Front Street to the Murrieta Creek Channel.
Benefit: This project will provide walking surfaces for pedestrians.
Core Value: Transportation Mobility and Connectivity
Project Status: Project is expected to be completed in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.766 / PW17-04
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SIDEWALKS - OLD TOWN IMPROVEMENTS
Infrastructure Project
134
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 39,600 39,600
Construction 37,136 10,364 47,500
Design & Environmental 11,300 36,700 48,000
Total Expenditures 48,436 86,664 -----135,100
Source of Funds:
DIF-Park & Rec Improvements 50,000 85,100 135,100
Total Funding 50,000 85,100 -----135,100
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the renovation of the Temecula
Elementary School (TES) pool building, including roof replacement and the
reconstruction of the pool deck. The City of Temecula maintains and
operates this pool facility.
Benefit: This project protects the City's vast investment in facilities.
Core Value: Healthy and Livable City
Project Status: Land surveying is currently in progress. Design will be
initiated during this fiscal year and construction is to follow.
Department: Public Works - Account No. 210.290.999.143
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TEMECULA ELEMENTARY SCHOOL (TES) POOL RENOVATION
Infrastructure Project
135
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 750,010 2,587 752,597
Construction 2,420,942 321,100 2,742,042
Construction Engineering 496,290 17,667 513,957
Design & Environmental 305,918 1,937 307,855
Information Technology 7,486 114,614 122,100
Land Acquisition 187,530 187,530
MSHCP 34,136 34,136
Total Expenditures 4,202,313 457,905 -----4,660,218
Source of Funds:
Assembly Bill 2766 1,122,385 1,122,385
CMAQ-Congestion Mitigation
Air Quality
729,872 1,178,159 1,908,031
DIF-Police Facilities 100,000 100,000
General Fund 1,129,802 1,129,802
Measure S 400,000 400,000
Total Funding 3,482,059 1,178,159 -----4,660,218
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Congestion Mitigation and Air Quality (CMAQ) Funds approved by the RCTC on January 8, 2014.
Project Description: This project includes the acquisition of property, design,
and construction of a Park and Ride facility in the vicinity of Temecula
Parkway and La Paz Street. The Information Technology component includes
camera system infrastructure, and other identified technology needs.
Benefit: This project enables and encourages Temecula residents to carpool
when commuting.
Core Value: A Sustainable City
Project Status: Project is anticipated to be complete in Fiscal Year 2019-20.
Department: Public Works - Account No. 210.265.999.747 / PW06-09
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
TEMECULA PARK & RIDE
Infrastructure Project
136
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 27,300 27,300
Design & Environmental 323,930 323,930
Total Expenditures - 351,230 -----351,230
Source of Funds:
DIF-Park & Rec Improvements 27,300 27,300
Grants 323,930 323,930
Total Funding - 351,230 -----351,230
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the development of an Urban
Forest Management Plan, conduct a tree inventory and canopy assessment
and the planting of 300 trees. This project is in cooperation with Cal Fire
Urban & Community Forestry Program, Proposition 68 Grant Agreement.
Benefit: 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 ultimately 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.
Core Value: A Sustainable City
Project Status: This project is estimated to be complete by March 2022.
Department: Public Works - Account No. 210.290.999.204
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
URBAN FOREST MANAGEMENT PLAN
Infrastructure Project
137
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 31,875 31,875
Construction 89,061 123,439 212,500
Total Expenditures 89,061 155,314 -----244,375
Source of Funds:
Measure S 244,375 244,375
Total Funding 244,375 ------244,375
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the undergrounding of utilities at
various locations throughout the City to extend the undergrounding done by
the developers beyond the limits of their developments. The requested
funding covers the following two locations: 1) approximately 600 LF in front
of Julian Charter School (located at 29141 Vallejo Avenue) between two
private developments (the Gateway Development and Hope Lutheran
Church); 2) approximately 250 LF on Third Street just east of Old Town Front
Street and west of the proposed hotel.
Benefit: Undergrounding of this 600 LF segment of existing overhead utility
lines along Vallejo Avenue will result in a total of 2,000 LF of utility
undergrounding as the two adjacent private developments will improve their
frontage overhead utilities as well. Also, the utilities on Third Street,
between Mercedes and Old Town Front will be undergrounded as a result of
the proposed hotel and this project.
Core Value: A Sustainable City
Project Status: This project was initiated in Fiscal Year 2017-18.
Implementation is contingent on adjacent developments.
Department: Public Works - Account No. 210.265.999.776
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
UTILITY UNDERGROUNDING - CITYWIDE
Infrastructure Project
138
PARKS and RECREATION PROJECTS
Table of Contents
Parks and Recreation Projects Location Map…………………………………………………………………………………140
Children’s Museum Enhancement Project ......................................................................................... 141
Community Recreation Center (CRC) Pool Site Enhancement………………………………………………………..143
Community Recreation Center Splash Pad & Shade Structures……………………………………………………..144
Community Services Master Plan ....................................................................................................... 145
Eagle Soar Splash Pad Control System Renovation ............................................................................ 146
Flood Control Channel Reconstruction & Repair ................................................................................ 147
Library Parking – Phase II……………………………………………………………………………………………………………….148
Park Restrooms Renovations, Expansion, and Americans with Disabilities Act Improvements......... 149
Parks Improvement Program .............................................................................................................. 151
Playground Equipment Enhancement & Safety Surfacing .................................................................. 152
Ronald H. Roberts Temecula Public Library Enhancement and Renovation ...................................... 154
Ronald Reagan Sports Park Channel Silt Removal…………………………………………………………………………..155
Ronald Reagan Sports Park Restroom Expansion & Renovation ........................................................ 156
Sam Hicks Monument Park Perimeter Fencing………………………………………………………………………………157
Sports Court Resurfacing .................................................................................................................... 158
