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HomeMy WebLinkAboutFiscal Years 2015-2019 Capital Improvements Program, City of Bozeman Fiscal Years 2015- 2019 City of Bozeman, Montana Capital Improvements Program City of Bozeman, Montana Adopted Capital Improvements Program For Fiscal Years 2015-2019 Presented And Adopted During Public Meetings held Nov – Dec 2013 and January 2014 City Commission Sean Becker, Mayor Jeff Krauss, Deputy Mayor Cynthia Andrus, Commissioner Chris Mehl, Commissioner Carson Taylor, Commissioner Chris Kukulski, City Manager Anna Rosenberry, Administrative Services Director Stacy Ulmen, City Clerk Contents CITY OF BOZEMAN - Vision, Mission, and Goals 5 Adopted Work Plan – Adopted at the Commission Meeting held Feb. 7th, 2012 6 What is a Capital Improvement Program (CIP) and Why Adopt One? 8 Definition of Capital Improvement 8 The City’s Charter Requirements 8 Municipal Code Requirements 9 State Law Requirements 9 City’s CIP Process—Calendar 10 City’s CIP Process – Ranking Criteria 10 General Fund Criteria 11 Impact Fee Funds Criteria (Street, Fire, Water & Wastewater Impact Fees) 11 Our Current Facilities and their Condition 12 Level of Service (LOS) Standards 13 Policies for the Physical Development of our Community 13 Our Community’s Ability to Pay for Planned Improvements 13 CURRENT EVENTS for the FY15-FY 19 Plan 14 SUMMARY 15 BUILDING INSPECTION CIP 16 FIRE EQUIPMENT & CAPITAL FUND CIP 21 FIRE IMPACT FEE CIP 29 GENERAL FUND CIP 33 LIBRARY DEPRECIATION FUND CIP 112 City of Bozeman 3 Capital Improvement Plan FY2015-FY2019 MTAP – COMMUNITY TRANSPORTATION ENHANCEMENT PROGRAM (CTEP) 120 PARKING FUND CIP 130 SOLID WASTE COLLECTION & RECYCLING CIP 146 STORM WATER UTILITY CIP 160 STREET & CURB RECONSTRUCTIONS (COMBINED) 172 STREET IMPACT FEE CIP 176 STREET MAINTENANCE DISTRICT CIP 205 WASTEWATER FUND CIP 223 WATER FUND CIP 253 WATER IMPACT FEE CIP 272 WASTEWATER IMPACT FEE CIP 283 City of Bozeman 4 Capital Improvement Plan FY2015-FY2019 CITY OF BOZEMAN - Vision, Mission, and Goals Vision: Bozeman, Montana: The most livable place. Mission: To enhance the quality of life through excellence in public service. Goals: 1. Encourage and promote opportunities for citizenship. 2. Provide and communicate quality customer service. 3. Build a strong team of staff, elected officials and citizens. 4. Anticipate future service demands and resource deficiencies and be proactive in addressing them. 5. Develop a visually appealing and culturally rich community. 6. Commit to a strong financial position. 7. Provide excellent and equitable public services which are responsive to the community within available resources. City of Bozeman 5 Capital Improvement Plan FY2015-FY2019 Adopted Work Plan – Adopted at the Commission Meeting held February 27, 2012 1. Implement the adopted economic development plan, integrating economic development principles throughout the organization (Fontenot/McHarg/Arkell) a. Implement community development service delivery system changes b. Commitment to a business-friendly process with a focus on retention and expansion of existing local businesses c. Expand Planning Director administrative approvals d. Implement administrative deviation and alternative compliance process e. Exempt small projects based on specific criteria (i.e. COAs) f. Implement over the counter approvals g. Simplify reuse application process h. Reduce conditional use permits i. Consolidate regulatory structure of zone district standards and overlay zone guidelines (entryway corridor design standards) j. Evaluate approaches for conversion of condominium lots to townhome k. Adoption of a Mandeville Farm plan in collaboration with the Department of Natural Resources l. Support MSU's innovation campus 2. Adopt comprehensive strategies and financial plans to address deferred maintenance (Winn/Arkell/Rosenberry/Hixson) a. Street System – 15 year strategy to eliminate deferred maintenance • Support rate adjustments that finance the street replacement fund • Support rate adjustments that finance the curb replacement program • Storm Water (see storm water utility) • Sidewalks/trails b. Water distribution system – 20 year strategy to eliminate deferred maintenance • Support rate adjustments that finance the CIP pipe replacement program c. Waste water collection system – 20 year strategy to eliminate deferred maintenance • Support rate adjustments that finance the CIP pipe replacement program d. Facilities (Winn) • Complete design of the Police Station/Municipal Court • Implement facility condition assessment recommendations • Bogert Pool 3. Improve Parks and Recreation Amenities (Winn/Dingman/Kukulski/Commission) a. Complete the recreation and aquatics facility feasibility study b. Parks, trails and outdoor recreation bond 4. Complete an Integrated