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Ordinance 33980006.900000 WSS /gjz 5/8/02 ORDINANCE NO. 3398 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE PROVISIONS OF THE EDMONDS COMPREHENSIVE PLAN, CAPITAL FACILITIES ELEMENT TO ADOPT AN ANNUAL UPDATE TO SAID PLAN, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. WHEREAS, the City adopts a Capital Facilities Plan and updates it annually as a part of its planning process, and WHEREAS, a public hearing was held regarding the 2002 comprehensive facilities plan amendments on March 27, 2002 before the Edmonds Planning Board, and and WHEREAS, the Planning Board recommended approval of such amendments, WHEREAS, this matter came on for review by the Edmonds City Council on April 23, 2002 and following public hearing, the City Council finds that it is in the public interest to adopt such amendments, NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. The six -year Capital Improvement Plan And The Capital Facilities element of the Edmonds Comprehensive Plan are hereby amended to include the 2002 update attached hereto as Exhibit A and incorporated by this reference as fully as if herein set forth. The planned revision shows projected projects and revenues for the six years (2002 -2007) for funds 112, 113, 116, 125, 126, 130, 326, 330, 412 -100, 412 -200, 412 -300 and 414. {WSS516737.DOC;1/00006.900000/} - I - Section 2. Effective Date. This ordinance, being an exercise of a power specifi- cally delegated to the City legislative body, is not subject to referendum, and shall take effect five (5) days after passage and publication of an approved summary thereof consisting of the title. APPROVED: MAY R (5AP6HAAKENSON ATTEST /AUTHENTICATED: CITY CLERK, SANDRA S. CHASE APPROVED AS TO FORM: OFFICE OF THE ClT y ATTORNEY: BY ( r.. W W. Scott Snyder FILED WITH THE CITY CLERK: 05/17/02 PASSED BY THE CITY COUNCIL: 05/21/02 PUBLISHED: 05/26/02 EFFECTIVE DATE: 05/31/02 ORDINANCE NO. 3398 {WSS516737.DOC;1/00006.900000/} - 2 - SUMMARY OF ORDINANCE NO. 3398 of the City of Edmonds, Washington On the 21St day of May, 2002, the City Council of the City of Edmonds, passed Ordinance No. 3398. A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, AMENDING THE PROVISIONS OF THE EDMONDS COMPREHENSIVE PLAN, CAPITAL FACILITIES ELEMENT TO ADOPT AN ANNUAL UPDATE TO SAID PLAN, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. The full text of this Ordinance will be mailed upon request. DATED this 22'd day of May, 2002. CITY CLERK, SANDRA S. CHASE { WSS516737.DOC;1/00006.900000/ }- 3 - Capital Improvements Program Transportation Projects- Fund 112 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 100th Ave W Road Stabilization Pro'ed $75,000 $500,000 164th St SW Pedestrian Improvements $20,000 $125,000 veents Constriction 220th Street Im m $1,608,000 $1,608,000 220th Street Improvements (Engineering) $414,000 238th St/ 100th Ave Signal Upgrades $50,000 238th St SW; 84th Ave W to SR 104 Improvements $87,500 72nd Ave W Pedestrian Improvements $30,000 $175,000 74th Ave W Stabilization Project $180,000 76th Avenue W Restoration SR 104 