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Ordinance 35460006.90000 WSS /gjz 4/8/05 ORDINANCE NO. 3546 AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, ADOPTING THE 2005 CAPITAL IMPROVEMENT PLAN ELEMENT OF THE. CITY'S COMPREHENSIVE PLAN, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. WHEREAS, each city that plans under the Growth Management Act is required to perform its activities and make capital budget decisions in conformity with its Comprehensive Plan, and WHEREAS, the City Council has received the recommendation of its Planning Board that adoption of a proposed 2005 Capital Improvement Plan be denied based upon the Planning Board's review of the funds available for the projects necessary to maintain compliance with the City's Comprehensive Plan and the Planning Board's conclusion that insufficient general fund revenues and grants exist for that purpose, and WHEREAS, the City Council acknowledges and agrees with the concern of the Planning Board that governmental revenues are insufficient to meet all of the needs of the City, and WHEREAS, the City staff is encouraged to be diligent in its pursuit of grant funding, provided, however, that the City Council has deemed it appropriate to remove projects from the proposed Capital Improvement Plan budget which shows zero funding during the current plan cycle, and {WSS597068.DOC;1 /00006.900000/} - 1 - WHEREAS, the City Council acknowledges that the City's ability to construct capital improvements necessary to achieve full and immediate compliance with its Comprehensive Plan are falling behind but finds that the Comprehensive Plan's goals are reflected by and consistent with the Capital Improvement Plan element to the extent that revenues are available, thereby indicating that the City is taking every reasonable step available to it to construct capital improvements in accordance with its plan, and WHEREAS, the City Council has held a public hearing and 'completed all procedural steps necessary for consideration and adoption of the Capital Improvement Plan element of the Comprehensive Plan, NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO ORDAIN AS FOLLOWS: Section 1. The 2005 Capital Improvement Plan element of the City's Comprehensive Plan, attached here as Exhibit A and incorporated by this reference as fully as if herein set forth, is hereby adopted for calendar year 2005. 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: MAYO GA61 HAAKENSON ATTEST /AUTHENTICATED: CITY CLERK, SANDRA S. CHASE {WSS597068.DOC;1/00006.900000/} - 2 - APPROVED AS TO FORM: OFFICE OF THE TY ATTORNEY: BY W. SCOTT SNYDER FILED WITH THE CITY CLERK: 04/15/2005 PASSED BY THE CITY COUNCIL: 04/19/2005 PUBLISHED: 04/24/2005 EFFECTIVE DATE: 04/29/2005 ORDINANCE NO. 3546 {WSS597068.DOC;1 /00006.900000/} - 3 - SUMMARY OF ORDINANCE NO. 3546 of the City of Edmonds, Washington On the 19th day of April, 2005, the City Council of the City of Edmonds, passed Ordinance No. 3546. A summary of the content of said ordinance, consisting of the title, provides as follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON, ADOPTING THE 2005 CAPITAL IMPROVEMENT PLAN ELEMENT OF THE CITY'S COMPREHENSIVE PLAN, AND FIXING A TIME WHEN THE SAME SHALL BECOME EFFECTIVE. The full text of this Ordinance will be mailed upon request. DATED this 20th day of April, 2005. ITY CLERK, SANDRA S. CHASE { WSS597068.DOC;1/00006.900000/ }- 4 - EXHIBIT A Capital Improvements Program Transportation Projects- Fund 112 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 100th Ave W Road Stabilization Project $50,000 $500,000 212th & 84th Ave Capacity Improvements $100,000 $250,000 220th Street Improvements Construction $3,438,000 76th Ave W Restoration SR 99 to 220th St $32,000 76th Ave & 206th St Traffic Calming & Ped Improvements $70,000 Downtown Parking Improvements $40,000 $40,000 $60,000 Nonmotorized- Bikeway Projects- Citywide $0 $0 $0 $0 $0 $0 Nonmotorized Trans: 5th & Main Crosswalk Rehab $25,000 $25,000 Nonmotorized Trans.