Water Resource Plan (Arkell/Hixson) City of Bozeman 6 Capital Improvement Plan FY2015-FY2019 a. Develop a strategy to purchase additional water rights 5. Create a storm water utility (Arkell/Hixson) 6. Enhance Downtown Development Opportunities (Fontenot/Arkell/Hixson) a. Collaborate with the Downtown Partnership, Montana Department of Transportation and Transportation Coordinating Committee to finalize design and implement the Downtown Urban Route Transformation Project. b. Facilitate development of a downtown hotel as identified in the downtown development plan. 7. Support Gallatin College Programs (Commission/Kukulski) a. Approve 2013 fiscal year budget that includes 1.5 mills for Gallatin College programs. b. Gain regional support and request a county wide levy for Gallatin College Programs (1.5 mills) 8. Implementation of the community climate action plan (Rosenberry/Meyer/NCAT Intern) a. Complete Branding and Outreach Plan (Community Working Group) b. Complete the Idle-Free Bozeman campaign (Community Working Group) c. Begin the Commercial Building Benchmarking program (Community Working Group) d. Begin the 10% Energy Reduction Challenge (Community Working Group, 2013) e. Work to bring LED Lighting to city streets, parks, and facilities f. Promote Recycling & Composting programs (partnerships with City/Schools/MSU) g. Scope Alternative Energy potential at City Facilities. (Energy Performance Contractors, WRF Co-generation, Solar Hot Water.) 9. Develop a legislative agenda for 2013 (Commission/Kukulski) Tier II 10. Research “Buy local” initiative 11. Enhance Bozeman Creek. 1. Bogert Park 2. Rouse Ave reconstruction 3. City Hall Parking 12. Adopt the International Building Maintenance Code 13. Address Senior Center parking City of Bozeman 7 Capital Improvement Plan FY2015-FY2019 What is a Capital Improvement Program (CIP) and Why Adopt One? One of the primary responsibilities of local government is to properly preserve, maintain, and improve a community’s stock of buildings, streets, parks, water and sewer lines, and equipment. Planning for these capital improvements is a matter of prudent financial management, as well as sound development practice. At times of rapid growth, as we experienced during the decade beginning 2000, the need for expanded public facilities and services was at its peak. A carefully developed CIP planned for these expansions and communicated our intent to citizens and the development community. In times of economic contraction, like the current prolonged recession, capital improvements are often put off (deferred) as a way of trimming budgets. While this can be appropriate in cases, an annual analysis and focus on necessary capital improvements helps to ensure that capital deferrals, and their impact on the community, are fully vetted. Definition of Capital Improvement: The CIP includes any planned expenditure of $10,000 or greater, that results in the acquisition of an asset with a useful life of 1 year or more. There are a couple of “exceptions” or “extensions” of this definition that we have found helpful and necessary in past years:  General Planning Documents (master plans, community surveys, etc.) are NOT included in our CIP;  Specific plans that involve pre-engineering or preliminary design of facilities are often (but not always) included in the CIP. The City’s Charter Requirements In Article 5.06 of the adopted City Charter, the City Manager is responsible for preparing and submitting a multi-year capital program to the City Commission no later than December 15 for the ensuing fiscal year. The plan must be revised and extended each year with regard to projects not yet completed. This plan is required to include: 1. A clear general summary of contents; 2. Identification of the long-term goals of the community; 3. A list of all capital improvements and other capital expenditures which are proposed to be undertaken during the fiscal years next ensuing, with appropriate supporting information as to the necessity for each; 4. Cost estimates and recommended time schedules for each improvement or other capital expenditure; 5. Method of financing upon which each capital expenditure is to be reliant; City of Bozeman 8 Capital Improvement Plan FY2015-FY2019 6. The estimated annual cost of operating and maintaining the facilities to be constructed or acquired; 7. A commentary on how the plan addresses the sustainability of the community or region of which it is a part; and 8. Methods to measure outcomes and performance of the capital plan related to the long-term goals of the community. Municipal Code Requirements Because the City has engaged in a Capital Improvement Program process for more than two decades, it has come to be relied upon as an important part of our annual budgeting process. Customarily