HomeMy WebLinkAboutIFAC Memo CIP 19-23 10.30 WIF and WWIFDATE: October 30, 2017
TO: Impact Fee Advisory Board
FROM: Kristin Donald, Finance Director
SUBJECT: Recommendations to the Commission for the Impact Fee Capital Improvement
Plan (CIP) Schedules for Fiscal Years 2019‐2023
_____________________________________________________________________________________
Once again, Impact Fee Advisory Board needs to make recommendations on the Capital Improvement
Plan for the upcoming budgeted expenditure of Impact Fee money for the following:
Street Impact Fee Fund
Fire Impact Fee Fund
Water Impact Fee Fund
Wastewater Impact Fee Fund
In updating the schedules, we have the opportunity to remove items that have been completed or are
no longer needed, adjust project costs estimates, and add projects that are needed. We drop the
current fiscal year (FY18) from the plan and extend the plan by a year, to encompass FY23.
Water Impact Fee Fund– Attached is a staff‐recommended water Impact Fee CIP. We believe this
schedule is complete and ready for the Committee to discuss and take action. Items of Note:
Two projects require borrowing in the 5‐year horizon totaling $12.3 million (WIF32, and WIF 40)
The borrowing will need to be backed by the Water Utility – and may have implications for rate
charged to customers. Borrowing for these projects begins in FY20.
There are a significant amount of unscheduled capacity‐expanding projects proposed that
cannot be supported by the existing levels of impact fee revenues. Capacity for water cannot be
expanded in increments, and requires larger projects.
Revenues have been updated to reflect the 5‐year average for Water Impact Fee collections
which has an average change over that time of a 25% increase, see below for the trends in
detail:
1
Wastewater Impact Fee Fund– Attached is a staff‐recommended Wastewater Impact Fee CIP. We
believe this schedule is complete and ready for the Committee to discuss and take action. Items of
Note:
Four projects require borrowing in the 5‐year horizon totaling approximately $14.3 million
(WWIF11, WWIF20, WWIF24 and WWIF38) The borrowing will need to be backed by the
Wastewater Utility – and may have implications for rate charged to customers. Borrowing for
these projects begins in FY19. Capacity for wastewater cannot be expanded, in increments and
requires larger projects.
WWIF24 was on last year’s plan coordinating with the Billings Clinic. With the high school, the
lift station needs to be completed sooner than the Clinic’s project pace.
Revenues have been updated to reflect the 5‐year average for Water Impact Fee collections
which has an average change over that time of a 16% increase, see below for the trends in
detail:
FY Revenue Change
2011 811,000.00$ ‐
2012 1,060,000.00$ 31%
2013 1,726,000.00$ 63%
2014 1,833,000.00$ 6%
2015 1,663,000.00$ ‐9%
2016 2,262,000.00$ 36%
2017 1,885,123.00$ ‐17%
Average FY13‐17 1,605,731.86 25%
Revenue History ‐ Water Impact Fees
2
In conclusion, we will be looking to discuss these items with the Committee so that we can complete the
draft Capital Improvement Plans and bring them back for Committee approval. Once approved by the
Committee, we will deliver them to the City Commission. We have tentatively scheduled for Impact Fee
Funds:
Street Impact Fee
October 23 ‐ Impact Fee Advisory Committee reviews Street Impact Fee Schedules and
completes recommendations‐ Recommended 10/23
November 13 – City Commission presentation and adoption of Street Impact Fee Capital
Improvement Plan
Fire Impact Fee
October 25 ‐ Impact Fee Advisory Committee reviews Fire Impact Fee Schedules and completes
recommendations – Recommended with minor description changes 10/25
November 27‐ City Commission presentation and adoption of Fire Impact Fee Capital
Improvement Plan
Water and Wastewater
October 30 ‐ Impact Fee Advisory Committee reviews water and Wastewater Impact Fee
Schedules and completes recommendations
December 4 – City Commission presentation and adoption of Water & Wastewater Impact Fee
Capital Improvement Plans
Attachments:
Map Exhibit
Draft – Water Impact Fee CIP ‐ FY19‐23
Draft – Wastewater Impact Fee CIP ‐ FY19‐23
Fire Impact Fee re‐drafted Item sheets
FY Amount Change
2011 669,000.00$ ‐
2012 989,000.00$ 48%
2013 1,405,000.00$ 42%
2014 1,140,000.00$ ‐19%
2015 1,052,000.00$ ‐8%
2016 1,232,889.00$ 17%
2017 1,121,780.00$ ‐9%
Average Fy13‐17 1,190,333.80 16%
Revenue History ‐ Wastewater Impact Fees
3
#
^
^
^
WWIF32
WWIF24 WIF25
WWIF20
WWIF11
WIF30
WIF40
WIF42
WIF42
WIF42
WIF42
WIF27 & WIF28WIF05
WIF05
WIF21
WIF47
WWIF37
WWIF35WWIF36
WWIF38
WIF32 & WIF33
WWIF34
WWIF39
WWIF22
WIF48
WIF46
HUFFINE 19THDURSTON
STUCKYCOTTONWOOD FRONTAGE RD
MAIN
3RD7THOAKDAVIS
COLLEGE
BABCOCK
11THSPRINGHILLPEACH
GOLDENSTEIN
GRAF
3RDI
NTERSTAT
E
90BAXTER
FRONTAGEROUSE
SOURDOUGHHIGHLANDKAGY
BRIDGER
HARPERPUCKETT
VALLEY CENTER
19THGRIFFIN
BOZEMAN TRAILBLACKWOODGOOCH HILLMAIN
This map was created by the City of Bozeman GIS Department on 10/27/17 and is intended for planning purposes only.