Sports Field Lighting Light Emitting Diode (LED) Conversion .............................................................. 159
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
139
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""
""""
""""""
1
7
4
2 3 568
YN
E
Z
R
D
PE
C
H
A
N
G
A
P
K
YWINCHESTERRDO
L
D
TOWNFRONT
ST
M
E
ADOWSPK Y
TEMECULA
P
K
W
YMAIN STOVERLA N D D R
BUSINESSP AR
K
DR BUTTERF
IE
L
D
S
T
A
G
E
R
D
WOLF VALLEYRD
M A R G ARITA R DVIANORTESOLANAWY
D E L REY R D
R ANCHO V I S T A RDSA N T IA G O RD
VAIL R ANCH
P
K
Y
D
I
A
Z
R
D
REDHA W K P K YYNE
Z
R
D
DEP O R T O L A RDRANCHO C A L I F O R N I A R D
MAR
GARITARDPAUBARDLASERENAWY
J
E
F
FERSO
N
A
VNICOLAS RD
""
""
""
""""
""""""
1
7
4
2 3 568
!"#$15
!"#$15
Parks and Recreation Projects
City of TemeculaFiscal Years 2021-25Capital Improvement Program
Map Number Description1 Children's Museum Enhancement Project2 Community Recreation Center (CRC) Pool Site Enhancements3 Community Recreation Center Splash Pad & Shade Structures4 Eagle Soar Splash Pad Control System Renovation5 Ronald H. Roberts Temecula Public Library Enhancement & Renovation6 Ronald Reagan Sports Park Channel Silt Removal7 Ronald Reagan Sports Park Restroom Expansion & Renovation8 Sam Hicks Monument Park Perimeter Fencing
140
Children's Museum
Prior Year
Actuals
Total
Project
Cost
2019-20 Funding Source
Basement (Recycling Room) - Remove & Replace entire room with new theme 299,716$ DIF (Parks & Recreation)
Library(Travel & Time) - New Exhibit(Time/Geography);new Book Worm Exhibit; Refresh
Bookshelves 20,374$ Measure S
Dining Room (Power & Electricity) - Upgrade Electrical Wall Exhibit 15,000$ Measure S
Hallway & Museum Wide - Sound System Upgrade; New sound effects throughout; Puzzling
Predicaments (Escape Room Concept)15,000$ Measure S
Maze Room - Refresh entire Room 20,000$ Measure S
Bedroom (Perception/Illusion Room) - Refresh entire room; add themed exhibit 45,000$ Measure S
Foyer (Flight Room) - Refresh/Renovate 45,000$ DIF (Parks & Recreation)
Bathroom (Hydroelectric room) - New toilet exhibit; refresh balance 45,000$ DIF (Parks & Recreation)
Music Room - Wall Exibits use existing Organ Ambiance update 20,000$ Measure S
Play Room - Computer upgrades 10,000$ Measure S
Life Science Hallway - Refresh 10,000$ Measure S
Total 299,716$ 245,374$ 545,090$
CHILDREN'S MUSEUM ENHANCEMENT PROJECT
Parks and Recreation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
141
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 432 9,568 10,000
Construction 299,284 221,806 521,090
Design & Environmental 14,000 14,000
Total Expenditures 299,716 245,374 -----545,090
Source of Funds:
DIF-Park & Rec Improvements 145,090 145,090
Measure S 400,000 400,000
Total Funding 545,090 ------545,090
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: As exhibits and play experiences in the Children’s
Museum become outdated, this project allows for the re-design and
replacement of exhibit areas or refurbishment of existing exhibits. This
process provides the museum visitors new and updated play experiences.
Benefit: This project enhances existing exhibit areas of the Children’s
Museum.
Core Value: Healthy and Livable City
Project Status: A project list has been developed. Projects are completed on
an on-going basis as funding becomes available.
Department: TCSD - Account No. 210.290.999.125 / PW19-05
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
CHILDREN'S MUSEUM ENHANCEMENT PROJECT
Parks/Recreation Project
142
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 206,948 3,980 210,928
Construction 1,527,416 49,478 1,576,894
Construction Engineering 10,582 18,955 29,537
Design & Environmental 122,379 2,295 124,674
Total Expenditures 1,867,326 74,708 -----1,942,034
Source of Funds:
Measure S 1,860,000 82,034 1,942,034
Total Funding 1,860,000 82,034 -----1,942,034
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the removal, replacement of pool
decking, pool re-plaster, and the installation of an enhanced lighting system
with energy efficient LED fixtures.
Benefit: This project protects the City's vast investment in parks and
facilities.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete by Fiscal Year 2019-20.
Department: Public Works - Account No. 210.290.999.116 / PW18-02
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
COMMUNITY RECREATION CENTER (CRC) POOL SITE ENHANCEMENT
Parks/Recreation Project
143
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 15,000 150,000 165,000
Construction 700,000 700,000
Design & Environmental 85,000 50,000 135,000
Equipment 100,000 100,000
Total Expenditures - 100,000 --- 1,000,000 -1,100,000
Source of Funds:
Measure S 100,000 1,000,000 1,100,000
Total Funding - 100,000 --- 1,000,000 -1,100,000
Future Operating & Maintenance Costs:
Total Operating Costs
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: This project will provide City residents an additional splash pad for
enhanced recreational opportunities.
Core Value: Healthy and Livable City
Project Status: Project design will commence in Fiscal Year 2019-20 and will
be constructed in Fiscal Year 2023-24.
Department: Public Works - Account No. 210.290.999.205
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
COMMUNITY RECREATION CENTER SPLASH PAD & SHADE STRUCTURES
Parks/Recreation Project
144
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 41,773 83,227 125,000
Design & Environmental 34,535 116,665 151,200
Total Expenditures 76,308 199,892 -----276,200
Source of Funds:
Measure S 276,200 276,200
Total Funding 276,200 ------276,200
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The Community Services Department's prior Master
Plans (Youth, 2008; Cultural Arts, 1999; and Parks and Recreation, 1993) no
longer adequately address the services, facilities, and parks currently
managed by the City; nor do these documents reflect current demographic,
statutory, financial, and social factors. The Community Services Master Plan
will provide a pathway for the future, taking into account the existing
capacity, location, and condition of facilities, programs, and parks as well as
the needs and desires of City residents.
Benefit: This project will create a comprehensive Master Plan to enable the
orderly and consistent planning, acquisition, development, and
administration of the City's Community Services facilities, programs, and
parks.
Core Value: Healthy and Livable City
Project Status: The Community Services Master Plan will be conducted as
resources are identified.
Department: Public Works - Account No. 210.290.999.117
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
COMMUNITY SERVICES MASTER PLAN
Parks/Recreation Project
145
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 20,000 20,000
Construction 180,000 180,000
Total Expenditures - 200,000 -----200,000
Source of Funds:
Measure S 200,000 200,000
Total Funding - 200,000 -----200,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project provides for the renovation and updating of
the splash pad control system to meet current Health & Safety requirements.