adopted before the budget development process begins, Capital Improvement items form the basis of department budget requests. In addition, the Municipal Code allows for the “re-appropriation” of prior year budget amounts for Capital Improvement Plan items that have been budgeted but not completed. Bozeman Municipal Code §2.06.160(C) – BUDGET ADMINISTRATION AND OVERSIGHT C. Through the annual appropriation resolution each year, the city commission will authorize and re-appropriate the unexpended balance of capital improvement program items and building repair and maintenance items previously budgeted which have not been completed. State Law Requirements In addition to our local requirements for an annual CIP, State Law requires the City to maintain a Capital Improvement Plan for our Development Impact Fee programs. Under Montana Code Annotated (MCA), this Capital Improvement Plan provides the schedules and cost projections required under MCA §7-6-1602(2)(k)(i-iv): 7-6-1602. Calculation of impact fees -- documentation required -- ordinance or resolution -- requirements for impact fees. (1) For each public facility for which an impact fee is imposed, the governmental entity shall prepare and approve a service area report. (2) The service area report is a written analysis that must: … (k) have a component of the budget of the governmental entity that: (i) schedules construction of public facility capital improvements to serve projected growth; (ii) projects costs of the capital improvements; (iii) allocates collected impact fees for construction of the capital improvements; and (iv) covers at least a 5-year period and is reviewed and updated at least every 2 years City of Bozeman 9 Capital Improvement Plan FY2015-FY2019 City’s CIP Process—Calendar Each year, we begin the process of updating our Capital Improvements Plan in September. The process is completed when the Commission adopts a final budget with capital items approved, usually in the following August. September:  Departments make requests for new CIP items.  Staff reviews existing CIP projects and makes note of any changes. October/November:  City Manager and staff meet to review new and existing projects; modify any timing, cost or revenue estimates.  Impact Fee Advisory Committee receives and reviews proposed Impact Fee CIP schedules and forwards comments to City Commission. November/December:  City Manager presents Draft CIP to City Commission prior to December 15th.  City Commission holds public hearings, takes public comment and adopts CIP Plan for ensuing fiscal year. January:  Adopted CIP is integrated into City Manager’s Recommended Budget for ensuing fiscal year. June:  Commission, via adopting a final budget, appropriates dollars for CIP projects for the fiscal year. City’s CIP Process – Ranking Criteria Prior to 2008, the City had not formally adopted criteria upon which the Capital Improvement Plan projects would be ranked or rated for funding approval. It was often unclear to city staff and members of the public as to what the important elements or factors for funding were. In the fall of 2008, for preparation of the Fiscal Year 2010-2014 CIP, we developed criteria used to score the capital projects and equipment in the General Fund. Because the General Fund contains, by far, the largest quantity and diversity of projects requested, we believed that specific expressed criteria could be helpful in making decisions for the plan. The Criteria were approved by the Commission, and have been used for development of the General Fund CIP since that time. City of Bozeman 10 Capital Improvement Plan FY2015-FY2019 General Fund Criteria Criteria Rating Notes Project Score 1. Level of Service Up to 20 pts 20 - Corrects a health or safety hazard or prevents a critical breakdown of an existing city facility or equipment. 15 - Repairs, rehabilitates, or replaces physically deteriorated or functionally obsolete existing city facility or equipment. 10 - Brings an area up to the basic level of service as identified in an adopted city wide plan. 5 – Expands an approved City service. 0 – Other. 2. Operating Budget Impact Up to 10 pts 10 - Provides a significant decrease in city operating and/or maintenance expenses. 5 – Has a neutral or small impact on operating and/or maintenance expenses. 0 – Provides a significant increase in city operating requirements. 3. Service Area Up to 10 pts 10 – Direct Benefit to entire city. 5 – Direct benefit to roughly half city or indirect benefit to entire city. 2 – Direct benefit to small area of the city or indirect benefit to several areas. 