0 10.5 Mile
¯
Water & WastewaterImpact Fees FY19-23
Water
^FY19
^FY21
^Unscheduled
Water
FY19
FY20
Unscheduled
Wastewater
#FY19
Wastewater
FY19
FY20
FY21
FY22
FY23
Active Development
City Limits
Water Impact FeeCapital Improvement PlanFinancial SummaryCurrent YearFY18FY19FY20FY21FY22 FY23UnscheduledProjected Beginning Reserve Balance Dedicated to CIP2,104,525$ (1,118,623)$ (578,563)$ (227,069)$ 594,016$ 868,905$ ‐$ Plus: Impact Fee Revenues Dedicated to CIP1,793,400$ 1,883,070$ 1,977,224$ 2,076,085$ 2,179,889$ 2,288,883$ ‐$ Plus: Loan for Well Field WIF32 8,000,000$ Plus: Loan for Sourdough Transmission Main, PH 2 WIF40 4,320,000$ Less: Carryover FY17 Capital Projects (1,826,548)$ Less: Scheduled CIP Project Costs (3,190,000)$ (1,343,010)$ (5,945,729)$ (9,255,000)$ (1,905,000)$ (1,305,000)$ (149,060,296)$ Projected Year‐End Cash Dedicated to CIP(1,118,623)$ (578,563)$ (227,069)$ 594,016$ 868,905$ 1,852,789$ Assumptions Made for Revenue EstimatesCurrent YearFY18FY19FY20FY21FY22FY23Estimated Annual Water Impact Fee Revenues1,793,400$ 1,793,400$ 1,883,070$ 1,977,224$ 2,076,085$ 2,179,889$ Estimated Annual Increase0.0%5%5%5%5%5%Total Estimated Revenues1,793,400$ 1,883,070$ 1,977,224$ 2,076,085$ 2,179,889$ 2,288,883$ Current Revenues Dedicated to CIP %100.0%100.0% 100.0%100.0% 100.0% 100.0% Plus: Increase Dedicated to Water Capacity Expansion CIP0.0%0.0%0.0%0.0%0.0%0.0% Total % Dedicated to CIP100.0%100.0% 100.0%100.0% 100.0% 100.0%Total Estimated Revenues Dedicated to CIP1,793,400$ 1,883,070$ 1,977,224$ 2,076,085$ 2,179,889$ 2,288,883$ ProjectedProjectedCURRENT$(1,343,010)$(5,945,729)$(9,255,000)$(1,905,000)$(1,305,000)$(149,060,296)FY18 FY19 FY20 FY21 FY22 FY23 UNSCHEDULEDWATER IMPACT FEE PROJECTS 4
CIP PROJECT FUPROJ.DEPARTMENTPROJECT NAMEFY19UnscheduledFY23FY20FY21FY22Impact Fees WaterWIF05Water Impact FeesWEST TRANSMISSION MAIN - PHASE 1 CONSTRUCTION$28,006,293WIF14Water Impact FeesLOAN DEBT SERVICE - WTP 5.3MG CONCRETE WATER STORAGE RESERVOIR$600,000$6,800,000$600,000$600,000$600,000WIF21Water Impact FS 11TH 12" WATER MAIN EXTENSION$136,010WIF25Water Impact FeesDAVIS 12" WATER MAIN & VALLEY CENTER 16" WATER MAIN EXTENSION$725,729WIF27Water Impact F5126 WEST SOURDOUGH RESERVOIR 1$9,757,500WIF28Water Impact Fees5126 WEST SOURDOUGH RESERVOIR 1 - SITING$350,000WIF30Water Impact FEAST TRANSMISSION MAIN$7,167,372WIF32Water Impact FeesGROUNDWATER WELL FIELD AND TRANSMISSION CONSTRUCTION$8,000,000WIF33Water Impact FeesGROUNDWATER WELL FIELD AND TRANSMISSION MAIN DESIGN$500,000WIF36Water Impact FeesWEST TRANSMISSION MAIN PLANNING STUDY$400,000WIF37Water Impact FeesSOURDOUGH CANYON NATURAL STORAGE - PLANNING AND DESIGN $350,000$150,000WIF38Water Impact FeesSOURDOUGH CANYON NATURAL STORAGE CONSTRUCTION$8,000,000WIF40Water Impact FeesSOURDOUGH TRANSMISSION MAIN – PHASE 2$4,320,000WIF41Water Impact FeesWEST TRANSMISSION MAIN - PHASE 1 DESIGN$2,907,235WIF42Water Impact FeesWEST TRANSMISSION MAIN - PHASES 2-5 DESIGN & CONSTRUCTION$61,669,396WIF43Water Impact FeesDEBT SERVICE FOR BORROWING - WELL FIELD$1,000,000$10,800,000$1,000,000WIF45Water Impact FeesDEBT SERVICE FOR BORROWING - TRANSMISSION MAIN$305,000$3,445,000$305,000$305,000WIF46Water Impact FeesWATER MAIN OVERSIZING, OAK ST AND RYUN SUN WAY$107,0005
CIP PROJECT FUPROJ.DEPARTMENTPROJECT NAMEFY19UnscheduledFY23FY20FY21FY22WIF47Water Impact FeesGRAF AND S. 27TH WATER TRANSMISSION MAIN OVERSIZING$150,000WIF48Water Impact F4975 SOUTHWEST RESERVOIR 1$9,757,500$1,305,000$1,343,010$5,945,729$9,255,000$1,905,000$149,060,296Totals by DEPARTMENTSummary for Impact Fees Water (20 items)Totals by year:$1,305,000$1,343,010$5,945,729$149,060,296FY23FY19FY20UnscheduledFY22$1,905,000$9,255,000FY216
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF05
DEPARTMENT
Water Impact Fees
PROJECT NAME
West Transmission Main - Phase 1 Construction
FY19 FY20 Unscheduled
$28,006,293
DESCRIPTION OF PROJECT
The project consists of a constructing a new transmission main from the Sourdough water treatment plant to the southwestern
edge of the existing distribution network (S.19th and Graf St.) to serve future anticipated growth and provide water delivery
redundancy. This second transmission line from the WTP to the City's distribution system is critical to provide a second path to
get potable water from the WTP into the City, as well as to adequately serve the rapidly growing western portions of the City
with potable water and fire flows. Potable water delivery and fire flows will be improved in the southwest, west and northwest
portions of the City. This transmission line connects to the existing distribution system at a location that enables the existing
Sourdough and Hill top tanks to be filled even if the Sourdough pipeline is out of service. This project mitigates the risk of not
having enough potable water to serve the City's residents or provide fire suppression.
ALTERNATIVES CONSIDERED
Construct a parallel transmission line between the Sourdough Water Treatment Plant to Kagy Boulevard.
ADVANTAGES OF APPROVAL
Provides transmission capacity to current and growing peak day and fire flow demands on Bozeman's western flanks, generally west of 19th Ave.
All existing transmission capacity is on the eastern edge of the city's distribution system which presents hydraulic issues as the water demand
centroid moves westward. The transmission also provides redundant transmission in the event of failure of sourdough transmission mains.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
Developer contributions
New
Replacement
Equipment
Project
FY21 FY22 FY23
7
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF14
DEPARTMENT
Water Impact Fees
PROJECT NAME
Loan Debt Service - WTP 5.3MG Concrete Water Storage Reservoir
FY19
$600,000
FY20
$600,000
Unscheduled
$6,800,000
DESCRIPTION OF PROJECT
Repayment of debt used to finance construction of WIF03, a 5.3 million gallon concrete water storage reservoir.
ALTERNATIVES CONSIDERED
Payoff loan principal
ADVANTAGES OF APPROVAL
Increased water storage to meet the needs of our growth community, and the requirement of MDEQ. Increased system water pressure in the
southern part of the City.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Requires minimal operation and maintenance. Checking of valves, level sensors and vents on an annual basis and diver inspection and vacuuming
every five years. Estimated at $4,000 annually.
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21
$600,000
FY22
$600,000
FY23
8
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF21
DEPARTMENT
Water Impact Fees
PROJECT NAME
S 11th 12" water main extension
FY19
$136,010
FY20 Unscheduled
DESCRIPTION OF PROJECT
Extension of 12" diameter main per AE2S WFPU in S 11th avenue from current terminus to Graf Street. It provides for future
looped water system per AE2S WFPU, and increases hydraulic capacity of system beyond minimum 8" main. This reduces severity
and consequences of water system outages due to future looping and provides for minimum fire flows. Impact Fees fund capacity
above 8" main which is minimum local share. Local share could be reimbursed to City through a "payback district" established by
City Commission. This will be completed in conjunction with the S 11th Ave road improvements.