- 72nd Ave W Ped Improvements $205,000 Nonmotorized Trans: 96th Ave W Pedestrian Improvements $345,000 Nonmotorized Trans: ADA Curb Ramp Im r $10,000 $10,000 $10,000 $10,000 $10,000 $10,000 Nonmotorized Trans: Interurban Trail $250,000 Nonmotorized Trans: Olympic View Dr. Ped Improvements $250,000 Nonmotorized Trans: Pedestrian Lighting- Citywide $0 $0 $0 $0 $0 $0 Nonmotorized Trans: Walkway Projects- Citywide $0 $0 $0 $0 $0 $0 Nonmotorized Trans.-School Zone Improve $0 $0 $0 $0 $0 $0 Overlay-Citywide $0 $0 $150,000 $150,000 $150,000 $0 Overlay - Waterline $100,000 $320,000 $210,000 $215,000 $220,000 $220,000 Signal- 9th & 220th $260,000 Signal Im rovements - Citywide $0 $0 $0 $0 $0 $0 Signal Upgrades- 238th St & 100th Ave $115,000 SR 99 Contract Closeout $25,000 Stabilization Projects- Citywide $75,000 $75,000 $75,000 $75,000 $75,000 $85,000 Street Improvements- Citywide $0 $0 $0 $0 $0 $0 Traffic Calming- Citywide $0 $0 $0 $0 $0 $0 Transportation Plan $5,000 $5,000 $5,000 $200,000 $5,000 $5,000 Total Construction Projects $4,655,000 $1,340,000 $510,000 $750,000 $710,000 $595,000 Revenues and Cash Balances 2005 -2010 Beginning Cash Balance $1,067,000 $834,986 $348,388 $437,193 $371,162 $315,650 Motor Vehicle Fuel Tax $266,000 $266,000 $266,000 $266,000 $266,000 $266,000 Motor Vehicle Registration Fee $0 $0 $0 $0 $0 $0 Investment Interest $32,010 $25,050 $10,452 $13,116 $11,1351 $9,469 (New) Development Mitigation Fees & other fees $130,000 $135,000 $140,000 $145,000 $150,000 $150,000 Transfer in- Fund 412 -100 $110,000 $110,000 $115,0001 $115,000 $120,000 $120,000 Transfer in- Fund 412 -200 $45,000 Transfer in- Fund 412 -300 $25,000 $25,000 $25,000 Transfer in- Fund 330 $19,123 Transfer in- In lieu of Parking Fees $40,000 $40,000 $60,000 Contributions to sidewalk fund $20,000 $20,000 $20,000 $20,000 $20,000 $20,000 Grants/ Loans Secured Grant- State for 220th St Improvements $2,400,000 Additional Public Works Trust Fund Loan- 220th (2) $400,000 Grant Federal for 220th St Improvements $500,000 Loan (State) for 220th St Im rovments (1 ) $85,000 Grant (Federal) for 76th Ave W Restoration $16,000 Grant- Federal for Interurban Trail $250,000 Grant- (State) for 96th Ave W Ped Improv $167,500 Yearly Sub Total Grants/ Loans Secured= $3,568,500 $250,000 $0 $0 $0 $0 Grants/ Loans Sought (not Secured) Grant- State for Transportation Plan $50,000 Grant- Federal for 76th Av /206th St Ped Im r $60,000 Grant- (Fed /State ) for Ci de ADA Curb Rams $5,000 $5,000 $5,000 $5,000 $5,000 Grant - (State ) for 72nd Av Ped Improvements $87,500 School Dist & CT - Contr to 220th St Im rov $10,000 Grant-(State) for Signal Upgrade 238th & 100th $45,000 Grant - (Federal) for 9th /220th Signal $195,000 Grant (State) for 212th & 84th Capacity Im rovmeents $50,000 $125,000 Grant- Fed /State for Citywide Bikeway Projects $0 $0 $0 $0 $0 $0 Grant- (Fed /State ) for School Zone Improvements $0 $0 $0 $0 $0 $0 Yearly Sub Total Grants/ Loans Sought not secured )= $210,000 $50,000 $5,000 $142,500 $130,000 $60,000 Grant Subtotal $3,778,500 $300,000 $5,000 $142,500 $130,000 $60,000 Interfund Transfers Out Debt