Benefit: This project enhances the safety for the splash deck users and
reduces the risk of exposure to unsanitary water.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete in Fiscal Year 2020-21.
Department: Public Works - Account No. 210.290.999.145
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
EAGLE SOAR SPLASH PAD CONTROL SYSTEM RENOVATION
Parks/Recreation Project
146
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 187,170 103,790 220,000 510,960
Construction 45,531 972,940 77,468 3,822,532 4,918,471
Construction Engineering 78,500 160,000 238,500
Design & Environmental 263,269 186,156 550,000 999,425
MSHCP 52,404 52,404
Total Expenditures 495,970 1,393,790 77,468 -4,752,532 --6,719,760
Source of Funds:
General Fund 650,284 650,284
Measure S 797,427 442,049 77,468 1,316,944
Unspecified 4,752,532 4,752,532
Total Funding 1,447,711 442,049 77,468 -4,752,532 --6,719,760
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project repairs and reinforces the earth and berms
between specific park sites and flood control channels, and fortifies the
banks to prevent further erosion into the park sites. A report for Pala
Community Park, Margarita Community Park, and Long Canyon Creek Park
was developed. The funding identified through Fiscal Year 2019-20 covers
the construction work required to protect Pala Park. The Future Years
funding is to protect Margarita and Long Canyon Community Parks.
Benefit: This project prevents further erosion into specific park sites.
Core Value: Healthy and Livable City
Project Status: A study of the affected parks was completed in Fiscal Year
2014-15. Design and construction of the recommended fixes will be
implemented based on available funds. Design for Pala Park was completed
in Fiscal Year 2015-16. Environmental process commenced in Fiscal Year
2017-18 and will conclude in Fiscal Year 2022-23.
Department: Public Works - Account No. 210.290.999.127 / PW11-10
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
FLOOD CONTROL CHANNEL RECONSTRUCTION & REPAIR
Parks/Recreation Project
147
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 336,362 97,127 433,489
Construction 475,434 1,775,704 2,251,138
Construction Engineering 141,066 188,856 329,922
Design & Environmental 233,873 11,127 245,000
Information Technology 26,269 33,741 60,010
MSHCP 17,337 17,337
Total Expenditures 1,230,340 2,106,555 -----3,336,895
Source of Funds:
DIF-Library Facilities 1,033,673 1,228,253 2,261,926
DIF-Police Facilities 50,000 50,000
General Fund 37,627 37,627
Measure S 847,342 140,000 987,342
Total Funding 1,968,642 1,368,253 -----3,336,895
Future Operating & Maintenance Costs:
Total Operating Costs
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 Information Technlogy
component includes camera system infrastructure, Public Wi-Fi and other
identified technology needs.
Benefit: This project provides additional parking for Library patrons,
meetings, and special programs.
Core Value: Healthy and Livable City
Project Status: Construction of the expansion has been completed.
Department: Public Works - Account No. 210.290.999.153 / PW13-09
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
LIBRARY PARKING - PHASE II
Parks/Recreation Project
148
Park Restrooms
Prior Year
Actuals
Project
Cost
Fiscal
Year
Funding
Source
Prior Year Actuals 57,962$ 57,962$ Measure S
RRSP North/South Ball Field - Restroom Building Renovations 389,838$ 2020-21 Measure S
Vail Ranch Park - New Restroom Facility 680,000$ 2020-21 Measure S
Total 57,962$ 1,127,800$
Prior Years 57,962$
FY 2020-21 1,069,838$
TOTAL: 1,127,800$
PARK RESTROOMS RENOVATIONS, EXPANSION AND AMERICANS WITH DISABILITY ACT(ADA)
IMPROVEMENTS
Parks and Recreation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
149
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 18,667 61,333 80,000
Construction 39,295 893,505 932,800
Construction Engineering 50,000 50,000
Design & Environmental 35,000 35,000
Information Technology 30,000 30,000
Total Expenditures 57,962 1,069,838 -----1,127,800
Source of Funds:
Measure S 347,800 780,000 1,127,800
Total Funding 347,800 780,000 -----1,127,800
Future Operating & Maintenance Costs:
Total Operating Costs 25,500 26,010 26,530 27,061
Notes :
1. (1) Operating & Maintenance costs reflect the increased janitorial costs associated with the addition of new park restroom facilities.
Project Description: This project provides for the design and construction of
new park restroom facilities and the renovation, expansion and Americans
with Disabilities Act (ADA) improvements of existing restroom facilities at
various Parks. The restroom expansion includes adding additional restroom
buildings, renovating concession and bringing restroom facilities to meet
current ADA accessibility compliance standards.
Benefit: This project provides additional restrooms for park patrons and
brings facility to accessibility compliance.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete by Fiscal Year 2021-22.
Department: Public Works - Account No. 210.290.999.155 / PW17-06
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PARK RESTROOMS RENOVATIONS, EXPANSION AND AMERICANS WITH DISABILITIES ACT (ADA)
IMPROVEMENTS
Parks/Recreation Project
150
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 21,400 20,000 20,000 61,400
Construction 1,684,036 254,565 230,000 230,000 2,398,601
Total Expenditures 1,705,435 254,565 - 250,000 - 250,000 -2,460,000
Source of Funds:
DIF-Quimby 250,000 250,000
General Fund 1,003,059 1,003,059
Measure S 400,000 250,000 250,000 250,000 1,150,000
Reimbursements 56,941 56,941
Total Funding 1,710,000 250,000 - 250,000 - 250,000 -2,460,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project facilitates rehabilitation and improvement
projects at various City parks The rehabilitation and improvement projects
could include, but are not limited to, parking lot repairs and resurfacing,
landscape medians, raised and cracked concrete sidewalk replacement,
fencing repair and replacement, landscaping and irrigation system efficiency
upgrades, lighting system repairs and efficiency upgrades, on-site drainage
improvements and other similar projects.
Benefit: This project protects the City’s vast investment in parks and open
space facilities.
Core Value: Healthy and Livable City
Project Status: A priority list of rehabilitation projects has been developed.
Rehabilitations are completed on an on-going basis.