ALTERNATIVES CONSIDERED
Forego project and don't loop water system in this area
ADVANTAGES OF APPROVAL
Provides for water main construction at time of road construction and implements WFPU update for G&D water infrastructure
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
n/a
FUNDING SOURCES
Developer contribution (Graf's) for their "local share" of main would need to be reimbursed through a "payback district" established by the City
Commission
New
Replacement
Equipment
Project
FY21 FY22 FY23
9
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF25
DEPARTMENT
Water Impact Fees
PROJECT NAME
Davis 12" Water Main & Valley Center 16" Water Main Extension
FY19 FY20
$725,729
Unscheduled
DESCRIPTION OF PROJECT
Extension of 12" water main in Davis Ln from Catamount to Valley Center & Extension of 16" diameter water main in Valley
Center from Davis to 27th. 16" main is per AE2S WFPU. 12" main extends existing 12" main in Davis. These mains needed to
support development south of East Valley Center between Davis and 27th. This provides for future looped water system per
AE2S WFP, and reduces severity and consequences of water system outages due to future looping and provides for minimum fire
flows. This will be completed in connection with development of Billings Clinic. Other affected projects include the 12" main in
Davis along the proposed alignment of Phase 5 of West Transmission Main in the AE2S WFPU. WTM diameter contemplated at
36" in Davis from Catamount to Valley Center.
ALTERNATIVES CONSIDERED
Billings Clinic may occupy this land. Fire flow demands may require large diameter mains above the minimum 8" diameter typical local share in
order to meet the Clinic's fire flow requirement, thus reducing the overall impact fee contribution
ADVANTAGES OF APPROVAL
Implements WFPU update for G&D infrastructure
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
n/a
FUNDING SOURCES
Developer contribution (Billings Clinic) for their "local share" of main
New
Replacement
Equipment
Project
FY21 FY22 FY23
10
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF27
DEPARTMENT
Water Impact Fees
PROJECT NAME
5126 West Sourdough Reservoir 1
FY19 FY20 Unscheduled
$9,757,500
DESCRIPTION OF PROJECT
The project consists of a constructing a new gravity fed ground storage reservoir to the south/southwest of the City, which
would tie into the West Water Transmission Main – Phase 1 and serve the existing City water distribution system. This reservoir
supplies water to the City’s existing distribution network, to provide necessary storage capacity for the entire system, as well as
contributes to adequate water supply capacity for future development along the City's western half. In the near term the storage
provided by this reservoir will augment storage provided by the City's existing Sourdough and Hilltop Tanks. In the long-term it
provides storage for the west and northwest areas of the City. This project mitigates the risk of not having enough potable water
and fire flow in the southwest area of the City. This project is directly tied to construction of the West Water Transmission
Main - Phase 1.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
Two of the City's three existing reservoirs are located along the Sourdough Transmission main (Sourdough and Hilltop Tanks). If the Sourdough
transmission main or either of these tanks are off-line for any reason (i.e. maintenance, natural disaster, break, etc.), the City would have
inadequate storage and supply. An additional reservoir located on the West Transmission Main – Phase 1 provides storage redundancy, allowing
for routine inspection and maintenance of both water storage facilities/transmission mains, mitigates the risk of and reduces the consequence of
a failure on the existing Sourdough transmission main or Sourdough or Hilltop tanks. It also contributes to satisfying required storage capacity
for the system, as well as ensuring adequate potable water and fire flows to the City's southwest areas.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
an incremental increase in general maintenance cost. Current cost estimate of $XX.XX annually.
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23
11
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF28
DEPARTMENT
Water Impact Fees
PROJECT NAME
5126 West Sourdough Reservoir 1 - Siting
FY19 FY20 Unscheduled
DESCRIPTION OF PROJECT
Siting study and land acquisition for 5MG ground storage reservoir to serve 5126 Pressure Zone from West Transmission Main.
The West Sourdough Reservoir will be the next necessary reservoir for the City to continue to provide adequate potable water
and fire flow. Proper siting of this reservoir will provide redundant supply to Sourdough and Hilltop Reservoirs. It will increase
water storage capacity by 5MG, and will provide greater efficiency in providing potable water and fire flows to the City's western
areas. Better ability to take Sourdough or Hilltop reservoirs offline and still provide sufficient storage. Other affected projects
include groundwater planning, engineering and construction West Transmission Main study, design, construction; reservoir
design, construction projects.
ALTERNATIVES CONSIDERED
Wait until the need for the reservoir is more imminent
ADVANTAGES OF APPROVAL
Procurement of land while it is available, and less expensive
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Unknown
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21
$350,000
FY22 FY23
12
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF30
DEPARTMENT
Water Impact Fees
PROJECT NAME
East Transmission Main
FY19 FY20 Unscheduled
$7,167,372
DESCRIPTION OF PROJECT
The project consists of a constructing a new transmission main that would ensure adequate water supply capacity for future
developments located both east and northeast of the existing distribution system (extending approximately from East Kagy Blvd
to Kelly Canyon Rd and Story Hill Rd). Without this transmission main, potable water and fire flows will eventually become
insufficient in the east and northeast portions of the City. This main also supplies the future East Mountain Zone, which has a
substantial demand. This project better connects the east and northeast portions of the City with the supply from the City's
WTP. In conjunction with the west transmission mains, it will provide a more looped supply for the majority of the City. What
safety or risk measures are mitigated with this project: This project mitigates the risk of having inadequate potable water and fire
flows to the City's east and northeast areas. This project leverages improvements in delivery of water due to the Sourdough Main
replacement or paralleling. It will also enable siting of storage in the City's east and northeast areas.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
The creation of an East Water Transmission Main is necessary to supply adequate water and fire flows to future developments in the eastern
portion of the City’s distribution system. This transmission line will also provides additional looping and redundancy to the City.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
Developer contributions
New
Replacement
Equipment
Project
FY21 FY22 FY23
13
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF32
DEPARTMENT
Water Impact Fees
PROJECT NAME
Groundwater Well Field and Transmission Construction
FY19 FY20 Unscheduled
DESCRIPTION OF PROJECT
Water right permitting and mitigation plan; purchase of mitigation water rights; construction of aquifer recharge or other
mitigation infrastructure; acquisition of land for well field site; construction of wells, power, power backup, instrumentation and
controls, SCADA, control building and site improvements; and transmission main construction to tie GW supply into the existing
system. This is absolutely critical for meeting long-range water supply needs and enhancing overall water supply resiliency and
redundancy. It enhances connectivity by providing a redundant water supply source in the event of Sourdough WTP outage.