to SR99 $400,000 76th Avenue W Restoration SR 99 to 220th St $300,000 76th Ave & 206th St Traffic Calming & Ped Improvements $70,000 84th Ave W; 212th -St SW to 238th St SW Improvements $350,000 96th Ave W Pedestrian Improvements $20,000 $315,000 C' 'de Guardrail Improvements $106,000 C' 'de Overlay $575,000 $250,000 $0 $400,000 $600,000 CityyAde Projects $30,000 $30,000 $30,000 $30,000 $30,000 $30,000 C de Signal improvements $30,000 $30,000 $30,000 $30,000 $30,000 1 $30,000 Olywide Walkway and Bikeway $40,000 $40,000 $40,000 $40,000 $40,000, $40,000 Fire Dept Signal- Fire Station #20 $150,000 Fire Dept Signal- Fire Station #16 $150,000 Interurban Trail $100,000 Olympic View Dr. Pedestrian Improvements $125,000 $125,000 Pedestrian Lighting $10,000 1 $10,000 $10,000 $10,000 $10,000 Pine Street Fe Access Improvements $70,000 Rods improvement - 76th Ave 00 $4,000 :1150,000 Shell Valley Access/Bikeway S200,000 Signal- 76th Ave W & 200th St SW $150,000 Signal- Main St. & 9th Ave Signal- SR 104 & 240th St SW $150,000 Signal- SR 524 & 88th Ave W $150,000 Signal- Walnut StQ 9th Ave S. $150,000 Traffic Calming $17,000 $17,000 $17,000 $17,000 $17,000 $17,000 Transportation Plan $90,000 Waterline Overlay $100,000 $180,000 $190,000 $200.000 $210,000 $220,000 Woodwa Elementa Improvements $370,000 Total Construction Projects $2,707,000 $3,055,000 $2,990,000. $1,277,000 $737,000 $1,884,500 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance I F$-1.554,908 $640,528 $856,568 1 $100,605 1 $125,003 $369,057 Motor Vehicle Fuel Tax $275,000 $286,000 $297,440 $309,338 $321,711 $334,580 Motor Vehide Registration Fee $ 379, 000 $ 394,160 $ 409 ,926 $426,323 $443,376. $461,111 Investment Interest $62,000 $60,000 $15,000 $5,000 $6,000. $5,000 Transfer in- Fund 412 -100 1 $100,000 $120,000, $140,000 $160,000 $180,000 $210,000 Contributions to sidewalk fund 1 $94,000 $97,760 $101,670 $105,737 $109,967 $114,365 Grants & Cost Sharing $920,000 tt) $2,350,500 (2) $1,350,000 (3) $375,000 (4) 0. $587,500 (5) Interfund Transfers Out -$37,380 - $37,380 Debt Service on Loan -$80,000 - $80,000 X80,000 -$80,000 Total Revenues 1 1 $3,347,5281 $3,911,568 $3,090,605 $1,402,003 $1,106,057 $2,001,614 Total Construction Projects I I $2.7w.=T $3,055,000 $2,990,000 $1,277,000 $737,000 $1,884,500 Ending Cash Balance 1 1 $640,5281 $856,568 $100,605 $125,003 $369,057 $117,114 (M) State Grant $150,000 & Edmonds School District cost share $44,000 for Woodwa Ped. Improvements, , Federal Grant for 76th Ave W. Restoration $150,000 , Federal grant for CityvAde Guardrails $80,000 , Federal Grants for Fire Station 16 & 20 Signals ($212,000), State Grant $35,000 for Trans rtation Plan State Grant $249,000 for 220th St Im vements desi n 1(2)1 State Grants $60,000 for 76th & 206th Ped Improvements, $87,500 for 72nd Ave W Ped Improvements, $62,500 for 164th St Ped Improvements, State Grant for $1,075,500 for 220th St Improvements CT & School District cost share $10,000 for 220th St. State Loan $1,055,000 for 220th St (s) State grant $157,500 for 96th Ave W Ped Improvements &_($117,000) for 76th Ave W Restoration State Grants for $1,075,500 for 220th St SW Improvements. (4) Federal & State Grants $375,000 for 88th Ave W Si nal, Walnut S nal & Main St Signal ls) Federal & State Grants for Signals $250,000 total @76th Ave W & 0 SR 104 Federal Grant ($270,000) for 84th Ave Improvements & <$67,M for 238th St Improvements EXHIBIT A Capital Improvements Program Multimodal Transportation- Fund #113 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 Professional Services $1,363,277 $3,750,000 $1,250,000 $1,250,000 $625,000 Travel Expenses $500, Misc. $2,000 Total Capital improvements Projects $1,365,777 $3,750,000 $1,250,000 $1,250,000 $625,000 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance $0 $0 $0 $0 $0 Grants $1,278,777 $3,000,000 $1,000,000 $1,000,000 $500,000 Local Match from General Fund $87,000 $750,000 $250,000 $250,000 $125,000 Interest Eamings $0 $0 $0 $0 $0 Total Revenues $1,365,777 $3,750,000 $1,250,000 $1,250,000 $625,000 Transfer to General Fund #001 Total Capital Improvements Projects $1,365,777 $3,750,000 $1,250,000 $1,250,000 $625,000 Ending Cash Balance $0 $0 $0 $0 $0 Capital Improvements Program Buildings Maintenance- Fund 116 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 ADA Improvements- City Wide $10,000 $10,000 $10,000 Anderson Center Carpets Anderson Center Exterior Painting $25,000 Anderson Center Misc $10,000 $10,000 Boys & Girls Club Electrical Service Boys & Girls Club Exterior Painting City Hall Exterior Painting City Hall Fire Alarm $10,000 Cky Hail Roof Replacement Cky Hall S dnkler System $150,000 Cfty Hall Stairwell Lift City Hall Custodial Storage Exterior Painting Boys and Girls Club Roof $25,000 Civic Center Stadium Painting/Roof $7,500 $20,000 Fire Station #20 Lightin Fire Station #20 Fumace Wall $3,000 $8,000 Fire Station #20 Misc $1,500 $10,000 Library Exterior Sealant $50,000 Library Gas Heat $50,000 Libra Plaza Heat Pum Re lacement $17,000 Library Plaza Room Carpet $10,000 Meadowdale Clubhouse ADA Entry Door Meadowdale Clubhouse Int. /Ext Improve. Meadowdale Clubhouse Restroom Upgrade $3,000 Meadowdale Clubhouse Misc $12,000 Museum Brick Repair $30,000 Museum Carpet Replacement $7,000 Museum Door Replacement $2,500 Museum Exterior Painting Museum Misc $6,000 Park Maintenance Bldg Ext. Painting $3,000 Public Safety Complex Door Replacement $17,000 Public Safety Complex Soffit Installation $28,000 Senior Center Misc Repairs & Maint. $10,000 $10,000 $10,000 $10,000 $10,000 Wade James Theater Misc $2,000 Yost Pool Enclosure $50,000 Yost Pool Exterior Lighting $6,500 Yost Pool Gutter Replacement Yost Pool Building Misc $5,000 Capital Bond Debt Service $45, 000 $45, 000 $45,000 $45,000 $45,000 $45,000 Total Facilities Projects $122,000 $212,500 $139,500 $265,000 $117,000 $73,000 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance $159,428 $94,028 $27,528 $33,778 $14,778 $15,278 Interest Eamings $0 $1,000 $750 $1,000 $500 $500 Transfer from Gen Fund #001 $56,600 $145,000 $145,000 $245,000 $117,000 $73,000 Total Revenues $216,028 $240,028 $173,278 $279,778 $132,278 $88,778 Total Facilities Projects $122,000 $212,5001 $139,500 $265,000 $117,000 $73,000 Ending Cash Balance $94,028 $27,528. $33,778 $14,778 $15,2781 $15,778 Capital Improvements Program Park Acquisition /Improvement- Fund 125 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 Park Development Projects 162nd Street Park 1 °k $70,000 $20,000 Anderson Center Field / Court $10,000 $ 45,000 Brackett's Landing Improvements $40,000 $15,000 $10,000 Chase Lake Improvements 1 % $263,000 Cfty Park Im rovments 11% $405,000 Civic Center Complex Impro vements 1 % $50,000 $35,000 - $ 70,000 Edmonds Marsh $140,000 Fishing Pier/Olympic Beach $25,000 20,000 Lynndale Park Improvements 10,000 Maplewood Park Playground 40.000 Marina Beach Park Improvements 310,000 Mathay Ballinger Park 30,000 Meadowdale Field / Clubhouse Renovation 70,000 Pine Mdge Park Improvements $110,000 110,000 Pine Street Park Improvements $40,000 Seaview Park Improvements .$45,000 Sierra Park Im vements $55,000 Southwest County Park 90,000 Underwater Park Improyments $7,000 Yost Park/Pool Im t $70,000 $50,000 $60,000 $40,000 $20,000 10,000 SeaudficaHon Beautification Ci de/Sr. Ctr. Treescape $20,0001 $20,000 $20,000 $20,000 $20,000 20,000 C de Parhftdlity Im rovements . ADA Improvements 1 $25.0001 $25,000 Centralized Irrigation 1 $50,000 CityMde Park Improvements $40,000 $40,000 $20,000 $10,000 $10,000 Misc Paving $175,000 $20,000. $15,000 $15,000 $15,000 10,000 Misc Small Projects $55,000 $20,000 $15,000 $15,000 $15,000 10,000 Sports Fields Upg layground Partnership $75,000 $43,000 $20,000 $40,000 $30,000 30,000 Waterfront Bulkheads $750,000 $300,000 $20,000 S falhed Faculties ji-quafic Recreation Complex I note #1 note #1 note #1 Skateboard Facility $266,000 Trail Development Interuban Trail Development 1 $345,000 Misc. Unpaved Trail / Bike PaWim rovements 1 1 $50,000 $50,000 Planning Hummingbird Hill Park $10,000 Cultural Arts Center 1 $50,000 Comprehensive Plan Waterfront Acquisition Nofe #1: $10,000,000 General Obligation Bond Issue 1 Total Park Projects $2,115,000 $875,000 $270,000 $566,000 $473,000 $ 885,000 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance J $2,286.6581 $1,026,6581 $5,794,868 $11,814,924 $12,266,482 $13,049,217 Real estate Tax 1/4% $707,0001 $728,2101 $750,056 $772,558 $795,735 740,000 Interest Earnings $80,0001 $40,0001 $40,000 $40,000 $40,000 40,000 Donations $o $o $0 $0 $0 Park Impact Fee $0 $0 $0 $0 $0 Grants/ Other Government $100,0001 $4,900,000 $5,100,000 $100,000 $1,000,000 50,000 Loan from Offw Funds 1 $425,000 $130,000 Total Revenues $3,173,6581 $6,694,868 $12,109,924 $12,857,482 $14,102,217 $13,879,217 Expenditures Su ies $2,0001 $2.0001 $2,000 $2,000 $2,000 2,000 Professional Services $10,0001 $3,0001 $3,000 $3,000 $3,000 3,000 Total Parks Projects $2,115,000,1 $875,0001 $270,000 $566,000 $473,000 $473,000 Transfer Out/ Comer Parks $20,0001 $20,0001 $20,000 $20,000 $20,000 $ 20,000 Land R nt of Loan to Other Funds $555,000 Total Expenditures $2,147,0001 $900,0001 $295,000 $591,000 $1,053,000 Ending Cash Balance $1.026.6581 $5.794.8681 $11,814,924 $12,266,482 $13,049,217 $13,879,217 Park Acquisitionfimprovement- Fund 126 (Special