Department: Public Works - Account No. 210.290.999.130
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PARKS IMPROVEMENT PROGRAM
Parks/Recreation Project
151
Park Playground
Prior Year
Actuals
Project
Cost
Fiscal
Year
Funding
Source
Various Park Sites 1,993,147$
John Magee Park & Winchester Creek Park 543,013$ 2019-20 DIF (Quimby)
Stephen Linen Jr. Memorial Park - playground replacement 438,041$ Measure S
Sam Hicks Park 404,076$
Ronald Reagan Sports Park - playground replacement 399,372$ 2020-21 Measure S
Pauba Ridge Park - safety surfacing only 40,000$
Meadows Park - safety surfacing only 40,000$
Playground Safety Surfacing 300,000$
Future Playgrounds Enhancements 500,000$ 2021-22 Measure S
Future Playgrounds Enhancements 500,000$ 2023-24 Measure S
Total 1,993,147$ 3,164,502$ 5,157,649$
Prior Years 1,993,147$
FY 2019-20 1,385,130$
FY 2020-21 779,372$
FY 2021-22 500,000$
FY 2022-23
FY 2023-24 500,000$
PLAYGROUND EQUIPMENT ENHANCEMENT AND SAFETY SURFACING
Parks and Recreation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
152
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 1,965 20,000 20,000 20,000 61,965
Construction 1,991,182 2,144,502 480,000 480,000 5,095,684
Total Expenditures 1,993,147 2,164,502 - 500,000 - 500,000 -5,157,649
Source of Funds:
DIF-Park & Rec Improvements 1,040,000 1,040,000
DIF-Quimby 200,000 240,000 440,000
Measure S 850,000 1,827,649 500,000 500,000 3,677,649
Total Funding 2,090,000 2,067,649 - 500,000 - 500,000 -5,157,649
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the re-design, enhancement of
playground equipment, and safety surfacing at existing City parks to comply
with current state and federal regulations and enhance the quality of the
parks. The projects include playground safety assessments, planning and
evaluation, playground quality enhancements such as fencing, surfacing,
accessibility and or new equipment.
Benefit: This project protects the City’s vast investment in parks and open
space facilities.
Core Value: Healthy and Livable City
Project Status: The enhancement of playground equipment and safety
surfacing will be performed at one to two sites per year, dependent on
available funding. A priority list has been developed and enhancement will
be completed on an ongoing basis.
Department: Public Works - Account No. 210.290.999.120
Level: II
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
PLAYGROUND EQUIPMENT ENHANCEMENT & SAFETY SURFACING
Parks/Recreation Project
153
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 143,000 143,000
Furnishings & Equipment 21,504 21,504
Total Expenditures - 164,504 -----164,504
Source of Funds:
Measure S 164,504 164,504
Total Funding - 164,504 -----164,504
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: The Ronald H. Roberts Temecula Public Library opened
in 2006 with over 5 million visitors since then, the carpet and chairs have
experienced significant wear. This project allows for the installation of new
carpeting for the 34,000 square foot facility, and also the reupholster of the
final twelve chairs that were not included as part of the previous Capital
Project.
Benefit: This project updates and enhances the appearance of the facility.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete in Fiscal Year 2020-21.
Department: TCSD - Account No. 210.290.999.146
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
RONALD H. ROBERTS TEMECULA PUBLIC LIBRARY ENHANCEMENT & RENOVATION
Parks/Recreation Project
154
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 187,269 187,269
Construction 242,382 2,681 245,063
Design & Environmental 242,567 25,086 267,653
Total Expenditures 672,219 27,767 -----699,986
Source of Funds:
General Fund 461,366 461,366
Proposition 42 88,000 88,000
Reimbursements 150,620 150,620
Total Funding 699,986 ------699,986
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project will include excavating, hauling away, and
disposing of silt in the channel location in Ronald Reagan Sports Park, and
the desiltation pond west of the sports park, as well as mitigation. Part of
this project was completed in December 2007, in accordance with City
Resolution No. 07-105, Declared Local Emergency.
Benefit: This project increased the flow capacity of the channel in order to
prevent flooding in the sports park, and increased the capacity of the pond
to hold storm water and reduce down stream sedimentation.
Core Value: A Safe and Prepared Community
Project Status: Removal of silt and construction of the mitigation site was
completed in Fiscal Year 2011-12. The project is in the five-year maintenance
period. Upon approval by the resource agencies, the maintenance of the
mitigation site is estimated to be completed during FY 2019-20.
Department: Public Works - Account No. 210.265.999.187 / PW05-13
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
RONALD REAGAN SPORTS PARK CHANNEL SILT REMOVAL
Parks/Recreation Project
155
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 18,967 30,533 50,000 99,500
Construction 556,000 345,000 901,000
Construction Engineering 48,000 48,000
Design & Environmental 71,500 71,500
Total Expenditures 18,967 706,033 395,000 ----1,120,000
Source of Funds:
Measure S 725,000 395,000 1,120,000
Total Funding 725,000 -395,000 ----1,120,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project provides for the design and construction of
the restroom building expansion at Ronald Reagan Sports Park. The restroom
expansion includes adding additional restroom stalls and urinals, renovating
the snack bar, and enlarging the storage case.
Benefit: This project provides additional facilities for park patrons.
Core Value: Healthy and Livable City
Project Status: Project is estimated to be complete in Fiscal Year 2020-21.
Department: Public Works - Account No. 210.290.999.114 / PW18-03
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
RONALD REAGAN SPORTS PARK RESTROOM EXPANSION & RENOVATION
Parks/Recreation Project
156
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 10,000 10,000
Construction 181,000 181,000
Design & Environmental 10,000 10,000
Total Expenditures --201,000 ----201,000
Source of Funds:
Measure S 201,000 201,000
Total Funding --201,000 ----201,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes the design, purchase and
installation of perimeter fencing at the Sam Hicks Monument Park site.
Benefit: This project will enhance the appearance of the park site with
ornamental perimeter fencing.
Core Value: Healthy and Livable City
Project Status: This project is estimated to be complete on FY2020-21.
Department: Public Works - Account No. 210.290.999.220
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SAM HICKS MONUMENT PARK PERIMETER FENCING
Parks/Recreation Project
157
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 23,900 96,357 50,000 50,000 50,000 270,257
Total Expenditures 23,900 96,357 50,000 -50,000 -50,000 270,257
Source of Funds:
Measure S 100,000 20,257 50,000 50,000 50,000 270,257
Total Funding 100,000 20,257 50,000 -50,000 -50,000 270,257
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project includes repairs and resurfacing of sport
court surfacing at various parks and facilities. Surfacing includes tennis
courts, basketball courts, and hockey rinks at various parks.