ALTERNATIVES CONSIDERED
Status quo operation
ADVANTAGES OF APPROVAL
Improve water distribution operations through increased understanding of system operating characteristics. Improve responsiveness to dynamic
operating conditions. Facilitate improved access to existing sites now requiring confined space entry procedures. Standardize and improve surge
control features throughout system.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Debt service (if any) to construct, power costs, SCADA maintenance, vault maintenance, instrument maintenance, programming libraries
FUNDING SOURCES
Capital funding for water right permitting and water could be augmented with cash in lieu of water rights fund, water fund
New
Replacement
Equipment
Project
FY21
$8,000,000
FY22 FY23
14
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF33
DEPARTMENT
Water Impact Fees
PROJECT NAME
Groundwater Well Field and Transmission Main Design
FY19
$500,000
FY20 Unscheduled
DESCRIPTION OF PROJECT
Design of groundwater well field and transmission main including necessary appurtenances, instrumentation and controls, and
DEQ approvals. This is necessary for construction of groundwater supply source, but it will require DEQ construction approval;
amendments if needed to other DEQ documents such as Source Water Delineation and Assessment Report and Source Water
Protection Plan. This project utilizes the hydrogeologic model developed for the Groundwater Investigation and test well data.
ALTERNATIVES CONSIDERED
Don't develop a GW supply
ADVANTAGES OF APPROVAL
Provides bid plans and cost estimates for construction and obtains DEQ approvals needed for construction.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
N/A
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23
15
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF36
DEPARTMENT
Water Impact Fees
PROJECT NAME
West Transmission Main Planning Study
FY19 FY20 Unscheduled
$400,000
DESCRIPTION OF PROJECT
Planning study to identify key design parameters for WTM, right of way, route alignment, and timing for bringing WTM online.
Eventual construction of the West Transmission Main is necessary to provide redundancy for the Sourdough Transmission Main
as well as adequate potable water and fire flow for the City's west, northwest and north areas, and it provides capacity sufficient
for UBO and delivery of 34 MGD from future WTP expansion. Conveyance of water to the City's western, northwestern and
northern areas will be more efficient that moving water through downtown and existing PRVs.
ALTERNATIVES CONSIDERED
Defer the study further out, deferring eventual construction of the West Transmission Main.
ADVANTAGES OF APPROVAL
Identify key design parameters, right-of-way, route and permitting for the West Transmission Main, so that design and construction can proceed
once funds are available.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23
16
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF37
DEPARTMENT
Water Impact Fees
PROJECT NAME
Sourdough Canyon Natural Storage - Planning and Design
FY19 FY20
$150,000
Unscheduled
$350,000
DESCRIPTION OF PROJECT
Alternatives planning and design for sour dough natural storage enhancement project. This project will increase resiliency of
Sourdough watershed to drought impacts and provides augmented water supply, protects existing municipal water rights, and it
augments water supply capacity of sourdough watershed. This impacts the City's long-term water rights and helps close the
approaching water supply gap. This project could have potential FEMA involvement for flood control. Other affected projects
include final sizing of West Transmission Main. It will also inform long-term groundwater needs.
ALTERNATIVES CONSIDERED
Postpone
ADVANTAGES OF APPROVAL
Implements IWRP, augments Sourdough water supply capacity, and increases resiliency of Sourdough water supply by providing 'storage' to
reduce the susceptibility of drought impacts
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Unknown
FUNDING SOURCES
Potential opportunity for federal drought and flood hazard mitigation grants, state RRGL funds. Cash in lieu of water rights fund.
New
Replacement
Equipment
Project
FY21 FY22 FY23
17
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF38
DEPARTMENT
Water Impact Fees
PROJECT NAME
Sourdough Canyon Natural Storage Construction
FY19 FY20 Unscheduled
$8,000,000
DESCRIPTION OF PROJECT
Construction of natural water storage infrastructure alternatives planned and designed in project WFP_53 that augment water
supply availability, reduce susceptibility to drought impacts, and maximize existing water rights. This project provides enhanced
water supply availability to support future growth and development, and reduces drought susceptibility and peak runoff impacts.
Leveraging potential exists with federal/state grants, federal/state cooperative agreements (consistent with fed initiatives to
increase drought resiliency in western states and consistent with recommendations in state water plan to increase storage in
closed basins). Project implements recommendations of the IWRP to develop storage in Sourdough.
ALTERNATIVES CONSIDERED
Project specific alternatives evaluated with project WFP_53. Water supply alternatives evaluated in IWRP.
ADVANTAGES OF APPROVAL
Augments Sourdough Creek water supply, reduces susceptibility to drought impacts and maximizes existing water rights
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Unknown
FUNDING SOURCES
Federal hazard mitigation grants (drought hazard and flood hazard). State renewable resource grant and loan program.
New
Replacement
Equipment
Project
FY21 FY22 FY23
18
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF40
DEPARTMENT
Water Impact Fees
PROJECT NAME
Sourdough Transmission Main – Phase 2
FY19 FY20
$4,320,000
Unscheduled
DESCRIPTION OF PROJECT
The project consists of constructing approximately 8,000 feet of 30-inch DIP transmission main, which will start at the end of the
Phase 1 connection point and go to the Sourdough Plant. This project is critical to overcome vulnerabilities presented by the
aging and unknown condition of the existing transmission main between the City's WTP and Sourdough Tank, and will provide
additional capacity from the WTP to the Sourdough reservoir. This project will mitigate the risk of not having adequate potable
water and fire flow supplies to the City in the event of a failure to the existing bar-wrapped 30" main. This project's cost and
administration could be improved if combined with the new 3,000 feet of 48" bypass pipe.
ALTERNATIVES CONSIDERED
Conduct a condition assesment of the existing 30-inch concrete pipe and repair/rehabilitate as necessary.
ADVANTAGES OF APPROVAL
The condition of the existing transmission main from the WTP to the Sourdough reservoir is currently unknown. Approval of this project will
provide redundancy for this main, and mitigate the risk and consequence of its failure.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
$4,320,000 Water Impact Fees. $480,000 Water Fund
New
Replacement
Equipment
Project
FY21 FY22 FY23
19
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF41
DEPARTMENT
Water Impact Fees
PROJECT NAME
West Transmission Main - Phase 1 Design
FY19 FY20 Unscheduled
$2,907,235
DESCRIPTION OF PROJECT
Design of the first phase of the West Transmission Main, the criteria for which would be developed in the West Transmission
Main Planning Study (WIF36). This project will reduce the consequence of a failure on the Sourdough Transmission Main, by
providing a second pipeline to convey water to the City from the WTP, and water delivery to the City's western side will become
more efficient. The Sourdough Transmission Main is currently a single point of failure for conveyance of water from the
Sourdough WTP. Other affected projects include subsequent phases of West Transmission Main design and construction, and
construction of storage reservoirs on the City's west side.