Capital) Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 Debt Service on City Hail $ 419, 866 $ 481, 224 $ 480,571 $484,056 $416,237 $415,502 Debt Service on Ubrary Roof $26,000 $26,000 $26,000 $26,000 $26,000 26,000 Debt Service on Marina Beach $174,109 $181,468 $184,292 $181,572 $183,532 183,532 Contribution to PSCC Purchase $1,000,000 Debt Service on PSCC Purchase $36,910 $73,823 $73.8231 $73,823 $73,823 73,823 Misc. O ns ace/Land $20,000 $20,000 $40,000 $80,000 $20,000 20,000 Meadowdale Heights Aoquisifion $20,000 $20,000 $20,000 $100,000 $20,000 20000 Edmonds Marsh/Hatchery Acquisition $1,000,000 200,000 North Edmonds Beach Acquisition $20,000 Old WoQdway Elementary School Acquisition $1,463,000 Waterfront Acquisition Tideland Acquisitions $10,000 $30,000 $100,000 $40,000 $10,000 10,000 Espereance Neighborhood Park Acquisition $300,000 Total Park Projects $2,006,885 $1,852,515 $924,686 $2,448,451 $749,592 $948,857 Beginning Cash Balance $94,477 $1,221,384 $980,300 $936,660 $326,945 $391,856 Real estate Tax 1/4 %/1st Qtr % $753,892 $761,431 $769,046 $776,736 $784,503 792,348 Interest Eamin s $48,900 $100,000 $62,000 $62,000 $30,000 35,000 Donations $0 $0 $0 $0 $0 Park Impact Fee $0 $0 $0 $0 $0 IAC and Trans rtation Grants $2,031,000 Grants/ Other Govemment $300,000 $750,000 $50,000 $1,000,000 100,000 Loan loan needed to purchase land Total Revenues $3,228,269 $2,832,815 $1,861,346 $2,775,396 $1,141,448 $1,319,204 Expenditures Total Parks Pmjects $2,006,885 $1,852,515 $924,686 $2,448,451 $749,592. $948,857 Total Expenditures $2,006,885 $1,852,515 $924,686 $2,448,451 $749,592 $948,857 Ending Cash Balance $1,221,384 $980,300 $936,660 $326,945 $391,856 $370,347 Capital Improvements Program Cemetery Improvement- Fund 130 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 Park Devefo ment Pro ects Cemetery Columbarium 1 % $375,000 Total Cemetary Construction Projects $375,000 $0 $0 $0 $0 $0 Revenues and Cash Balances 2001 -2006 Beginning Cash Balance 1 $396,754 $59,974 $99,723 $141,062 $184,054 $228,766 Cemetery Grave Sales 1 $45,000 $46,800 $48,672 $50,619 $52,644 $54,749 Interest Earnings 1 $18,000 $18,720 $19,469 $20,248 $21,057 $21,900 Items for Resale $36,990 $38, 470 $40,008 $41,609 $43,273 $45,004 Transfer from General Fund #001 $56,000 $58,240 $60,570 $62,992 $65,512 $68,133 Donations $0 $0 $0 $0 $0 $0 Total Revenues $552,744 $222,204 $268,442 $316,529 $366,540 $418,552 Expenditures Salaries $47,770 $49,681 $51,668 $53,735 $55,884 $58,120 Overtime $2,000 $2,080 $2,163 $2,250 $2,340 $2,433 Benefits $12,220 $12,709 $13,217 $13,746 $14,296 $14,867 Supplies $1,500 $1,560 $1,622 $1,687 $1,755 $1,825 Items for Resale $34,000 $35,360 $36,774 $38,245 $39,775 $41,366 Small equipment $1,000 $1,040 $1,082 $1,125 $1,170 $1,217 Professional Services $5,000 $5,200 $5,408 $5,624 $5,849 $6,083 Communications $1,700 $1,768 $1,839 $1,912 $1,989 $2,068 Travel $200 $208 $216 $225 $234 $243 Advertising $400 $416 $433 $450 $468 $487 Public Udilities $2,300 $2,392 $2,488 $2,587 $2,691 $2,798 Interfund Rental $6,180 $6,427 $6,684 $6,952 $7,230. $7,519 Repair/ Maintenance $500 $520 $541 $562 $585 $608 Miscellaneous $1,000 $1,040 $1,082 $1,125 $1,170 $1,217 Interfund Services $2,000 $2,080 $2,163 $2,250 $2,340 $2,433 Cemetary Construction Projects 1 1 $375,000 $0 $0 $0 $0 $0. Total Expenditures 1 1 $492,770 $122,481 $127,380 $132,475 $137,774 $143,285 Ending Cash Balance $59,974 $99,723 $141,062 $184,054 $228,766 $275,266 Capital Improvements Program Public Safety Building Construction -Fund #326 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 Public Safety Projects $3,056,792 Total Capital Improvements Projects $3,056,792 $0 $0 $0 $0 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance $2,070,073 $0 $0 $0 $0 Real property Taxes $752,340 $0 $0 $0 $0 Interest Eamings $109,000 $0 $0 $0 $0 Total Revenues $2,931,413 $0 $0 $0 $0 Expenditures Debt Issue Costs $0 $0 .$0 $0 $0 Public Safety Projects $2,114,000 $0 $0 $0 $0 1996 Bonds- Principal $250,000 $0 $0 $0 $0 1996 Bonds- Interest $484,000 $0 $0 $0 $0 Interlund Transfer for I% Arts $16,400 $0 $0 $0 $0 Total Expenditures $2,864,400 $0 $0 $0 $0 Ending Cash Balance $67,013 $0 $0 $0 $0 Capital Improvements Program Limited Tax General Obligation Bond Projects- Fund 330 Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 Ubrary Roof $80,000 $520,000 Anderson Center Windows $175,000 Anderson Center Electrical $1,055,000 Anderson Center Plumbing $50,000 Anderson Center Restrooms $25,000 Anderson Center Seismic Improvements $80,000 $535,000 Street Overlays $750,000 Total Projects $2,165,000 $11105,000 $0 $0 $0 $0 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance $2,969,759 $399,014 $14,014 $14,014 $14,014 $14,014 Federal Grants $455,000 Electric utility Tax $230,000 Sno-Isle-library Funds $40,000 $260,000 Investment Interest $45,000 $5,000 1996 Bonds- Principal - $100,745 1996 Bonds- Interest - $120,000 Transfer out to Fund 414 - $500,000 Total Revenues $2,564,014 $1,119,014 $14,014 $14,014 $14,014 $14,014 Total Projects $2,165,000 $1,105,000 $0 $0 $0 1 $0 Ending Cash Balance $399,014 $14,014 $14,014 $14,014 $14,014 $14,014 Ca ital Improvements Program Combined Utility Construction Improvement - Fund 412400 Water Projects Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 CityMde Water improvements $20,000 $25,000 $25,000 $30,000 $30,000 $35,000 Replacement Program & Distr.System Improvements $820,000 $835,0001 $695,000 $720,000 $700,000 $880,000 Alderwood Master Meter Replacement $100,000 Five Comers Pump Station Improvements $20,000 $100,000 Seismic Improvements J $30,000 $150,000 Reservoir Secudty Study $20,000 $75,000 Chlorine Residual Analyzers $25,000 Automated Meter Evaluation Study-Replacement $10,000 $100,000 $100,000 $100,000 PRV Replacements 1 $150,000 Total Water Projects $840,000 $1,055,000 $1,055,000 $1,000,000 $830,000 $1,015,000 Revenues 2002 -2007 Beginning Cash Balance $901,987 $741,987 $361,9871 $576,987 $195,987 $574,987 Transfer from Combined Utility Fund #411 $750,000 $765,000 $780,0001 $795,000 $810,000 $825,000 SRF or Public Works Trust Fund Loans $600,000 $600,000 Debt Service on Loans - $41,000 - $41,000 - $82,000 Interest Earnings .