Benefit: This project protects the City’s vast investment in parks and open
space facilities. In addition, this project satisfies the City’s Core Values of a
Healthy and Livable City, A Safe and Prepared Community, and Accountable
and Responsive City Government.
Core Value: Healthy and Livable City
Project Status: Projects will be completed on an on-going basis as funding
becomes available.
Department: Public Works - Account No. 210.290.999.141
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SPORTS COURT RESURFACING
Parks/Recreation Project
158
Sports Parks
Prior Year
Actuals
Project
Cost Year
Funding
Source
Pala Community Park 77,787$ 2018-19 Measure S
Paloma Del Sol - Sports Light LED Upgrade - Soccer and Softball Fields 329,629$ -$ 2019-20 Measure S
Ronald Reagan North/South Fields 222,584$ 2020-21 Measure S
407,416$ 222,584$
FY 2018-19 77,787$
FY 2019-20 329,629$
FY 2020-21 222,584$
TOTAL: 630,000$
SPORTS FIELD LIGHTING - LIGHT EMITTING DIODE (LED) CONVERSION
Parks and Recreation Project
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
159
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 35,000 35,000
Construction 77,824 417,176 100,000 595,000
Total Expenditures 77,824 452,176 100,000 ----630,000
Source of Funds:
Measure S 250,000 280,000 100,000 630,000
Total Funding 250,000 280,000 100,000 ----630,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project provides for the replacement of the aging
sports field lighting components with new LED technology at various sports
parks.
Benefit: This project enhances the safety of sport field users, reduces
unnecessary light pollution and increases energy efficiency at City parks.
Core Value: Healthy and Livable City
Project Status: Project will be completed on an on-going basis as funding
becomes available.
Department: Public Works - Account No. 210.290.999.113
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
SPORTS FIELD LIGHTING - LIGHT EMITTING DIODE (LED) CONVERSION
Parks/Recreation Project
160
SUCCESSOR AGENCY TO THE TEMECULA
REDEVELOPMENT AGENCY (SARDA)
Table of Contents
SARDA Projects Location Map……………………………………………………………………………………………………….162
Affordable Housing ............................................................................................................................. 163
Vine Creek Affordable Housing Project………………………………………………………………………………………….164
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
161
OL
D
T
O
W
N
F
R
O
N
T
S
T
SANTIAGO
RDMAIN STRANCHO CALIFORNIA
R
D
YNEZ
R
DDIAZ
RDJEFFERSONAVEPUJOL ST
OL
D
T
O
W
N
F
R
O
N
T
S
T
SANTIAGO
RDMAIN STRANCHO CALIFORNIA
R
D
YNEZ
R
DDIAZ
RDJEFFERSONAVEPUJOL ST
!"#$15
!"#$15
SARDA Projects
City of TemeculaFiscal Years 2021-25Capital Improvement Program
2
Reference Map
!"#$15
!"#$15
Map Number Description1 Affordable Housing – specific location not yet identified 2 Vine Creek Affordable Housing Project
162
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 13,471,940 13,471,940
Total Expenditures --13,471,940 ----13,471,940
Source of Funds:
RDA Bond Proceeds 13,471,940 13,471,940
Total Funding --13,471,940 ----13,471,940
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: This project serves as a placeholder for the proceeds
remaining from the 2017A and 2017B Tax Allocation Refunding Bonds Series
issued by the former Temecula Redevelopment Agency. Once a specific
project is identified, staff will bring forward a recommendation to the
Oversight Board and SARDA for formal approval.
Benefit: The specific Benefit/Core Value will be identified when the funds are
appropriated to a specific capital project.
Core Value: Healthy and Livable City
Project Status: The City is currently in negotiation with several developers
for the construction of affordable housing.
Department: - Account No. 210.800.815.815
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
AFFORDABLE HOUSING
SARDA Project
163
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Proposed
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Construction 2,710,000 2,710,000
Total Expenditures --2,710,000 ----2,710,000
Source of Funds:
Affordable Housing 2,710,000 2,710,000
Total Funding --2,710,000 ----2,710,000
Future Operating & Maintenance Costs:
Total Operating Costs
Project Description: A Disposition and Development Agreement (DDA) for
Vine Creek Apartments, a 100% affordable, 60 unit development, was
approved by the City Council in June 2019. The City pledged to contribute
$2.71 million towards the project, including $698,281 in a deferred fee loan,
$1,301,719 permanent loan, and $710,000 purchase loan. The Deferred Fee
Loan of $698,281 consists of deferred Development Impact Fees (DIF),
Quimby fees, permit fees, Public Works fees, and Fire fees for the Project,
locked in at 2018-19 amounts. The Permanent Loan is limited to funds
received by the City from Supplemental Educational Revenue Augmentation
Fund (SERAF) Repayments, which have recently been approved by the State
Department of Finance as part of the Recognized Obligation Payment
Schedule (ROPS) for the Successor Agency to the Redevelopment Agency. If
the SERAF Repayments received by the City during FY 2019-20 and 2020-21
total less than $1,301,719, then the amount to the Developer will be reduced
to the actual repayment amount. The Purchase Money Loan of $710,000
reflects the purchase price of the Real Property to be paid by the Developer
to the City.
Benefit: Upon completion, the City will have an additional 60 affordable
housing units, all of which will be at 60% of the area median income (AMI) or
lower.
Core Value: Economic Prosperity
Project Status: The developer is currently applying for additional funding
through the State of California.