ALTERNATIVES CONSIDERED
Defer design and construction of West Transmission Main
ADVANTAGES OF APPROVAL
Potential to install the transmission main before significant growth and development occur along the route, reduced consequence of failure to
Sourdough Transmission Main
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23
20
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF42
DEPARTMENT
Water Impact Fees
PROJECT NAME
West Transmission Main - Phases 2-5 Design & Construction
FY19 FY20 Unscheduled
$61,669,396
DESCRIPTION OF PROJECT
The project consists of remaining phases (2 thru 5) of the west Transmission Main, completing the transmission loop around the
city's western flank. Extending the West Transmission Line further north into the City's future western and northwestern
developments to ensure adequate potable water and fire flow for west and northwest Bozeman residents. The northwest portion
of the City remains the least well connected area to the distribution system. Flow to the northwest must come through the
existing PRVs from the Sourdough and Hilltop Tanks, or from the northeast Lyman source. This main will bring water from the
WTP well into the northwest portion of the City. Therefore, this project mitigates the risk of not having enough potable water
or fire flow to serve the City's west residents. This project will also provide the ability for the City to connect additional storage
reservoirs on the City's southwest and west to satisfy maximum day demand and fire flows.
ALTERNATIVES CONSIDERED
Do not complete west tranmission main loop.
ADVANTAGES OF APPROVAL
Further extending the West Water Transmission Main would provide the following: distribution redundancy, and adequate water supply and fire
flows for future development on the City's west and northwest sides.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
Developer contributions
New
Replacement
Equipment
Project
FY21 FY22 FY23
21
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF43
DEPARTMENT
Water Impact Fees
PROJECT NAME
Debt Service for Borrowing - Well Field
FY19 FY20 Unscheduled
$10,800,000
DESCRIPTION OF PROJECT
These are the estimated annual amounts owned for borrowing for WIF32 - Well Field and WIF40 - Sourdough Transmission Main
project. Payments will begin in the fiscal year following borrowing.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
The project can be constructed before cash is on hand.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
Water Utility Revenue Bonds will be issued, with repayments made by the Impact Fee Fund.
New
Replacement
Equipment
Project
FY21 FY22
$1,000,000
FY23
$1,000,000
22
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF45
DEPARTMENT
Water Impact Fees
PROJECT NAME
Debt Service for Borrowing - Transmission Main
FY19 FY20 Unscheduled
$3,445,000
DESCRIPTION OF PROJECT
These are the estimated annual amounts owned for borrowing for WIF40 - Sourdough Transmission Main project. Payments will
begin in the fiscal year following borrowing.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
The project can be constructed before cash is on hand.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
incremental increases in general maintenance costs.
FUNDING SOURCES
Water Utility Revenue Bonds will be issued, with repayments made by the Utility (10%) and Impact Fee Fund (90%)
New
Replacement
Equipment
Project
FY21
$305,000
FY22
$305,000
FY23
$305,000
23
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF46
DEPARTMENT
Water Impact Fees
PROJECT NAME
Water Main Oversizing, Oak St and Ryun Sun Way
FY19
$107,000
FY20 Unscheduled
DESCRIPTION OF PROJECT
This project consists of upsizing water mains from 8-inches to 12-inches per the Water Master Plan if the proposed Canvasback
Subdivision proceeds to approval. The Canvasback Subdivision will be required to install the mains, and the City would pay the
difference in cost between an 8-inch and a 12-inch pipe required by the 2017 Water Master Plan.
ALTERNATIVES CONSIDERED
Do nothing and require the developer to bear the full cost of the 12-inch transmission main.
ADVANTAGES OF APPROVAL
Supports implementation of the water transmission pipe network described in the 2017 Water Master Plan.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Incremental cost of water main operations.
FUNDING SOURCES
NA
New
Replacement
Equipment
Project
FY21 FY22 FY23
24
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF47
DEPARTMENT
Water Impact Fees
PROJECT NAME
Graf and S. 27th Water Transmission Main Oversizing
FY19 FY20
$150,000
Unscheduled
DESCRIPTION OF PROJECT
This project consists of upsizing water mains from 8-inches to 12-inches per the Water Master Plan if the proposed Canvasback
Subdivision proceeds to approval. The Canvasback Subdivision will be required to install the mains, and the City would pay the
difference in cost between an 8-inch and a 12-inch pipe required by the 2017 Water Master Plan.
ALTERNATIVES CONSIDERED
Do nothing and require the developer to bear the full cost of the 12-inch transmission main.
ADVANTAGES OF APPROVAL
Supports implementation of the water transmission pipe network described in the 2017 Water Master Plan.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Incremental cost of water main operations.
FUNDING SOURCES
N/A
New
Replacement
Equipment
Project
FY21 FY22 FY23
25
CIP Project Fund
Impact Fees Water
PROJECT NUMBER
WIF48
DEPARTMENT
Water Impact Fees
PROJECT NAME
4975 Southwest Reservoir 1
FY19 FY20 Unscheduled
$9,757,500
DESCRIPTION OF PROJECT
The project consists of a constructing a new ground storage reservoirsouthwest of town, which would tie into the West
Transmission Main – Phase 2 and serve the City’s future western and northern water distribution system.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
An additional reservoir located on the West Transmission Main – Phase 2 would help provide the following: promote storage redundancy within
the system, allow for routine inspection and maintenance of both water storage facilities/transmission mains, reduce the consequence of failure
of future transmission mains (i.e. mitigates risk), aids in supplying water to the City’s distribution network, and ensures adequate water supply
capacity for future development.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on annual operations and maintenance costs. The Water Utility will see
an incremental increase in general maintenance cost. Current cost estimate of $XX.XX annually.