4. Departmental Priority Up to 10 pts 10 – Critical to Department’s Mission 7 – High 3 – Moderate 0 – Questionable/Very Difficult to Complete 5. Commission Work Plan Up to 10 pts 10 – Identified project in Adopted Commission Work Plan 5 – Contributes to an indentified project in the Adopted Commission Work Plan. 0 – Not identified in Adopted Commission Work Plan. 6. Municipal Climate Protection (Municipal Climate Action Plan – MCAP) Up to 5 pts 5 – Is recommended by MCAP and will accomplish a stated MCAP goal. 3 – Will assist in meeting MCAP goal. 0 – No relation to MCAP. 7. Seasonal Use Up to 5 pts 5 – Year Round. 3 – Six to Eleven months per year. 1 – Five or fewer months per year. TOTAL Up to 70 pts. Impact Fee Funds Criteria (Street, Fire, Water & Wastewater Impact Fees) Criteria were developed for ranking projects in the Impact Fee Funds in order to better communicate to the public about the use of Impact Fee money and to allocate scarce City of Bozeman 11 Capital Improvement Plan FY2015-FY2019 resources to the most worthwhile project. The following Criteria were developed by the Impact Fee Advisory Committee and adopted by the Commission in the fall of 2011. Criteria Rating Notes Project Score 1. REQUIRED Yes/No Infrastructure, Capital, or Debt Payment on Infrastructure or Capital Purchase. (Cannot be used for operations or maintenances costs.) MCA 7-6-1602(e)  2. REQUIRED Yes/No Useful Life of 10 Years or more. MCA 7-6-1601(1)(a)  3. REQUIRED Yes/No Improvements or Equipment made necessary by New Development since the inception of the Impact Fee Program. (MCA 7-6-1602 (7) & 7-6-1603(3)  4. Benefits to Impact Fee Payers Up to 20 pts 20 – Project facilitates development of numerous city properties, or potential city properties, in the immediate or near future (1-2 Years.) 10 – Project facilitates development of numerous properties in 3-5 Years, or immediate development of a small area of property. 5 – Project will likely facilitates development within 5-10 Years. 0 – Project will address development that has occurred since 1995, but will not likely facilitate new development. 5. Direct Benefits Up to 10 pts 10 – Direct Benefit to all system users, or Provides a “final link” in a piece of existing system infrastructure. 5 – Direct benefit to roughly half, or indirect benefit to all system users. 2 – Direct benefit to small area of the system users or indirect benefit to several areas of system users. 6. Funding Up to 10 pts 10 – Certain. No other funding options are available and/or All other required project funding is ready-to-proceed. 5 – Uncertain. Project is dependent on a mix of other funding sources that are not ready-to-proceed. 0 – Extremely Uncertain or Unlikely. Elements of Funding are deemed very unworkable or unlikely. 7. Commission Work Plan Up to 10 pts 10 – Identified project in Adopted Commission Work Plan 5 – Contributes to an indentified project in the Adopted Commission Work Plan. 0 – Not identified in Adopted Commission Work Plan. TOTAL Up to 50 pts. Our Current Facilities and their Condition: The City has recently completed a number of long-range (20-year) facility plans: City of Bozeman 12 Capital Improvement Plan FY2015-FY2019  Water Treatment & Distribution Facilities  Wastewater Collection & Treatment Facilities  Fire Station, Equipment & Staffing  Police Station & Staffing  Parks, Recreation, Trails & Open Space  Transportation Plan These studies examine the condition and placement of existing facilities, area growth projections and pattern, regulatory changes, and possible funding mechanisms. The plans analyze various alternatives and make recommendations for implementation. Level of Service (LOS) Standards Most of the City’s long range plans establish level of service standards. These standards are critical to planning for the needs of future city residents. In some cases, such as water quality or wastewater discharge, these standards are often established or guided by outside regulating bodies. The CIP does not frequently reference specific LOS, but the underlying facility and staffing plans will contain detailed discussions of levels of service, and how the City should address increasing or decreasing levels of service through infrastructure and staffing recommendations. Policies for the Physical Development of our Community The City’s Unified Development Ordinance (UDO) is a combination of both Subdivision and Zoning regulations for development within the City. The Ordinance is subject to amendment by the Commission, after public notices and hearings are held. The UDO applies to both private and city-owned projects, and is available online at http://www.bozeman.net/planning/unified_development_ordinance.aspx. Our Community’s Ability to Pay for Planned Improvements In a community with relatively high cost of living, the ability of citizens to afford the needed utility rate, fee, and assessment levels is of concern. At the same time, the City strives to keep existing facilities properly maintained — and not pass deferred