Department: Community Development - Account No. 210.800.815.820
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
VINE CREEK AFFORDABLE HOUSING PROJECT
SARDA Project
164
Project Title Department Estimated*
Project Cost
Cherry Street Extension Diaz Road to Jefferson Avenue Public Works 11,180,000
La Paz Street Widening from Ynez Road to Temecula Parkway Public Works 2,500,000
Pauba Road Improvements - east of Margarita Road on the north side Public Works 130,000
Rainbow Canyon Road Widening from Pechanga Parkway to City Limit Public Works 8,000,000
Rancho California Road East of Meadows Parkway Public Works 470,000
Rancho Way Extension from Diaz to Margarita Road Public Works 28,337,000
Temecula Creek Crossing Public Works 16,777,300
Ynez Road Widening from Tierra Vista Road to Rancho Vista Road Public Works 580,000
67,974,300$
Corporate Meeting and Event Space Community Services 625,000
Fire Station 92 and 95 Bay Door Replacement Fire Services 200,000
Pedestrian and Bicycle Bridge Overcrossing into Old Town Planning 1,890,000
Old Town Gymnasium Community Services 4,630,000
Southside Branch Library Community Services 6,640,000
Southside Recreation Center Community Services 4,500,000
18,485,000$
Ronald Reagan Sports Park North/South Fields Back Stops, Dugout,
and Parking Lot with Trash Enclosures
Community Services 857,000
Ronald Reagan Sports Park Upper Soccer Paving and
Materials/Equipment Storage Bays
Community Services 481,250
Sports Complex - Joint Use (Riverside County Flood Control District)Community Services 8,250,000
Ynez Road and Overland Landscaping Community Services 200,000
Vail Ranch Park Site D Community Services 1,843,000
11,631,250$
PARKS and RECREATION
CIRCULATION
INFRASTRUCTURE / OTHER
FUTURE YEARS PROJECTS
*Estimates are planning level at the time the project was reviewed and they do not account for inflation and economic conditions
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
165
166
GLOSSARY OF TERMS
Abatement – Abatement usually applies to tax levies, special assessments, and service charges.
Accounting System – The methods and records established to identify, assemble, analyze, classify,
record, and report a government’s transactions and to maintain accountability for the related
assets and liabilities.
Adoption – Formal action by the City Council that sets the spending limits for the fiscal year.
Appropriation – A legal authorization granted by the City Council to make expenditures and incur
obligations for specific purposes.
Americans with Disabilities Act of 1990 (ADA) – A federal law providing for a wide range of
protection to individuals which directly benefit District members.
Assessment District – A separate local government agency formed to provide specific local public
improvements that directly benefit District members.
Audit – A systematic collection of the sufficient, competent evidential matter needed to attest to
fairness of management’s assertions in the financial statements or to evaluate whether
management has efficiently and effectively carried out its responsibilities.
Budget – A plan of financial operation embodying an estimate of proposed expenditures for a given
period and the proposed means of financing them. Used without any modifier, the term usually
indicates a financial plan for a single fiscal year.
Budgetary Control – The control or management of a government or enterprise in accordance with
an approved budget for the purpose of keeping expenditures within the limitations of available
appropriations and revenues.
Capital Improvement – Construction or major repair of City buildings, infrastructure, and facilities
such as streets, roads, highways, bridges, curbs, gutters, sidewalks, storm drains, traffic signals,
streetlights, gas and water distribution facilities, and parks.
Capital Improvement Program (CIP) – Annual appropriations in the City’s budget for capital purposes
such as street improvements, building construction, and park improvements.
Capital Expenditures – Expenditures resulting in the acquisition of or addition to the government’s
general fixed assets having a unit cost of $5,000 or more and a useful life of greater than one
year. Infrastructure assets of $100,000 or more are also recorded capital expenditures.
Capital Outlay – Expenditures which qualify as capital costs according to accounting standards. This
includes furniture, fixtures, machinery, equipment, and other relatively minor fixed assets.
Capital Project – A specific undertaking involving the procurement, construction or installation of
facilities and related equipment which improves, preserves, enhances, or modernizes the City’s
provision of municipal services, has a long‐term useful life, and for which costs exceed $30,000.
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
167
GLOSSARY OF TERMS (continued)
Construction Engineering – Engineering work during the construction process that ensures projects
are constructed in accordance with design parameters and specifications. The primary
construction engineering functions are construction inspections, laboratory services, field
surveys and design plan updates or interpretations.
Contingency – A budgetary reserve set‐aside for emergency or unanticipated expenditures.
Contractual Services – Contracts for professional services.
Core Value: The Quality of Life Master Plan (QLMP) provides the framework for the City’s Strategic
Budgeting activities. The City Council has set priorities and guided staff in developing six (6) Core
Values upon which to focus time and resources (as identified in the QLMP). These areas include:
1. Healthy and Livable City
2. Economic Prosperity
3. A Safe and Prepared Community
4. A Sustainable City
5. Transportation Mobility and Connectivity
6. Accountable and Responsive City Government
Department – An organizational unit comprised of programs and program managers. A single
director manages each department.
Encumbrances – An amount of money committed for the payment of goods and services not yet
received or paid for.
Expenditures – Decreases in net current assets.
Fiscal Year – The period designated by the City signifying the beginning and ending period for
recording financial transactions. The City of Temecula has a fiscal year of July 1 through June 30.
Fund – An accounting entity with a set of self‐balancing accounts recording revenues and
expenditures and transactions for specific activities.
Fund Balance – The difference between the assets (revenues and other resources) and liabilities
(expenditures incurred or committed to) for a particular fund.
Future Years – The intent of the future period is to project out to ten (10) years, projects that are
anticipated by staff and the City Council that will ultimately have a very large impact on the City
and surrounding area.
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
168
GLOSSARY OF TERMS (continued)
General Fund – Accounts for tax and other general fund revenues (e.g., sales taxes, property taxes,
fines and forfeitures, investment interest, etc.) and records the transactions of general
governmental services (e.g., police, fire, library, parks and recreation, public service, etc.).
Goals – The desired result of accomplishments within a given time frame, usually a fiscal year.
Grants – Contributions or gifts of cash or other assets from another government to be used or
expended for a specified purpose.
Objectives – The necessary steps to achieve a desired goal.
Operations & Maintenance – Office supplies and other materials used in the normal operations of
City departments. Includes items such as books, maintenance materials, and contractual
services.
Organization – A unit of operation having specific responsibilities and duties and collectively form an
Agency. The terms organization and division is used interchangeably throughout the budget
document (i.e., Accounting Organization, Traffic Division, etc.).
Resources – Total amounts available for appropriation including estimated revenues, fund transfers,
and beginning balances.
Revenues – The yield of taxes and other sources of income that a governmental unit collects and
receives for public use.
Special Assessment – A compulsory levy made against certain properties to defray all or part of the
cost of a specific capital improvement or service deemed to benefit primarily those properties.
Taxes – Compulsory charges levied by a government to finance services performed for the common
benefit. This term does not include specific charges made against particular persons or property
for current or permanent benefits, such as special assessments; nor does the term include
charges for services rendered only to those paying such charges (i.e., sewer service charges).