FUNDING SOURCES
100% Water Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23
26
Wastewater Impact Fee Capital Improvement PlanFinancial SummaryCurrent YearFY18FY19FY20 FY21 FY22 FY23UnscheduledProjected Beginning Reserve Balance Dedicated to CIP1,767,460$ (315,136)$ 327,072$ 568,592$ 1,260,469$ 2,023,028$ ‐$ Plus: Impact Fee Revenues Dedicated to CIP1,221,150$ 1,282,208$ 1,346,318$ 1,413,634$ 1,484,315$ 1,558,531$ ‐$ Plus: Financing WWIF11 2,185,000$ Plus: Financing WWIF245,800,000$ Plus: Financing WWIF383,320,000$ Plus: Financing WWIF20 ($5,290,000)3,000,000$ Less: Carryover FY17 Capital Projects(1,863,746)$ Less: Scheduled CIP Project Costs(1,440,000)$ (8,625,000)$ (4,424,797)$ (721,757)$ (721,757)$ (6,011,757)$ (7,005,792)$ Projected Year‐End Cash Dedicated to CIP(315,136)$ 327,072$ 568,592$ 1,260,469$ 2,023,028$ 569,802$ Beginning Balance of Payback Improvements:‐$ ‐$ 397,500$ 1,053,156$ 2,640,156$ 2,640,156$ Payback District ‐ WWIF11655,656$ Payback District ‐ WWIF201,587,000$ Payback District ‐ WWIF27397,500$ Payback District ‐ WWIF23Ending Balance of Payback Improvements:‐$ 397,500$ 1,053,156$ 2,640,156$ 2,640,156$ 2,640,156$ Assumptions Made for Revenue EstimatesCurrent YearFY18FY19FY20FY21FY22FY23Estimated Annual Wastewater Impact Fee Revenues1,221,150$ 1,221,150$ 1,282,208$ 1,346,318$ 1,413,634$ 1,484,315$ Estimated Annual Increase0.0%5%5%5%5%5%Total Estimated Revenues1,221,150$ 1,282,208$ 1,346,318$ 1,413,634$ 1,484,315$ 1,558,531$ Current Revenues Dedicated to CIP %100.0%100.0% 100.0% 100.0% 100.0% 100.0% Plus: Increase Dedicated to Wastewater Capacity Expansion CIP0.0%0.0%0.0%0.0%0.0%0.0% Total % Dedicated to CIP100.0%100.0% 100.0% 100.0% 100.0% 100.0%Total Estimated Revenues Dedicated to CIP1,221,150$ 1,282,208$ 1,346,318$ 1,413,634$ 1,484,315$ 1,558,531$ ProjectedProjectedCURRENT$(8,625,000)$(4,424,797)$(721,757)$(721,757)$(6,011,757)$(7,005,792)FY18 FY19 FY20 FY21 FY22 FY23 UNSCHEDULEDWASTEWATER IMPACT FEE PROJECTS 27
CIP PROJECT FUPROJ.DEPARTMENTPROJECT NAMEFY19UnscheduledFY23FY20FY21FY22Impact Fees WastewaterWWIF11Wastewater ImFRONT STREET INTERCEPTOR$2,185,000WWIF20Wastewater ImN FRONTAGE RD INTERCEPTOR$5,290,000WWIF22Wastewater Impact FeesDAVIS-FOWLER INTERCEPTOR (DURSTON RD TO W OAK ST)$778,035WWIF24Wastewater ImDAVIS LANE (LIFT STATION)$5,800,000WWIF32Wastewater Impact FeesHIDDEN VALLEY (LIFT STATIONAND FORCE MAIN)$5,190,000WWIF33Wastewater Impact FeesDAVIS LN LIFT STATION DEBT SERVICE (WWIF24)$370,300$370,300$370,300$370,300$370,300WWIF34Wastewater ImANNIE STREET SANITARY SEWER UPGRADE$300,000WWIF35Wastewater ImBABCOCK SANITARY SEWER UPGRADE$245,000WWIF36Wastewater Impact FeesBAXTER CREEK BASIN - COTTONWOOD ROAD 18" SANITARY SEWER EXTENSION$640,000WWIF37Wastewater Impact FeesHUNTERS WAY SEWER CAPACITY UPGRADE$350,000WWIF38Wastewater Impact FeesNORTON EAST RANCH OUTFALL DIVERSION$3,320,000WWIF39Wastewater Impact FeesRENOVA STREET SANITARY SEWER MAIN UPGRADE$16,000WWIF40Wastewater Impact FeesFRONT STREET INTERCEPTOR DEBT SERVICE (WWIF11)$139,497$139,497$139,497$139,497$139,497WWIF41Wastewater Impact FeesNORTON EAST RANCH OUTFALL DIVERSION DEBT SERVICE (WWIF38)$211,960$211,960$211,960$211,960$6,011,757$8,625,000$4,424,797$721,757$721,757$7,005,792Totals by DEPARTMENTSummary for Impact Fees Wastewater (14 items)Totals by year:$6,011,757$8,625,000$4,424,797$7,005,792FY23FY19FY20UnscheduledFY22$721,757$721,757FY2128
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF11
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Front Street Interceptor
FY19
$2,185,000
FY20 Unscheduled
DESCRIPTION OF PROJECT
This project consists of construction of ~8,500 LF 18", 21", 24" sewer pipe from manhole E0304 to C0524. Without this
wastewater interceptor development in the vicinity of Bozeman Deaconess Health Services, Blackmore Bend Development (new
Heebs store), development on E. Main Street, and development along Haggery Lane will not be able to occur. The downstream
portion of the existing sewer is already at capacity. Additional capacity is needed to serve future development in the vicinity of
Bozeman Deaconess Hospital and lands to the south. This project will conform to the City's Wastewater Master Plan. It is
estimated that 70% of this project costs will be due to capacity expansion and will be eligible for Wastewater Impact Fees. The
remaining 30% of the project costs will need to be provided by a "local share" contribution or other source.
ALTERNATIVES CONSIDERED
No action.
ADVANTAGES OF APPROVAL
This project will significantly increase the capacity of the trunk sewer, allow for infill and new development along East Main Street, Haggerty
Lane, and Bozeman Deaconess Health.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating and Maintenance Costs: Impact fees can not fund operating and maintenance costs. The city’s wastewater utility will pay for
these costs, which are estimated to be a small increment of the city’s system as a whole.
FUNDING SOURCES
70% Wastewater Impact Fees = $1,529,864 30% Wastewater Impact Fees for Local Share = $655,656, recovered via payback district(s).
New
Replacement
Equipment
Project
FY21 FY22 FY23
29
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF20
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
N Frontage Rd Interceptor
FY19 FY20 Unscheduled
DESCRIPTION OF PROJECT
This project will replace or parallel 11,500' of the North Frontage Road interceptor between Springhill Rd and Bridger Dr.
Portions of the interceptor are at or very near capacity and unless improvements are made it will be at or over capacity when the
tributary obligated areas are developed. This project will directly increase collection capacity in the southeast and east parts of
the city. Development in the southeast part of town within the Community Plan Boundary as well as the east part of town will
be tributary to this North Frontage Road Interceptor. There are potentially a great number of private development projects
which will not be able to proceed due to the lack of wastewater collection capacity. This project will conform to the City's
Wastewater Master Plan. It is estimated that 70% of this project costs will be du e to capacity expansion and will be eligible for
Wastewater Impact Fees. The remaining 30 % of the project costs will need to be provided by a "local share" contribution or
other source.
ALTERNATIVES CONSIDERED
Limit future development in the area.
ADVANTAGES OF APPROVAL
If constructed to the line sizes master planned in the City’s Wastewater Facilities plan, capacity will be provided for future growth tributary to
this main.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating and Maintenance Costs: Impact fees can not fund operating and maintenance costs. The city’s wastewater utility will pay for
these costs, which are estimated to be a small increment of the city’s system as a whole.
FUNDING SOURCES
Wastewater Impact Fees, with local share recovered via payback district(s)
New
Replacement
Equipment
Project
FY21 FY22 FY23
$5,290,000
30
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF22
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Davis-Fowler Interceptor (Durston Rd to W Oak St)
FY19 FY20 Unscheduled
$778,035
DESCRIPTION OF PROJECT
This project will replace or parallel 2700' of the Davis-Fowler Interceptor between Durston and Oak. The interceptor between
Durston Rd and W Oak will eventually exceed capacity as the Baxter Creek drainage basin develops. In order to convey the
ultimate build-out flow, the interceptor will need to be increased from an 18-inch diameter to a 24-inch diameter pipe.
ALTERNATIVES CONSIDERED
Limit future development in the area.