maintenance costs and problems on to future generations. The City has recently adopted on Utility Rate Studies for Water, and Wastewater services. These studies give us an indication of how and when utility rates must be increased to pay for the needed water and wastewater system improvements. In conjunction with the Utility Rate Studies, we are also undergoing a review of our existing Water, Wastewater, Street, and Fire Impact Fee levels. This review is required by state law and has not been done since the City implemented impact fees in 1995. This review will City of Bozeman 13 Capital Improvement Plan FY2015-FY2019 indicate what changes, if any, in the fee levels are necessary to fund future system capacity expansion. The Water, Wastewater and Street studies are complete, while the Fire study is still underway. For General Fund (Administration, Parks, Recreation, Library, Police, and Fire) facilities and Street construction, the City does not have the ability to easily increase tax levels for funding. Any tax levy increase must be approved by the City’s voters, and maximum debt levels are established by state law. In November 2007, the City of Bozeman voters approved a 4 mill perpetual levy to establish a Fire Equipment and Capital Replacement fund. This fund has been added to the CIP plan, and will address our need to plan for and to replace fire engines, our ladder truck, and other capital improvements to fire stations. At the same time, the voters also approved a perpetual levy for staffing and equipping additional police officers. In that levy, $74,560 in vehicle replacements per year were approved; it is intended to purchase one patrol vehicle and one detective vehicle, although as needs change, a different mix vehicle mix may be warranted. It is anticipated that levy increases for the police station will be proposed in the future, with their adoption critical to our plans to expand our facilities. The City does have a couple outside sources of funding available for street construction; State Urban Funds and Special Improvement District Assessments. State Urban Funds are available for use on Urban Routes within the City. Special Improvement District Assessments can be levied on property owners within an area whose property directly benefits from the improvements being built. CURRENT EVENTS for the FY15-FY 19 Plan: 1. Recreation & Aquatics Feasibility Study: The City is currently underway with a Recreation and Aquatics Feasibility Study. The Study will inform how we move forward with the following listed CIP Items: GF055 – Bogert Gutter & Shell, GF117 – Bogert Pool Heater, GF183 – Bogert Pool Bath House Renovation/Reconstruction, GF56 – Design & Construct a Community Recreation/Aquatics Center Because the results of the study are not complete, we have left all of the items in the same years as proposed in the past. We anticipate that the results of the study will be presented to the public and the Commission in January 2013. 2. $15 Million Park, Trails & Open Space Bond: This significant funding source for purchase of capital to expand our Parks, Trails, and Opens Spaces was approved by voters in November 2012. In the coming months, the Commission will be developing program criteria for funding Park, Trail & Open Space Bond use. We expect to issue bonds in the Spring/Summer of 2013, and have prepared an estimated CIP for this total $15 million allocation. City of Bozeman 14 Capital Improvement Plan FY2015-FY2019 SUMMARY - ALL FUNDS. Amended Capital Improvement Plan FY15 FY16 FY17 FY18 FY19 TOTAL SCHEDULED PROJECTS Unscheduled Building Inspection Fund -$ - $ - $ - $ - $ - $ 325,000$ CTEP - Community Transportation 226,690$ 98,000$ - $ - $ - $ 324,690$ -$ Curb Replacements 375,000$ 350,000$ 350,000$ - $ - $ 1,075,000$ -$ Fire Equipment & Capital Replacement 37,000$ 35,000$ 185,000$ 309,500$ 1,540,000$ 2,106,500$ 160,000$ Fire Impact Fee -$ - $ - $ - $ - $ - $ 3,369,699$ General Fund 21,040,900$ 13,251,500$ 1,275,500$ 721,000$ 1,152,000$ 37,440,900$ 8,961,800$ Library Depreciation 33,600$ 30,000$ 35,000$ - $ - $ 98,600$ -$ Parks & Trails Bond Fund 3,000,000$ 3,000,000$ 3,000,000$ 3,000,000$ - $ 12,000,000$ -$ Solid Waste Collection & Recycling 218,043$ 660,000$ 405,000$ 430,000$ 290,000$ 2,003,043$ -$ Storm Water Utility 110,000$ - $ - $ - $ - $ 110,000$ 1,139,300$ Street Impact Fee 7,029,000$ 1,550,000$ 3,100,000$ 8,350,000$ 850,000$ 20,879,000$ 27,575,000$ Street Maintenance District 385,000$ 291,000$ 385,000$ 495,000$ 225,000$ 1,781,000$ 525,000$ Street Reconstruction 525,000$ 850,000$ - $ - $ - $ 1,375,000$ 3,370,000$ Forestry 67,492$ - $ - $ - $ 26,000$ 93,492$ -$ Wastewater Fund 1,590,500$ 1,261,200$ 1,300,700$ 1,085,850$ 1,810,050$ 7,048,300$ 8,000,000$ Wastewater Impact Fee 853,212$ 14,170,276$ 1,353,116$ 1,066,558$ 1,085,000$ 