Service on Loan 1 - $20,000 - $20,000 - $20,000 - $20,000 - $20,000 - $20,000 Debt Service on Loan 2 - $22,647 - $22,647 - $22,647 - $22,647 - $22,647 - $22,647 Total Revenues & Cash Balances $5,489,986 $1,688,388 $947,193 $1,121,162 $1,025,650 $898,472 Total Construction Projects $4,655,000 $1,340,000 $510,000 $750,000 $710,000 $595,000 Ending Cash Balance $834,986 $348,388 $437,193 $371,162 $315,650 $303,472 Note: Council reiterates its goals and policies as stated in the Comprehensive Plan and acknowledges that the six -year C/P as proposed does not have adequate funding to accomplish all the goals and objectives as stated in the Comprehensive Plan. Council is committed however to seeking additional funding sources to achieve the Comprehensive Plan goals and objectives. Multimodal Transportation- Fund #113 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Professional Services $1,250,000 $1,250,000 $625,000 $2,000,000 $2,000,000 $1,375,000 Travel Expenses Misc. Total Capital Improvements Projects $1,250,000 $1,250,000 $625,000 $2,000,000 $2,000,000 $1,375,000 Revenues and Cash Balances 2005 -2010 Beginning Cash Balance Grants - TEA 21 and CMAQ $1,066,625 $1,066,625 $533,313 $1,706,600 $1,706,600 $1,173,288 State Grants - TIB StateTransportation Appropriations - Local Matching $ $183,375 $183,375 $91,688 $293,400 $293,400 $201,713 Interest Earnings Total Revenues $1,250,000 $1,250,000 $625,000 $2,000,000 $2,000,000 $1,375,000 Transfer to General Fund #001 Total Capital Improvements Projects $1,250,0001 $1,250,0001 $625,0001 $2,000,000 $2,000,000 $1,375,000 ,Ending Cash Balance $01 0 $0 $0 $0 $0 Capital Improvements Program Buildings Maintenance- Fund 116 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 ADA Improvements- City Wide $5,000 $5,000 $5,000 $5,000 $5,000 $10,000 Anderson Center Exterior Gym Siding $5,000 Anderson Center Roof Replacement $60,000 $60,000 Anderson Center Seismic Reforcement $100,000 Anderson Center Exterior Painting $30,000 Anderson Center Interior Painting $6,000 Anderson Center Carpets $17,000 Anderson Center Exterior Siding $20,000 Anderson Center Exhaust Duct $10,000 Anderson Center Blinds $20,000 Anderson Center Asbestos Abatement $35,000 Anderson Center Vinyl Tile $12,000 Anderson Center Soffit Vents $8,500 Anderson Center Counter Tops $8,000 Anderson Center Oil Tank Replacement $40,000 Boys & Girls Club Heating $8,000 Bo s & Girls Club Roof $25,000 Boys & Girls Club Exterior Painting $3,000 City Hall Interior HVAC Upgrades $70,000 City Hall Entrance Doors $18,000 City Hall Elevator $50,000 City Hall Window Replacement $10,000 $10,000 Hall Interior Painting $8,000 City Hall Security Gate Fencing $20,000 City Hall Front Counter Security $3,000 City Hall Air Duct Relocation $5,000 Library AC Replacement $50,000 Library Carpets $22,000 Library Central Heating Replacement $200,000 Library Kitchen Remodel $5,000 Library Plaza Appliance Replacement $4,500 Libra /Plaza Kitchen Remodel & Pass Thru $5,000 Library Plaza Room Carpet $12,000 Library Plaza Brick Painting $30,000 Library Wood Trim $12,000 Log Cabin Exterior Sealing of Los $3,000 Log Cabin Lighting Replacement $3,000 Meadowdale Clubhouse Roof $12,000 Meadowdale Clubhouse Exterior Painting $3,000 Meadowdale Clubhouse Ceiling Replacement $7,000 Meadowdale Clubhouse Lighting, Upgrade $5,000 Museum Step Replacement $25,000 Museum Brick Pointing & Grouting $20,000, Museum Brick Sealing $10,000 Park Maintenance Bldg Lighting Upgrade $9,000 Park Maintenance Bldg Paint Booth Installation $40,000 Senior Center Misc Repairs & Maint. $10,000 $10,000 $10,000 $10,000 $10,000 $10,000 Senior Center Roofing $50,000 $50,000 Senior Center HVAC $40,000 $40,000 Senior Center Foundation Reinforcement $50,000 $50,000 Senior Center Window & Elevator Replacement $126,000 Wade James Theater Gutter Replacement $4,000 Wade James Theater Roof Replacement $30,000 Wade James Theater Exterior Painting $4,000 Total Facilities Projects $310,000 $622,000 $289,000 $135,000 $198,000 $124,000 Revenues and Cash Balances 2005 -2010 Beqinninq Cash Balance $188,000 $62,300 $86,900 $3,900 $8,900 $0 Interest Earnings $1,700 Transfer from Gen Fund #001 $56,600 $56,600 $156,000 $100,000 $89,100 $124,000 Grants/ Loans Secured HUD Grants $126,000 Yearly Sub Total Grants/ Loans Secured= $126,000 $0 $0 $0 $0 $0 Grants[Loans Sought (not secured) FEMA $100,000 HUD Grants $140,000 $50,000 $40,000 State Energy Improvement Loans $0 $450,000 $0 $0 $0 $0 Yearly Sub Total Grants/ Loans Sought (not secured)-- $0 $590,000 $50,000 $40,000 $100,000 $0 Grant Subtotal $126,000 $590,000 $50,000 $40000 $100,000 $0 Total Revenues $372,300 $708,900 $292,900 $143,900 $198,000 $124,000 Total Facilities Projects $310,000 $622,000 $289,000 $135,000 $198,000 $124,000 Ending Cash Balance $62,300 $86,900 $3,900 $8,900 $0 $0 Capital Improvements Program Parks Improvement - Fund 125 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Park Development Projects 162nd Street Park $0 $0 $70,000 $20,000 Beach Place $90,000 Anderson Center Field / Court $30,000 $45,000 15,000 Brackett's Landing Improvements $21,000 $15,000 $50,000 $20,000 10,00 Chase Lake Park $10,000 $30,000 $50,000 $30,000 10,000 Esperance Neighborhood Improvements $163,000 New Esperance Park $10,000 $100,000 $100,000 $100,000 150,000 100,000 City Park Improvements $100,000 $200,000 60,000 Civic Center Complex Improvements $75,000 $36,000 $60,000 250,000 Edmonds Marsh $50,000 $20,000 $30,000 50,000 20,000 Fishing Pier /Olympic Beach $55,000 $20,000 40,000 Lynndale Park Improvements 10,000 15,000 Maplewood Park Improvement $30,000 $30,000 40,000 20,000 Marina Beach Park Improvements $140,000 $25,000 40,000 210,000 110,000 200,00 Mathay Ballinger Park 30,000 10,000 20,000 Meadowdale Field / Clubhouse Renovation $20,000 70,000 40,000 North Edmonds Neighborhood Park 150,000 Old Woodway Elementary Park $260,000 260,000 50,000 20,000 Olympic Beach Park/mid- waterfront walkway $20,000 $140,000 100,000 120,000 Pine Ridge Park Improvements $10,000 110,000 25,000 Pine Street Park Improvements $50,000 $10,000 10,000 Seaview Park Improvements $50,000 $20,000 25,000 25,000 80,000 25,000 Senior Center & 144 RR waterfront walkway $20,000 $20,000 20,000 Sierra Park Improvements $55,000 $60,000 50,000 Southwest County Park 90,000 35,000 Underwater Park Improvements $20,000 $5,000 10,000 Yost Park/Pool Improvement $50,000 $45,000 10,000 50,000 15,000 15,00 Beautification Beautification Citywide /Sr. Ctr. Treescape $35,000 $35,000 20,000 20,000 20,000 20,00 City -wide Park/Factlity Improvements ADA Improvements $10,000 $20,000 20,000 30,000 25,000 Centralized Irrigation $20,000 20,000 10,000 Citywide Park Improvements $30,000 $10,000 40,000 30,000 45,000 30,000 Hummingbird Hill Park $50,000 10,000 Misc Paving $70,000 $15,000 10,000 20,000 80,000 30,000 Misc Small Projects $115,000 $15,000 60,000 100,000 90,000 50,000 Sports Fields Upgrade /Playground Partnership $90,000 $30,000 30,000 10,000 15,000 30,000 Specialized Facilities Aquatic Recreation Complex note #1 note #1 note #1 note #1 note #1 note #1 Skateboard Facility $200,000 146,000 Trail