ADVANTAGES OF APPROVAL
If constructed to the line sizes master planned in the City’s Wastewater Facilities plan, capacity will be provided for anticipating the long-term
future growth in this area
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating and Maintenance Costs: Impact fees can not fund operating and maintenance costs. The city’s wastewater utility will pay for
these costs, which are estimated to be a small increment of the city’s system as a whole.
FUNDING SOURCES
Wastewater Impact Fees, with local share recovered via payback district
New
Replacement
Equipment
Project
FY21 FY22 FY23
31
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF24
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Davis Lane (Lift Station)
FY19
$5,800,000
FY20 Unscheduled
DESCRIPTION OF PROJECT
Complete the buildout of the Davis Ln Lift Station.
ALTERNATIVES CONSIDERED
Limit future development in the area.
ADVANTAGES OF APPROVAL
If constructed to the line sizes master planned in the City’s Wastewater Facilities plan, capacity will be provided for anticipating the long-term
future growth in this area
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating and Maintenance Costs: Impact fees can not fund operating and maintenance costs. The city’s wastewater utility will pay for
these costs, which are estimated to be a small increment of the city’s system as a whole.
FUNDING SOURCES
Wastewater Impact Fees, with local share recovered via payback district
New
Replacement
Equipment
Project
FY21 FY22 FY23
32
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF32
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Hidden Valley (Lift Stationand Force Main)
FY19 FY20 Unscheduled
$5,190,000
DESCRIPTION OF PROJECT
Design and Construct Hidden Valley Lift Station and Force Main. This project will conform to the City's Wastewater Collection
Facilities Plan. The Davis Lane Lift Station must be upgraded to accommodate flows from the Hidden Valley Lift Station when the
Hidden Valley Lift Station is constructed.
ALTERNATIVES CONSIDERED
Limit development on the northwestern edge of of the City due to no sanitary sewer availability.
ADVANTAGES OF APPROVAL
Increased service area of the City's sanitary sewer system.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Operating costs will be paid from the City's sewer enterprise fund.
FUNDING SOURCES
Payback district or other local share contribution from development at the time of construction.
New
Replacement
Equipment
Project
FY21 FY22 FY23
33
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF33
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Davis Ln Lift Station Debt Service (WWIF24)
FY19 FY20
$370,300
Unscheduled
$370,300
DESCRIPTION OF PROJECT
This project will provide a debt service payment for the City's portion of the Davis Ln Lift Station. If we do not fund this debit
service, the City will be in default of our loan. This lift station serves development north of the Cattail Lake Lift Station, and it will
conform to the City's Wastewater Master Plan. The Billings Clinic will finance the lift station, and the City will reimburse the
Billings Clinic for the City's portion over 5 years. The Billings Clinic will not be reimbursed for their portion of the lift station
capacity, which is estimates as 8% of the capacity of the initial lift station construction. The Norton East Ranch Diversion would
reduce early operational challenges in the Davis Lane Lift Station due to odors associated with minimal flows.
ALTERNATIVES CONSIDERED
None
ADVANTAGES OF APPROVAL
This will pay off the City's portion of the Davis Ln Lift Station
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating and Maintenance Costs: Impact fees can not fund operating and maintenance costs. The city’s wastewater utility will pay for
these costs, which are estimated to be a small increment of the city’s system as a whole.
FUNDING SOURCES
Billings Clinic is constructing the Lift Station and will provide a payback district for the City's portion of the financing.
New
Replacement
Equipment
Project
FY21
$370,300
FY22
$370,300
FY23
$370,300
34
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF34
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Annie Street Sanitary Sewer Upgrade
FY19 FY20 Unscheduled
$300,000
DESCRIPTION OF PROJECT
This project consists of upgrading approximately 1,200 feet of an existing 18-inch sanitary sewer main in the Annie Street
alignment to a 21-inch main. Given the current planned development projects, this main will be at capacity in 5-10 years upon
buildout of multiple projects.
ALTERNATIVES CONSIDERED
No action, but this will limit infill development when the capacity of the sewer main is reached.
ADVANTAGES OF APPROVAL
Allows future infill development.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
The additional operating costs will be minimal as this is an upgrade of an existing line.
FUNDING SOURCES
Payback district.
New
Replacement
Equipment
Project
FY21 FY22 FY23
35
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF35
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Babcock Sanitary Sewer Upgrade
FY19 FY20
$245,000
Unscheduled
DESCRIPTION OF PROJECT
To accommodate flows from Phase 2 of the Icon Apartments project, Ferguson Farm, and Lupine Village as well as future in-fill
development, the existing 10-inch sanitary sewer main in W. Babcock must be upgraded to a 15-inch sanitary sewer main from
Manhole L0408 at the intersection of Resort Drive and Babcock to L0412 at the intersection of Babcock and Cottonwood.
ALTERNATIVES CONSIDERED
Do nothing.
ADVANTAGES OF APPROVAL
Allows infill development to proceed as this sanitary sewer main will be at capacity after development of Phase I of Icon Apartments and various
site plan applications at Ferguson Farms.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Minimal as this will be a capacity upgrade of an existing sanitary sewer main.
FUNDING SOURCES
Development that depends on this line upgrade will be required to upgrade this main as necessary to serve their projects. However, an upsizing
fee from the City is anticipated to support this upgrade.
New
Replacement
Equipment
Project
FY21 FY22 FY23
36
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF36
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Baxter Creek Basin - Cottonwood Road 18" Sanitary Sewer Extension
FY19
$640,000
FY20 Unscheduled
DESCRIPTION OF PROJECT
This project consists of constructing an 18-inch sanitary sewer main from the intersection of Babcock and Cottonwood to the
intersection of Cottonwood and Durston per the Wastewater Collection Facilities Plan Update (2015). This section of
Cottonwood Road is currently being designed and will be constructed in the summer of 2018, and the sewer improvement must
be constructed with the road upgrade, so the road will not need to be excavated for new sewer main construction within the
next 2-3 years. The sanitary sewer main identified in the facilities plan is also required to serve any new development upstream
of this section of sanitary sewer. The existing 12-inch main capacity is completely dedicated for approved, new development.
Any new development served by this line including current site plan applications are dependent on an upgrade of the sanitary
sewer at this location (Icon Apartments, Lupine Village, and multiple smaller site plans at Ferguson Farms will require this upgrade
in the immediate short term). Also, there will be substantial cost savings to complete the sewer improvement with the
Cottonwood Road upgrade. The cost of the project in this item reflects the cost listed in the facility plan, but the cost will be less
expensive if completed with the street upgrade.
ALTERNATIVES CONSIDERED
The line is at capacity and must be upgraded now, or infill property served by this pipe will not be allowed to proceed.
ADVANTAGES OF APPROVAL
Allows immediate use by development as multiple development applications are dependent on this upgrade (Icon Apartments, site plan
applications in Ferguson Farms, Lupine Village)
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Additional operating costs are minimal as the proposed upgrade is a replacement of an existing 12-inch main that is at capacity.