Transfers In/Out – Payments from one fund to another fund primarily for work or services provided.
Unspecified – Funds that have not been identified for various proposed projects.
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
169
170
Project Cost:
Prior Years
Actuals
2019-20
Adjusted
2020-21
Adopted
Budget
2021-22
Projected
2022-23
Projected
2023-24
Projected
2024-25
Projected
Total Project
Cost
Administration 5,000 5,000
Design & Environmental 85,000 85,000
Total Expenditures --90,000 ----90,000
Source of Funds:
Grants 72,000 72,000
Measure S 18,000 18,000
Total Funding --90,000 ----90,000
Future Operating & Maintenance Costs:
Total Operating Costs
Notes :
1. (1) Grant source: CalTrans Local Roadway Safety Plan (LRSP)
Project Description: This project is to develop a Local Roadway Safety Plan
(LRSP) in support of a statewide data-driven traffic safety plan to reduce
traffic accident fatalities and serious injuries on all public roads. The
preparation of an LRSP creates a framework to systematically identify and
analyze safety problems and recommend safety improvements.
Benefit: The project will provide a prioritized list of improvements and
actions that can demonstrate a defined need and contribute to a proactive
approach for addressing local safety needs.
Core Value: Transportation Mobility and Connectivity
Project Status: This project is estimated to be complete on FY2020-21.
Department: Public Works - Account No. 210.265.999.NEW
Level: I
City of Temecula
Fiscal Years 2021-25
Capital Improvement Program
LOCAL ROADWAY SAFETY PLAN
Infrastructure Project
PC RESOLUTION NO. 2020-17
A RESOLUTION OF THE PLANNING COMMISSION OF
THE CITY OF TEMECULA MAKING A FINDING OF
CONSISTENCY WITH THE GENERAL PLAN FOR THE
FISCAL YEAR 2021-2025 CAPITAL IMPROVEMENT
PROGRAM (“CIP”) AND RECOMMENDING THE CITY
COUNCIL APPROVE THE CIP AND ADOPT A
RESOLUTION ENTITLED “A RESOLUTION OF THE CITY
COUNCIL OF THE CITY OF TEMECULA TO ADOPT THE
FISCAL YEAR 2021-2025 CAPITAL IMPROVEMENT
PROGRAM (CIP) WHICH IS CONSISTENT WITH THE
CITY’S GENERAL PLAN AND MAKING A FINDING OF
EXEMPTION UNDER SECTIONS 15061(B)(3), 15262 AND
15378(B)(4) OF THE CALIFORNIA ENVIRONMENTAL
QUALITY ACT (“CEQA”) (LONG RANGE PLANNING
PROJECT NO. LR20-0500)”
THE PLANNING COMMISSION OF THE CITY OF TEMECULA DOES HEREBY RESOLVE
AS FOLLOWS:
Section 1. Procedural Findings. The Planning Commission of the City of Temecula
does hereby find, determine and declare that:
A. The City of Temecula originally adopted a comprehensive General Plan in 2005,
which has been amended to include specific policies and objectives for infrastructure,
construction and maintenance of public facilities; and
B. Pursuant to California Government Code Sections 65402 and 65403, the Planning
Commission is required to review Capital Improvement Program to determine that it is consistent
with the City’s adopted General Plan; and
C. Staff has reviewed the General Plan and has determined that these projects are
consistent with the provisions of the Circulation, Growth Management/Public Facilities, Air
Quality, and Community Design Elements of the adopted General Plan; and
D. On June 3, 2020, the Planning Commission of the City of Temecula held a public
meeting to consider the proposed Fiscal Year 2021-2025 Capital Improvement Program (CIP);
and
E. The projects within the CIP are divided into four general categories including
Circulation, infrastructure/Other, Park/Recreation, and Successor Agency to the Temecula
Redevelopment Agency (SARDA)/Housing; and
F. The four categories listed in the attached Fiscal Year 2021-25 Capital Improvement
Program and the staff report analysis consistency hereto demonstrates that all of these capital
projects are consistent with goals, policies and program of the Temecula General Plan. The
findings of consistency set forth in the staff report are incorporated herein by this reference; and
Section 2. Environmental Findings. The Planning Commission hereby makes the
following environmental findings and determinations in connection with the adoption of this
resolution:
A. The Fiscal Year 2021-25 Capital Improvement Program is not a “project” within
the meaning of Section 15378(b)(4) of the CEQA Guidelines, and is therefore exempt from the
requirements of CEQA. Section 15378(b)(4) of the CEQA Guidelines states that a project does
not include the creation of government funding mechanisms or other government fiscal activities
which do not involve any commitment to any specific project which may result in a potentially
significant physical impact on the environment. The Planning Commission’s review and
determination that the Fiscal Year 2021-25 Capital Improvement Program is consistent with the
City of Temecula General Plan, does not result in the construction nor cause the construction of
any specific CIP project, and will have no effect on the environment, and therefore, no
environmental impact assessment is necessary. Moreover, if the Planning Commission’s
determination that the CIP is consistent with the General Plan is determined to be a project under
CEQA, then it is categorically exempt from environmental review pursuant to Section 15262 of
the State CEQA Guidelines which provides that a project involving only feasibility or planning
studies for possible future actions, which actions the City has not approved, adopted, or funded,
does not require preparation of an EIR or Negative Declaration, but does require consideration of
environmental factors. In reviewing this CIP and conducting public hearings on it, the Planning
Commission has considered relevant environmental factors. The City, as the lead agency for
environmental review pursuant CEQA, has reviewed the scope and nature of this CIP and has
concluded that the planning and prioritization process comprising this activity is not a project
pursuant to CEQA because it does not order or authorize the commencement of any physical or
other activity that would directly or indirectly have a significant effect upon the environment. The
CIP merely establishes a listing of priority and allocates funds for the City to commence the
necessary planning studies, including review pursuant to CEQA, at a future unspecified date. The
future planning studies will be conducted at the earliest possible time so as to ensure thorough
review pursuant to CEQA. Recognizing that the protection of the environment is a key factor in
the quality of life within the City and to further the City’s strict adherence to both the spirit and
letter of the law as regards to CEQA, the Planning Commission has also considered this CIP as if
it were a Project pursuant to CEQA. The Planning Commission concludes the Project is exempt
from review under CEQA under CEQA Guidelines Section 15061(b)(3) because it can be seen
with certainty that this prioritizing and fund allocation program 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 CIP
are undertaken.