Development Interuban Trail Development $650,000 70,000 Misc. Unpaved Trail / Bike Path /Improvements $50,000 $100,000 30,000 50,000 150,000 30,000 Planning Cultural Arts Center $10,000 $40,000 40,000 10,00 Comprehensive Plan $10,000 $60,000 10,000 10,000 10,000 10,000 Note #1: $10,000,000 General Obligation Bond Issue Total Park Projects $2,236,000 $1,371,000 $1,380,000 $1,824,000 $1,090,000 $690,000 Revenues and Cash Balances 2005 -2010 Beginning Cash Balance $2,949,000 $1,598,200 $1,577,266 $1,060,266 $91,266 $38,266 Real estate Tax 1/4% 762,200 785,066 740,000 730,000 740,000 740,000 Interest Earnings $40,000 $40,000 40,000 40,000 40,000 40,000 Grants/ Other Government (Sought, not secured) $100,000 $500,000 50,000 200,000 250,000 300,000 Total Revenues $3,851,200 $2,923,266 $2,407,266 $2,030,266 $1,121,266 $1,118,266 Expenditures Supplies $2,000 $2,000 2,000 $2,000 2,000 2,000 Professional Services $3,000 $3,000 3,000 $3,000 3,000 3,000 1 %for the Arts /Capital Projects $12,000 $20,000 7,000 $10,000 8,000 8,000 Total Parks Projects $2,236,000 $1,371,000 $1,380,000 $1,824,000 $1,090,000 $690,000 Total Expenditures $2,253,000 $1,346,000 1,347,000 $1,939,000 1,083,000 1,083,000 Ending Cash Balance i $1,598,2001 $1,577,2661 $1,060,2661 $91,2661 $38,266 $35,266 Parks Acquisition - Fund 126 (Special Capital) Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Debt Service on City Hall $484,056 $416,237 $415,502 415,500 415,500 415,500 Debt Service on Library Roof $26,000 $26,000 26,000 26,000 26,000 26,000 Debt Service on Marina Beach $151,835 $151,835 151,835 151,835 151,835 151,835 Debt Service on PSCC Purchase $73,823 $73,823 73,823 73,823 73,823 73,823 Total Debt Service JZK 714 667 895 INLI60 J6L6 7 158 667 158 667 158 Misc. O ens ace /Land $40,000 $100,000 20,000 20,000 20,000 20,000 Meadowdale Heights Acquisition/North end $20,000 $100,000 North Edmonds Beach Acquisition/Tidelands $20,000 $100,000 Old Woodway Elementary School Acquisition $1,238,000 $225,000 Waterfront Acquisition $480,000 1,500,000 500,000 Tideland Acquisition $80,000 $55,000 10,000 10,000 10,000 Es erance Neighborhood Park Acquisition $300,000 Total Park Projects $1.878.000 IM 000 $1,530,000 $30,000 520 000 30 000 Beginning Cash Balance $1,627,437 $338,923 $139,094 $244,934 $367,776 $460,618 Real estate Tax 1/4% /1st Qtr % $762,200 $785,066 740,000 730,000 740,000 740,000 Interest Earnings $40,000 $40,000 40,000 40,000 40,000 40,000 Grants Other Government (Sought, not secured ) $523,000 $523,000 1,523,000 50,000 500,000 250,000 Private Donation Total Revenues $2,952,637 $1,686,989 $2,442,094 $1,064,934 $1,647,776 $1,490,618 Expenditures Total Debt Service $735,714 $667,895 $667,160 $667,158 $667,158 $667,158 Total Parks Projects $1,878,000 $880,000 $1,530,000 $30,000 $520,000 $30,000 Total Expenditures $2,613,714 $1,547,895 $2,197,160 $697,158 $1,187,158 $697,158 .Ending Cash Balance $338,923 $139,094 $244 934 $367 776 $460,618 $793,460 Capital Improvements Program Public Safety Building Construction -Fund #326 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Fire Station #17 Carpet $12,000 Fire Station #17 Interior Painting $4,500 Fire Station #17 Exterior Painting $7,500 Fire Station #20 Deck Replacement $12,000 Fire Station #20 HVAC $30,000 Fire Station #20 Interior Painting $4,000 Fire Station #20 Lighting Upgrade $8,000 Fire Station #20 Roof Replacement $30,000 Fire Station #17 and Public Safety Appliances $12,000 Public Safety Soffit Installation $15,000 Public Safety Air Duct Relocation $45,000 Public Safety Exterior Painting $8,000 Public Safety Interior Painting $7,000 Public Safety Entrance Doors $9,000 Public Safety Council Chamber Carpet $3,500 Total Capital Improvements Projects $64,000 $77,000 $12,000 $11,500 $20,000 $23,000 Revenues and Cash Balances 2005 -2010 Beginning Cash Balance $139,700 $75,700 $0 $0 $0 $0 General Fund Transfer $0 $1,300 $12,000 $11,500 $20,000 $23,000 Interest Earnings Total Revenues $139,700 $77,000 $12,000 $11,500 $20,000 $23,000 Total Capital Project Expenditures $64,000 $77,000 $12,000 $11,500 $20,000 $23,000 Ending Cash Balance $75,700 $0 $0 $0 $0 $0 Capital Improvements Program Fund 330 Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Library Roof Phase 1 $12,000 Street Overlays $19,123 Total Capital Improvements Projects $31,123 Revenues and Cash Balances 2005 -2010 Beginning Cash Balance $31,123 Real property Taxes Interest Earnings Total Revenues $31,123 Total Capital Project Expenditures $31,123 Ending Cash Balance $0 Ending Cash Balance $0 Capital Improvements Program Combined Utility Construction Improvement - Fund 412 -100 Water Projects Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 Citywide Water Improvements $20,000 $25,000 $25,000 $25,0001 $25,000 $25,000 Replacement Program & Distr.System Improvements $720,000 $897,000 $878,000 $845,000 $870,000 $870,000 South Perrinville Waterline Replacement (OVD) $675,000 Replacement Program- 2004Replacement Program- 2004 $695,000 220th Waterline Relocation/ Upgrade220th Waterline Relocation / Upgrade $120,000 Five Corners Pump Station Improvements $450,000 Seismic Improvements $170,000 Reservoir Security $45,000 $50,000 Chlorine Residual Analyzers $25,000 Automated Meter Evaluation Study $10,000 $10,000 Automated Meter Constrruction PRV Replacements $150,000 Total Water Projects $2,395,000 $1,647,000 $903,000 $870,000 $905,000 $905,000 Revenues 2004 -2010 Beginning Cash Balance $1,091,520 $254,750 $222,845 $29,302 $1,614,888 $747,186 Transfer from Combined Utility Fund #411 $100,000 $100.000 $700,000 1 $200,000 Public Works Trust Fund Loan -Five Corners- Transfer in (Secured) $326,400 Connection Fee Proceeds $120,000 $120,000 $120,000 $120,000 $120,000 $120,000 Bond Proceeds, Transfer in $1,100,000 $1,500.000 $2.450.000 Interest Earnings $21,830 $5,095 $4,457 $586 $32,298 $14,944 Transfer to Const Improv Fund #112 - $110,000 - $110,000 - $115,000 - $115,000 - $115,000 - $115,000 Total Revenues $2,649,750 $1,869,845 $932,302 $2,484,888 $1,652,186 $967,130 Total Water Projects $2,395,000 $1,647,000 $903,000 $870,000 $905,000 $905,000 Ending Cash Balance $254,750 $222,8451 $29,302 $1,614,888 $747,186 $62,130 Combined Utility Construction Improvement - Fund 412 -200 Drainage Projects Projects for 2005 -2010 Perrinville Creek Diversion $150,000 $1,500,000 Talbot Road $300,000 Admiral Way 48" Storm Rehabilitation $400,000 93rd Avenue West $400,000 Willow Creek Outfall Extension $530,000 96th Ave West Storm $103,000 Dayton Street Outfall rehabilitation $310,000 Southwest Edmonds Basin Study, Projects $25,000 $75,000 Shell Creek $30,000 232nd St Storm Improvements $150,000 Marina Beach 48" Storm Emergency Repair $250,000 Meadowdale- 171 st- Talbot Rd Meadowdale- Drainage $100,000 $40,000 Olympic Ave. Phase 1 $35,000 Olympic Ave. Phase 2 $350,000 $50,000 Union Oil Marsh Channel Improvements $50,000 $250,000 220th St Storm Improvements $400,000 242nd St Storm Improvements Phase 2 $180,000 Citywide Drainage Replacement, Extension $40,000 $50,000 $50,000 $50,000 $100,000 $300,000 Vehicle Wash Station $150,000 Critical Areas Revisions & Public