$30,000 $30,000. $30,000 $25,000 $20,000 $10,000 Transfer to Const Im rov Fund #112 -$100, 000 - $120,000 - $140,000 - $160,000 -$180,000 - $210,000 Total Revenues $1,581,987 $1,416,987 $1,631,987 $1,195,987 $1,404,987 $1,117,987 Total Water Projects $840,000 $1,055,000. $1,055,0001 $1,000,000 $830,000 $1,015,000 Ending Cash Balance $741,987 $361,9871 $576,9871 $195,987 $574,987 $102,987 Capital Improvements Program Combined Utility Construction Improvement - Fund 412 -200 Drainage Projects for 2002 -2007 Projects PROJECT NAME 2002 2003 2004 2005 2006 2007 220th St Storm Improvements $25,000 $160,000 .$185,000 80th Avenue West 93rd Avenue West $500,000 95th Avenue West $25,000 Alder Street $60,000 Birch Street $70,000 Citywide Drainage improvements $40,000 $40, 000 $40,000 $40,000 $40,000 $40,000 Dayton Street Outfall rehabilitation $30,000 $200,000 Lake Ballinger Monitoring $15,000 $15,000 $15,000 $15,000 $15,000 $15,000 Meadowdale $150,000 $40,000 $40,000 N. Meadowdale Groundwater Monitoring $15,000 Perrinville Creek 1 $200,000 Public Involvement $1,000 $1,000 $1,0001 $1,000. $1,000 $1,000 Shell Creek $40;000 Southwest Edmonds Basin Study, Projects $150,000 $150,000 $150,000 $150,000 Store water Comprehensive Plan $80,000 Talbot Road $180,000 Willow Creek Outfall Extension $40,000 $135,000 Total Drainage System Projects $571,000 $586,000 $766,000 $206,000 $756,000 $226,000 Revenues and Cash Balances 2002 -2007 Beginning Cash Balance $814,050 $283,0501 $262,050 $51,050. $300,050 $49,050 Transfer from Combined Utility Fund #411 $0 $550,000 $550,000 $450,000 $500,000 $300,000 Investment Interest $40,000 $15,000 $5,000 $5,000 $5,000 $5,000 Total Revenues 1 $854,050 $848,050 $817,050 $506,050 $805,050 $354,050 Total Drainage Projects 1 1 $571,000 $586,000 $766,000 $206,0001 $756,000 $226,000 Ending Cash Balance $283,050 $262,0501 $51,0501 $300,0501 $49,050 $128,050 Capital Improvements Pro ram Combined Utility Construction Improvement - Fund 412 -300 Sewer Projects Projects for 2002 -2007 PROJECT NAME 2002 2003 2004 2005 2006 2007 Citywide Sewer Improvements $10,000 $10,000 $10,000 $10,000 $10,000 $10i000 Admiral Way Sewer 1 $50,000 Alder Street $190,000 Boys & Girls Club Sewer $25,000 Lift Station #1 $810,000 Lift Stations 3,4,8,9,10 & 14 $210,000 Lift Station 2 $480,000 Lift Station 13 $55,000 Lift Station 7 $480,000 Unanticipated Project Fund $125,000 1 $125,000 $125,000 1 $125,000 $125,000 $375,000 Total Sewer System Projects $1,020,000 $345,000 $670,000 $615,000 $325,000 $385,000 Revenues and Cash Balances 2002 Beginning Cash Balance -2007 $1,106,989 $900,489 1 $950,489 $675,489 $445,489 $500,489 Transfer from Combined Utility Fund #411 $36,250 $375,000 $375,000 $375,000 $375,000 $375,000 Investment Interest $25,000 $20,000 $20,000 $10,000 $5,000 -$5,000 Public Works Trust Fund Loans $752,250 Total Revenues $1,920,489 $1,295,489 $1,345,489 $1,060,489 $825,489 $880,489 Total Sewer Projects $1,020,000 $345,000 $670,000 $615,000 $325,000 $385,000 Ending Cash Balance $900,489 $950,489 $675,489 $445,489 $500,489 $495,489 ��� Public Works Trust Fund Loan, 0.5% interest- 20 for lift Station #1 $752,250 iaF Capital Improvements Program Capital