18,528,162$ 3,862,000$ Water Fund 2,275,220$ 1,041,935$ 1,224,645$ 1,424,950$ 861,000$ 6,827,750$ 50,000,000$ Water Impact Fee 1,108,242$ 1,083,242$ 6,002,115$ 920,158$ - $ 9,113,757$ 25,880,000$ Total 38,874,899$ 37,672,153$ 18,616,076$ 17,803,016$ 7,839,050$ 120,805,194$ 133,167,799$ Scheduled Projects $38,874,899 $37,672,153 $18,616,076 $17,803,016 $7,839,050 $120,805,194 $133,167,799 $0 $20,000,000 $40,000,000 $60,000,000 $80,000,000 $100,000,000 $120,000,000 $140,000,000 FY15 FY16 FY17 FY18 FY19 TOTAL SCHEDULED PROJECTS Unscheduled Summary - All Projects & Equipment City of Bozeman 15 Capital Improvement Plan FY2015-FY2019 Bu i l d i n g  In s p e c t i o n  Fu n d Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 F Y 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 16 0 , 0 0 0 $                 60 , 0 0 0 $                           60 , 0 0 0 $                   60 , 0 0 0 $              60 , 0 0 0 $               60,000 $           Pl u s :    Bu i l d i n g  In s p e c t i o n  Re v e n u e s  De d i c a t e d  to  CI P ‐ $                                         ‐ $                                 ‐ $                         ‐ $                           ‐ $                           ‐$                  Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (1 0 0 , 0 0 0 ) $             ‐ $                                         ‐ $                                 ‐ $                         ‐ $                           ‐ $                           (325,000)$     Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 60 , 0 0 0 $                     60 , 0 0 0 $                           60 , 0 0 0 $                   60 , 0 0 0 $              60 , 0 0 0 $               60,000 $        As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Bu i l d i n g  In s p e c t i o n  Re v e n u e s 1, 1 6 0 , 7 0 0 $               1, 1 6 0 , 7 0 0 $                       1, 1 6 0 , 7 0 0 $             1, 1 6 0 , 7 0 0 $       1, 1 6 0 , 7 0 0 $         1, 1 6 0 , 7 0 0 $          Es t i m a t e d  Gr o w t h  in  Re v e n u e s ‐                                            0% 0% 0% 0% 0% To t a l  Es t i m a t e d  Re v e n u e s 1, 1 6 0 , 7 0 0 $               1, 1 6 0 , 7 0 0 $                       1, 1 6 0 , 7 0 0 $             1, 1 6 0 , 7 0 0 $       1, 1 6 0 , 7 0 0 $         1, 1 6 0 , 7 0 0 $       Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0 . 0 % 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Ca p i t a l  Im p r o v e m e n t s  % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0 . 0 % 0 . 0 %    To t a l  % De d i c a t e d  to  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P ‐ $                                       ‐ $                                               ‐ $                                     ‐ $                             ‐ $                               ‐ $                               Pr o j e c t e d Pr o j e c t e d 35 0 , 0 0 0 30 0 , 0 0 0 25 0 , 0 0 0 20 0 , 0 0 0 15 0 , 0 0 0 10 0 , 0 0 0 50 , 0 0 0 0 Bu i l d i n g  In s p e c t i o n  Pr o j e c t s  & Eq u i p m e n t Ci t y of Bo z e m a n 16 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Bu i l d i n g   In s p e c t i o n BI 0 1 BU I L D .  IN S P . ST A F F  VE H I C L E  ‐   RE P L A C E M E N T S $292,500 BI 0 3 BU I L D .  IN S P . ST A F F  VE H I C L E  ‐   AD D I T I O N $32,500 Su m m a r y  f or    Bu i l d i n g  In s p ec t i o n  (2  it e m s ) To t a l s  by  ye a r : $325,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 FY 1 8 Ci t y of Bo z e m a n 17 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 Bu i l d i n g I n s p e c t i o n V e h i c l e s - D e t a i l s Pr o j e c t  No . As s e t  # Ma k e Mo d e l  Yr Cu r r e n t  Mi l e a g e FY 1 5 FY 1 6 Unscheduled Notes FY 1 7 FY 1 8 FY 1 9 BI 0 1 31 4 4 Je e p  Li b e r t y 20 0 3 54 , 3 8 7 $32,500 Beyond  FY18 32 1 8 Gr a n d  Ch e r o k e e 20 0 4 49 , 3 9 2 $32,500 Beyond  FY18 33 5 3 Je e p  Li b e r t y 20 0 6 32 , 1 7 3 $32,500 Beyond  FY18 33 2 8 Do d g e  Du r a n g o 20 0 6 58 , 6 8 2 $32,500 Beyond  FY18 33 5 4 Je e p  Li b e r t y 20 0 6 44 , 3 6 0 $32,500 Beyond  FY18 34 0 5 Do d g e  Du r a n g o 20 0 8 44 , 8 6 2 $32,500 Beyond  FY18 34 0 4 Do d g e  Du r a n g o 20 0 8 17 , 5 8 7 $32,500 Beyond  FY18 33 2 9 Do d g e  Du r a n g o 20 0 8 47 , 6 1 5 $32,500 Beyond  FY18 36 7 4 Je e p  Pa t r i o t 20 1 4 2, 2 1 7 $32,500 New  in  2013.