Education $20,000 Northstream 30" Storm Repair/ Improvements $50,000 $525,000 Lake Ballinger Monitoring $10,000 $10,000 $10,000 $10,000 $10,000 $10,000 Public Involvement Projects $1,000 $1,000 $1,000 $1,000 $1,000 $1,000 Transfer to Fund 112 $45,000 Total Drainage System Projects $2,284,000 $1,511,000 $761,000 $1,596,000 $461,000 $511,000 Revenues and Cash Balances 2004 -2010 Beginning Cash Balance $1,655,560 $119,571 $581,963 $83,602 $940,274 $704,079 Transfer from Fund 411- (Bond Proceeds) $1,650,000 $1,150,000 Public Works Trust Fund Proceeds (Secured) $484,500 Emergency Funds- Shellabarger Creek (Secured) $64,400 Grant for Perrinville Diversion (Sought, not Secured) $700,000 CZM Grant for Unocal Marsh (Sought, not Secured) $50,000 $100,000 FCAAP Grant for Talbot Road (Sought, not Secured) $40,000 Contributions to Admiral Way Project (Sought, not Secured) $100,000 Lynnwood Cost Share, Perrinville Diversion (Sought, not Secured) $350,000 Contributions to Perrinville Diversion Project $ 50,000 $50,000 $50,000 $50,000 Other Transfer from Fund 411 $60,000 $25,000 $145,000 $145,000 $100,000 $60,000 Storm System Development Charge Fees $ 56,000 $ 56,000 $ 56,000 $ 56,000 $ 56,000 $ 56,000 Investment Interest $33,111 $2,391 $11,639 $1,672 $18,805 $14,082 Total Revenues $2,403,571 $2,092,963 $844,602 $2,536,274 $1,165,079 $884,161 Total Drainage Projects $2,284,000 $1,511,000 $761,000 $1,596,000 $461,000 %1 $511,000 ,Ending Cash Balance $119,571 $581,963 $83,602 $940,274 $7% $373,161 Capital Improvements Program Fund 412 -300 Sewer Projects Projects for 2005 -2010 PROJECT NAME 2005 2006 2007 2008 2009 2010 220th St Side Sewers $30,000 Alder Street $190,000 Citywide Sewer Improvements $10,000 $10,000 $10,000 $10,000 $10,000 Daley Street Sewer $425,000 Dayton Street $500,000 Dellwood Dr $250,000 Eighth Ave South Sewer Rehabilitation $250,000 Lift Station 1 Emergency Generator $60,000 Lift Station 13 $30,000 $200,000 Lift Station 2 $50,000 $355,000 Lift Station 4 $330,000 Lift Station 7 & 8 Integration $1,700,000 Lift Station 3 $540,000 Telemetry upgrades -all Lift Stations $200,000 Olympic View Dr. Sewer Extension $60,000 Seventh Avenue North $350,000 Unanticipated Project Fund $125,000 $125,000 $125,000 $125,000 $125,000 Transfer to 412 -400 for Lift Station 1 Transfer to Fund 112 $25,000 $25,000 $25,000 Total Sewer System Projects $2,590,000 $880,000 $840,000 $410,0001 $925,000 $625,000 Revenues and Cash Balances 2004 -2010 Beginning Cash Balance $1,465,317 $1,117,525 $805,876 $327,993 $520,553 $201,964 Transfer from Combined Utility Fund #411 $500,000 $150,000 $250,000 $500,000 $500,000 $500,000 Investment Interest $29,306 $22,351 $16,118 $6,560 $10,411 $4,039 Transfer to 412 -400 (Lift Station 1) Bond Proceeds (Transfer from Fund 411) $700,000 Public Works Trust Fund Loan (LS 13 & 2) (Secured) $300,000 Public Works Trust Fund Loan (LS 7 & 8) (Secured) $916,902 Connection Charge Proceeds $96,000 $96,000 $96,000 $96,000 $96,000 $96,000 Total Revenues $3,707,525 $1,685,876 $1,167,993 $930,553 $1,126,964 $802,004 Total Sewer Projects $2,590,000 $880,000 $840,000 $410,000 $925,000 $625,000 Ending Cash Balance $1,117,525 $805,876 $327,993 $520,553 $201,964 $177,004 Capital Improvements Program Assumes SR104 trunkline is completed and the outfall repair expense is debt financed Capital Improvements - Fund 414 Wastewater Treatment Plant Projects for 2005 -2010 Incinerator General $25,000 $25,000 $25,000 $25,000 $25,000 $25,000 Clarifier Upgrade Mechanical Equipment Replacement. $15,000 $75,000 $75,000 $75,000 $75,000 $75,000 Repair Outfall $1,045,000 Field flowmeter rehabilitation $56,000 SR104 24 Inch Sewer $150,000 $1,500,000 Replace Bar Screens $1,300,000 Replace influent and effluent VFD $150,000 Public Works Trust Fund Debt Service $31,340 (1) $31,340 (1) $31,340 (1) $31,340 (1) $31,340 (1) $31,340 (1) G.O. Bonds Debt Service $39,280 (2) $39,280 (2 ) $39,280 (2) $39,280 (2) $39,280 (2) $39,280 (2) Revenue Bond Debt Service- SR 104 Rehab $53,120 (4) $53,660 (4) $52,930 (4) $53,290 (4) $52,380 (4) $52,560 (4) Revenue Bond Debt Service -bar screens $160,490 (5) $160,490 (5) $160,490 (5) $160,490 (5 ) $160,490 5 PWTF Debt Service #2 $79,000 (6) $79,000 (6) $79,000 (6) $79,000 (6) Total Treatment Plant Projects $2,864,740 $1,884,770 $463,040 $463,400 $462,490 $462,670 Revenues 2005 -2010 Beginning Cash Balance $2,112,562 $1,481,822 $1,323,052 $1,083,012 $837,612 $588,722 Intergovernmental $149,2101 $149,210 $149,210 $149,210 $149,210 $149,210 Interest Earnings $34,000 (3) $26,000 (3) $23,000 (3) $18,000 (3) $13,600 (3) $8,000 (3) Transfer from Combined Utility Fund #411 $50,790 $50,790 $50,790 $50,790 $50,790 $50,790 Revenue bonds for bar screen upgrade $1,300,000 Revenue bonds for outfall repair $700,000 $1,500,000 Total Revenues $4,346,562 $3,207,822 $1,546,052 $1,301,012 $1,051,212 $796,722 Total Projects $2,864,740 $1,884,770 $463,040 $463,400 $462,490 $462,670 Ending Cash Balance $1,481,822 $1,323,052 $1,083,012 $837,612 1 $688,722 $334,052 (1) PWTF Loan of $595,000, 0.5% interest for 20 years for SR 104 sewer rehab. (2) G.O. Bonds of $500,000, 4.75% interest for 20 years for Meter A rehab - $79,000 (3) Interest estimated at 2% per year (4 ) Revenue bonds of $700,000, 5% interest for 20 years for SR 104 sewer rehab (5) Revenue bonds of $2,000,000, 5% interest for 20 years for bar screens upgrade 6 PWTF Loan of $1,500,000, 0.5% interest for 20 years for SR 104 sewer rehab. Affidavit of Publication STATE OF WASHINGTON, 1. COUNTY OF SNOHONHSH S.S. The undersigned, being first duly swom on oath deposes and says that she is Principal Clerk �1 of THE HERALD, a daily newspaper printed and published in the City of Everett, County of SUMMARY OF ORDINANCE NO. 3546 Snohomish, and State of Washington; that said newspaper is a newspaper of general of the City of Edmonds, the Washington On the 19th day of April, 2005, the City Council of the City circulation in said County and State; that said newspaper has been approved as a legal ty PP 8 of Edmonds, passed Ordinance No. 3546. A summary of the content of said ordinance, consisting of the title, provides as newspaper by order of the Superior Court of Snohomish County and that the notice follows: AN ORDINANCE OF THE CITY OF EDMONDS, WASHING- Summary of Ordinance No. 3546 TON, ADOPTING THE 2005 CAPITAL IMPROVEMENT PLAN ELEMENT OF THE CITY'S COMPREHENSIVE PLAN, AND FIXING A TIME WHEN THE SAME SHALL BE- City of Edmonds COME EFFECTIVE. The full text of this Ordinance will be mailed upon request. DATED this 20th day of April, 2005. CITY CLERK, SANDRA S. CHASE Published: April 24, 2005. j 1 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: April 24, 2005 and that said newspaper was regularly distributed to its subscribers during all of said period. Frmcipal Clerx Subscribed and sworn to before me this 25th RECEIVED day of April, 2005 `� ,,. s TA MgT MAY 0 2 2005 9F( � ,AMY EDMONDS CITY CLERK Notary Publk in an r t State of Was ington, residing at Everett, S oho ish PUBLIC County. � 9-17-2008 O' A�`�� Account Name: City of Edmonds Account Number. 101416 Order Number. 0001280931