Improvements - Fund 414 Wastewater Treatment Plant Projects for 2002 -2007 2002 2003 2004 2005 2006 2007 Incinerator $15,000 General $50,000 $50,000 $50,000 $50,000 $50,000 $50,000 Clarifier Upgrade $5,000 $300,000 $350,000 Mechanical Equipment Re lacement $20,000 $15,000 $160,000 $100,000 $200,000 Replace Heat Exchanger $300,000 Repair Outfall $150,000 Field flowmeter rehabilitation $500,000 Disinfection alternatives study $60,000 SR104 24 Inch Sewer $700,000 Replace Bar Screens $300,000 Public Works Trust Fund Debt Service $31,3400) $31,340 $31,340 $31,340 $31,340 G.O. Bonds Debt Service $40,120 (2) $40,120 $40,120 $40,120 $40,120 Total Treatment Plant Projects $1,800,000 $736,460 $121,460 $631,460 $221,460 $321,460 Revenues 2002 -2007 Beginning Cash Balance - $1,697,814 $1,176,814 1 $687,424 $793,464 $393,744 $388,034 Intergovernmental $191,210 $149,210 $149,210 $149,210 $149,210 $149,210 Interest Earnings $65,000 $47,070 $27,500 $31,740 $15,750 $15,520 Transfer from Combined Utility Fund #411 $50,790 $50,790. $50,790 $50,790 $50,790 $50,790 General Obligation Bond Issuance 1 $500,000 Public Works Trust Fund Loans $595,000 Debt Service Principal - $73,000 Debt Service Interest - $50,000 Total Revenues $2,976,814 $1,423,884 $914,924 $1,025,204 $609,494 $603,554 Total Projects $1,800,000 $736,460 $1214601 $631,4601 $221,460 $321,460 Ending Cash Balance $1,176,814 $687,424 $793�4641 $393,7441 $388,034. $282,094 Public Works Trust Fund Loan, 0.5% interest for SRI 04 sewer rehab $595,000 (2) G.O. Bonds of $500,000 for 20 Years STATE OF WASHINGTON, COUNTY OF SNOHOMISH SUMMARY OF ORDINANCE NO. 3 98 of the ity of dmonds, Washington Fon the 2 1st day of May, 2002, the City Council Hof the of Edmonds, passed Ordinance No. 3398. A summary of the content of said ordinanp, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASH INGTON, AMENDING THE PROVISIONS OF THE EDMONDS COMPREHENSIVE PLAN, CAPITAL FACILI- TIES ELEMENT TO ADOPT AN ANNUAL UPDATE TO SAID PLAN, AND FIXING A TIME WHEN THE SAME' SHALL BECOME EFFECTIVE. The full text of this Ordinance will be mailed upon. request. DATED this 22nd day of May,��002. CITY CLERK, SANDRA S. CHASE' Published: May 26, 2002, Affidavit of Publication S.S. The undersigned, being first duly sworn on oath deposes and says that she is Principal Clerk of THE HERALD, a daily newspaper printed and published in the City of Everett, County of Snohomish, and State of Washington; that said newspaper is a newspaper of general circulation in said County and State; that said newspaper has been approved as a legal newspaper by order of the Superior Court of Snohomish County and that the notice City of Edmonds Summary of Ordinance No. 3398 a printed copy of which is hereunto attached, was published in said newspaper proper and not in supplement form, in the regular and entire edition of said paper on the following days and times, namely: May 26, 2002 and that said newspaper was regularly distributed to its subscribers during all of said period. Subscribed and sworn to before me this 27th day of May, 2002 Principal Clerk gBE J %it ZED MAY 3 0'2002 EDMONDS CITY CLERK