FUNDING SOURCES
N/A
New
Replacement
Equipment
Project
FY21 FY22 FY23
37
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF37
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Hunters Way Sewer Capacity Upgrade
FY19 FY20
$350,000
Unscheduled
DESCRIPTION OF PROJECT
Approximately 1,600 feet of sanitary sewer main requires an upgrade from a 12-inch main to a 15-inch main to accommodate
infill development including buildout of the MSU Innovation Campus and other infill areas immediately west of S. 19th.
ALTERNATIVES CONSIDERED
No action. This option would not allow buildout of the MSU Innovation Campus and other infill development immediately west of S. 19th.
ADVANTAGES OF APPROVAL
Allows buildout of the MSU Innovation Campus and other infill projects immediately west of S. 19th including a potential student housing project.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Operational costs would remain the same as the existing 12-inch main would be upgraded to a 15-inch main.
FUNDING SOURCES
In-fill development contributions through a direct contribution or a payback district.
New
Replacement
Equipment
Project
FY21 FY22 FY23
38
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF38
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Norton East Ranch Outfall Diversion
FY19 FY20
$3,320,000
Unscheduled
DESCRIPTION OF PROJECT
The existing system does not have enough capacity to collect all of the flows from the full development of the Aajker Creek and
Baxter Creek Drainage Basins. Most of the flow is proposed to be collected by a new extension in the Aajker Creek drainage
basin and enter the system at the Norton East Ranch Outfall Interceptor. The Norton East Ranch Outfall Interceptor will be
constructed from the intersection of Baxter Lane and Flanders Mill Road to the proposed Davis Lane Lift Station north of
Interstate 90 and will be a 27-inch sanitary sewer pipe. The project will take pressure off the Baxter Meadows Lift Station which
has limited capacity. This project will only be constructed if the Davis Lane Lift Station is constructed. If the Davis Lane Lift
Station is not constructed, we will need to divert funds from the Norton East Ranch Outfall to upgrade the existing Baxter
Meadows Lift station and sewer interceptor to the lift station.
ALTERNATIVES CONSIDERED
1) Upgrade the existing sanitary sewer interceptor and Baxter Meadows Lift Station that serve the Aajker Creek and Baxter Creek Drainage
Basins, or 2) do nothing.
ADVANTAGES OF APPROVAL
Frees capacity in existing infrastructure to serve infill development while simultaneously opening new areas for development that currently do
not have access to the City sanitary sewer system.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Routine maintenance of sanitary sewer mains including flushing and long-term maintenance.
FUNDING SOURCES
Local share contributions from development. New development that connects to the interceptor sewer would be required to pay the
assessment associated with a payback district.
New
Replacement
Equipment
Project
FY21 FY22 FY23
39
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF39
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Renova Street Sanitary Sewer Main Upgrade
FY19 FY20 Unscheduled
$16,000
DESCRIPTION OF PROJECT
A small section, 40-feet, of 21-inch sanitary sewer main in Renova Street must be upgraded to a minimum 24-inch main due to
the flat slope of this segment of pipe. Upon buildout of the currently planned development projects, this segment of sanitary
sewer main will be at capacity in approximately 5-10 years. Further evaluation of this pipe segment is required prior to an
upgrade including a survey of the actual grade of the pipe and flow monitoring to verify the need for the upgrade and the results
of the City's hydraulic model.
ALTERNATIVES CONSIDERED
Additional flow monitoring and survey data needed to verify the timing and need for this upgrade.
ADVANTAGES OF APPROVAL
Accommodate future development demands on this segment of interceptor sewer.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Minimal due to replacement of an existing, smaller main.
FUNDING SOURCES
N/A
New
Replacement
Equipment
Project
FY21 FY22 FY23
40
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF40
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Front Street Interceptor Debt Service (WWIF11)
FY19 FY20
$139,497
Unscheduled
$139,497
DESCRIPTION OF PROJECT
ALTERNATIVES CONSIDERED
ADVANTAGES OF APPROVAL
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
FUNDING SOURCES
New
Replacement
Equipment
Project
FY21
$139,497
FY22
$139,497
FY23
$139,497
41
CIP Project Fund
Impact Fees Wastewater
PROJECT NUMBER
WWIF41
DEPARTMENT
Wastewater Impact Fees
PROJECT NAME
Norton East Ranch Outfall Diversion Debt service (WWIF38)
FY19 FY20 Unscheduled
$211,960
DESCRIPTION OF PROJECT
ALTERNATIVES CONSIDERED
ADVANTAGES OF APPROVAL
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
FUNDING SOURCES
New
Replacement
Equipment
Project
FY21
$211,960
FY22
$211,960
FY23
$211,960
42
CIP Project Fund
Impact Fees Fire
PROJECT NUMBER
FIF06
DEPARTMENT
FIRE IF
PROJECT NAME
Fire Station Construction / Expansion / Relocation
FY19 FY20 Unscheduled
$3,900,000
DESCRIPTION OF PROJECT
The Fire Master Plan is completed and schedule for final adoption on November 6, 2017. The new Master Plan includes a
comprehensive review of current station locations and the capacity to meet the current needs of the city along with
recommendations for new fire stations. City staff will be evaluating the Master Plan recommendations during the next 12 months
and formulating a plan to rehab / relocate / construction new fire stations to address the growth in the City.
ALTERNATIVES CONSIDERED
As provided by Commission
ADVANTAGES OF APPROVAL
The completion of this project would enhance our ability to respond to growing parts of the community within a time frame that has been
historically acceptable to the citizens of Bozeman. The additional station /expansion / relocationalso has the potential to have a positive impact
on our ISO rating and encourage additional growth in areas of the city.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be spent on operations and maintenance costs. The City’s General Fund will bear
the annual operating and maintenance expenses associated with this facility and staffing.
FUNDING SOURCES
Fire Impact Fees and possible voter approved bond
New
Replacement
Equipment
Project
FY21 FY22 FY23
CIP Project Fund
Impact Fees Fire
PROJECT NUMBER
FIF07
DEPARTMENT
FIRE IF
PROJECT NAME
Fire Department Response Apparatus
FY19 FY20 Unscheduled
$700,000
DESCRIPTION OF PROJECT
The Fire Master Plan is complete and scheduled for final adoption on November 6, 2017. The new Master Plan includes a review
of resource deployment, unit responses, and unit availability. The Fire Department will be evaluating these results to determine
future needs of the department from a response and deployment model. This could include potential outcomes of purchasing
additional apparatus, ranging from SUVs to Fire Engines to Ladder Trucks to handle the city’s emergency response load.
ALTERNATIVES CONSIDERED
As provided by the Commission
ADVANTAGES OF APPROVAL
Helps us maintain current response time standards.
ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED
Annual Operating & Maintenance Costs: Impact Fees can not be used for annual operating and maintenance costs. The City’s General Fund will
pay for the increased fuel, maintenance and insurance costs associated with this engine. In addition, this would add a possible FTE.
FUNDING SOURCES
Impact Fees
New
Replacement
Equipment
Project
FY21 FY22 FY23