Section 3. Recommendation. The Planning Commission hereby recommends that the
City Council of Temecula Adopt the Resolution attached hereto as Exhibit “A” adopting the
proposed City of Temecula Fiscal Years 2021-2025 Capital Improvement Program and making a
finding of exemption under California Environmental Quality Act (“CEQA”).
Section 4. PASSED, APPROVED AND ADOPTED by the City of Temecula
Planning Commission this 3rd day of June, 2020.
Lanae Turley-Trejo, Chairperson
ATTEST:
Luke Watson
Secretary
[SEAL]
STATE OF CALIFORNIA )
COUNTY OF RIVERSIDE )ss
CITY OF TEMECULA )
I, Luke Watson, Secretary of the Temecula Planning Commission, do hereby certify that
the forgoing PC Resolution No. 2020-17 was duly and regularly adopted by the Planning
Commission of the City of Temecula at a regular meeting thereof held on the 3rd day of June,
2020, by the following vote:
AYES: PLANNING COMMISSIONERS:
NOES: PLANNING COMMISSIONERS:
ABSTAIN: PLANNING COMMISSIONERS:
ABSENT: PLANNING COMMISSIONERS:
Luke Watson
Secretary
RESOLUTION NO. 2020-
A RESOLUTION OF THE CITY COUNCIL OF THE CITY
OF TEMECULA TO ADOPT THE FISCAL YEAR 2021-2025
CAPITAL IMPROVEMENT PROGRAM (CIP) WHICH IS
CONSISTENT WITH THE CITY’S GENERAL PLAN AND
MAKING A FINDING OF EXEMPTION UNDER SECTIONS
15061(B)(3), 15262 AND 15378(B)(4) OF THE CALIFORNIA
ENVIRONMENTAL QUALITY ACT (“CEQA”) (LONG
RANGE PLANNING PROJECT NO. LR20-0500)
THE CITY COUNCIL OF THE CITY OF TEMECULA DOES HEREBY RESOLVE AS
FOLLOWS:
Section 1. Procedural Findings. The City Council of the City of Temecula does hereby
find, determine and declare that:
A. On May 21, 2020, the City Council of the City of Temecula held a public workshop
meeting to discuss the draft CIP list and to ensure that staff’s proposed CIP is in line with the
community needs in the areas of roads, bridges, public buildings, parks, recreation facilities, and
housing projects; and
B. Pursuant to California Government Code Section 65402 and 65403, the Planning
Commission is required to review Capital Improvement Program to determine that it is consistent
with the City’s adopted General Plan; and
C. On June 3, 2020, the Planning Commission of the City of Temecula held a public
meeting to consider the proposed Fiscal Year 2021-2025 Capital Improvement Program (CIP) and
adopted Resolution No. 2020-17 finding that the proposed projects are consistent with the
provisions of the Circulation, Growth Management/Public Facilities, Air Quality, and Community
Design Elements of the adopted General Plan.
D. The City Council agrees with the recommendation regarding General Plan
consistency contained in Planning Commission Resolution No. 2020-17, and the accompanying
staff report, and adopts the same by reference.
Section 2. Environmental Findings. The City Council hereby makes the following
environmental findings and determinations in connection with the adoption of this resolution:
A. The Fiscal Year 2021-25 Capital Improvement Program is not a “project” within
the meaning of Section 15378(b)(4) of the CEQA Guidelines, and is therefore exempt from the
requirements of CEQA. Section 15378(b)(4) of the CEQA Guidelines states that a project does
not include the creation of government funding mechanisms or other government fiscal activities
which do not involve any commitment to any specific project which may result in a potentially
significant physical impact on the environment. The City Council’s determination that the CIP is
consistent with the General Plan and adoption of the CIP does not result in the construction nor
cause the construction of any specific CIP project, and will have no effect on the environment, and
therefore, no environmental impact assessment is necessary. Moreover, if the adoption of the CIP
is determined to be a project under CEQA, then it is categorically exempt from environmental
review under the California Environmental Quality Act (“CEQA”). Pursuant to Section 15262 of
the State Guidelines for Implementation of CEQA, a project involving only feasibility or planning
studies for possible future actions, which actions the City Council has not approved, adopted, or
funded, does not require preparation of an EIR or Negative Declaration, but does require
consideration of environmental factors. In reviewing this CIP and conducting public hearings on
it, the City Council has considered relevant environmental factors. This City Council, as the lead
agency for environmental review under CEQA has reviewed the scope and nature of this CIP and
has concluded that the planning and prioritization process comprising this activity is not a project
pursuant to CEQA because it does not order or authorize the commencement of any physical or
other activity that would directly or indirectly have a significant effect upon the environment. The
CIP merely establishes a listing of priority and allocates funds for the City to commence the
necessary planning studies, including review pursuant to CEQA, at a future unspecified date. The
future planning studies will be conducted at the earliest possible time so as to ensure thorough
review pursuant to CEQA. Recognizing that the protection of the environment is a key factor in
the quality of life within the City of Temecula and to further the City’s strict adherence to both the
spirit and letter of the law as regards to CEQA, the City Council has also considered this CIP as if
it were a Project pursuant to CEQA. The City Council concludes the Project is exempt from review
under CEQA under CEQA Guidelines Section 15061(b)(3) because it can be seen with certainty
that this prioritizing and fund allocation program 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 Program are
undertaken.
Section 3. Approval. The City Council of the City of Temecula hereby adopts
the City of Temecula Fiscal Year 2021-2025 Capital Improvement Program.
Section 4. Certification. The City Clerk shall certify the adoption of this
Resolution.
PASSED, APPROVED, AND ADOPTED by the City Council of the City of Temecula this
9th day of June, 2020.
James Stewart, Mayor
ATTEST:
Randi Johl, City Clerk
[SEAL]
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- was duly and regularly adopted by the City Council of the City of
Temecula at a meeting thereof held on the 9th day of June, 2020, by the following vote:
AYES: COUNCIL MEMBERS:
NOES: COUNCIL MEMBERS:
ABSTAIN: COUNCIL MEMBERS:
ABSENT: COUNCIL MEMBERS:
Randi Johl, City Clerk