$292,500 To t a l  By  Ye a r  fo r  Ve h i c l e  Re p l a c e m e n t s Ci t y of Bo z e m a n 18 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Building Inspection PROJECT NUMBER BI01 DEPARTMENT BUILD. INSP. PROJECT NAME STAFF VEHICLE - REPLACEMENTS FY15 FY16 Unscheduled $292,500 DESCRIPTION OF PROJECT This item is for the scheduled replacement of Building Inspection vehicles based on age and use of the vehicle. Vehicles will be replaced according to the City's Vehicle Replacement policy; generally, 150,000 miles/20 years before replacement of non- emergency vehicles. This program will address the long term vehicle needs of the Building Division by allowing careful replacement of vehicles as vehicle conditions and department needs warrant. Right now, all vehicles are in use by Department staff, averaging approx 5,000 miles per year. Vehicle Mileage updated October 2013. ALTERNATIVES CONSIDERED Utilize vehicles beyond the recommendations of the vehicle use policy; consider replacements of different model of vehicle. ADVANTAGES OF APPROVAL Based on the age and use of the vehicle a new vehicle will be purchased as replacement. In the past, vehicles were replaced after 5 years. We are stretching the useful life within the division to match the newly-revised vehicle purchase/replacement policy. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Generally, annual operating and maintenance costs are expected to decrease when older vehicles are replaced with newer ones. More fuel efficiency and lower repair costs are financial benefits. FUNDING SOURCES 100% Building Inspection Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 19 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Building Inspection PROJECT NUMBER BI03 DEPARTMENT BUILD. INSP. PROJECT NAME STAFF VEHICLE - ADDITION FY15 FY16 Unscheduled $32,500 DESCRIPTION OF PROJECT The existing vehicle fleet is assigned to current staff (see BI01 - Replacements). When a new Building Inspector is hired, a new vehicle will need to be purchased. We are hoping to make improvements to existing Inspector efficiency with in-the-field mobile applications and equipment; however, the point will come when an additional inspector is needed on a full or part-time basis. Regardless of whether their work schedule, a vehicle is a criticial piece of equipment for an inspector that needs. ALTERNATIVES CONSIDERED Have inspectors/staff share vehicles (not likely to be efficient use of inspector time.) ADVANTAGES OF APPROVAL Staff will be adequately equipped to perform building inspections around town. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Because this is an addition to the fleet, additional gas and maintenance costs will be paid by the Building Inspeciton Fund. Currently, vehicles average 5,000 - 8,000 miles per year. Routine maintenance will be performed as necessary. FUNDING SOURCES 100% Building Inspection Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 20 Capital Improvement Plan FY2015-FY2019 Fi r e  Eq u i p m e n t  & Ca p i t a l  Re p l a c e m e n t Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 8, 5 0 0 $                         (1 2 , 4 7 8 ) $                         29 6 , 8 7 7 $                 61 5 , 1 6 0 $             79 0 , 5 0 8 $         848,563 $             Pl u s :    De d i c a t e d  Ta x  Re v e n u e s  4  Mi l l s 33 9 , 5 6 4 $                 34 6 , 3 5 5 $                       35 3 , 2 8 2 $                 36 0 , 3 4 8 $             36 7 , 5 5 5 $         374,906 $        ‐$                       Pl u s :    An t i c i p a t e d  Gr a n t  Re v e n u e 800,000 $            Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (3 6 0 , 5 4 2 ) $             (3 7 , 0 0 0 ) $                         (3 5 , 0 0 0 ) $                   (1 8 5 , 0 0 0 ) $           (3 0 9 , 5 0 0 ) $       (1,540,000)$   (160,000)$          Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P (1 2 , 4 7 8 ) $                   29 6 , 8 7 7 $                       61 5 , 1 6 0 $                 79 0 , 5 0 8 $             84 8 , 5 6 3 $         483,469 $          As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Ta x  Re v e n u e s 33 9 , 5 6 4 $                     33 9 , 5 6 4 $                             34 6 , 3 5 5 $                   35 3 , 2 8 2 $                 36 0 , 3 4 8 $               367,555 $              Es t i m a t e d  An n u a l  In c r e a s e ‐                                            2% 2% 2% 2%2% To t a l  Es t i m a t e d  Re v e n u e s 33 9 , 5 6 4 $                     34 6 , 3 5 5 $                             35 3 , 2 8 2 $                   36 0 , 3 4 8 $                 36 7 , 5 5 5 $               374,906 $           Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0%    To t a l  % De d i c a t e d  to  CI P 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % Tt l Et i t d R Dd i t d t C I P 33 9 5 6 4 $ 34 6 3 5 5 $ 35 3 2 8 2 $ 36 0 3 4 8 $ 36 7 5 5 5 $ 374 906 $ Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 33 9 , 5 6 4 $                   34 6 , 3 5 5 $                           35 3 , 2 8 2 $                   36 0 , 3 4 8 $               36 7 , 5 5 5 $             374,906 $               1, 8 0 0 , 0 0 0 1, 6 0 0 , 0 0 0 1, 4 0 0 , 0 0 0 1, 2 0 0 , 0 0 0 1, 0 0 0 , 0 0 0 80 0 , 0 0 0 60 0 , 0 0 0 40 0 , 0 0 0 20 0 , 0 0 0 0 Fi r e  Eq u i p m e n t  & Ca p i t a l  Re p l a c e m e n t s Ci t y of Bo z e m a n 21 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU N D PR O J . DE P A R T M E N PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY18 FY19 Fi r e  Eq u i p  & Ca p i t a l   Re p l a c e m e n t FE 0 5 FI R E DE F I B R I L L A T O R  RE P L A C E M E N T  PR O G R A M $3 7 , 0 0 0 FE 0 6 FI R E PO R T A B L E  RA D I O  RE P L A C E M E N T   PR O G R A M $1 5 0 , 0 0 0 FE 0 7 FI R E FI R E  ST A F F  VE H I C L E  RE P L A C E M E N T S $3 5 , 0 0 0 $160,000 $3 5 , 0 0 0 FE 0 8 FI R E FI R E  ST A T I O N  #1  RE M O D E L $1,540,000 FE 1 0 FI R E SE L F ‐CO N T A I N E D  BR E A T H I N G  AP P A R A T U S   (S C B A )  RE P L A C E M E N T S $3 0 9 , 5 0 0 Su m m a r y  f or    Fi r e  E q ui p  & Ca p it a l  Re p la c e m e n t  (5  it e m s ) To t a l s  by  ye a r : $3 7 , 0 0 0 $ 3 5 , 0 0 0 $ 1 8 5 , 0 0 0 $160,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $1,540,000 $3 0 9 , 5 0 0 FY 1 8 Ci t y of Bo z e m a n 22 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Fire Equip & Capital Replacement PROJECT NUMBER FE05 DEPARTMENT FIRE PROJECT NAME Defibrillator Replacement Program FY15 $37,000 FY16 Unscheduled DESCRIPTION OF PROJECT <div>This project is to replace the defibrillator on the Engine in Station #2. &nbsp;Currently we are using a Lifepak 12 which has come to the end of its serviceable lifespan. These devices are used to read heart rhythms, shock shockable rhythms, monitor heart rates and carbon monoxide levels and transmit all related data to the emergency room thus improving patient outcomes. This device is part of providing a Advanced Life Support level of service to our customers. &nbsp;This project would replace one defibrillator next fiscal year. We have attempted to obtain this piece of equipment over the past couple of rounds of FIRE Act grants and have been unsuccessful.</div> ALTERNATIVES CONSIDERED Continuing to use our outdated equipment. Procuring grants to fund this equipment. ADVANTAGES OF APPROVAL Replacing this piece of equipment will ensure reliability for the foreseeable future. They will also help standardize our equipment as we have Lifepak 15”s on our other apparatus. This is a critical lifesaving piece of equipment that will allow our paramedics to provide a more thorough and detailed level of service to our customers. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED As this piece of equipment is a replacement piece, additional costs should be minimal. FUNDING SOURCES 100% Fire Equipment and Capital Replacement Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 23 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Fire Equip & Capital Replacement PROJECT NUMBER FE06 DEPARTMENT FIRE PROJECT NAME Portable Radio Replacement Program FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This plan allows for aging fire portable radios to be replaced, including all of the software, programming and peripheral accessories. This is planned replacement of radios at the end of their predicted usable life, estimated between six and ten years. This will provide for seamless communication and response capabilities as the radios become less reliable and repair is no longer a financially prudent option. Portable (or handheld) radios are an essential item in the operation of the Bozeman Fire Department. Fire radios must be available for fire use 24 hours a day, 365 days a year. These radios are assigned to the three stations, captains and management staff and are used daily. These radios will be replaced only when they are unserviceable which could result in pushing the anticipated purchase date out a year or two. ALTERNATIVES CONSIDERED Replace radios as they fail. This ultimately results in a broad mix of different manufacture / make/ model radios in service and can ultimately result in higer long term maintenance costs. ADVANTAGES OF APPROVAL This ensures safe and reliable emergency communications and response. Program allows for planned and predictable need for equipment replacement. Clear and dependable communication allows for quick and efficient emergency deployment and the required level of firefighter safety. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED As these are replacement radios we anticipate very little increases operating costs. FUNDING SOURCES 100% Fire Equipment & Capital Replacement Fund New Replacement Equipment Project FY17 $150,000 FY18 FY19 City of Bozeman 24 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Fire Equip & Capital Replacement PROJECT NUMBER FE07 DEPARTMENT FIRE PROJECT NAME FIRE STAFF VEHICLE REPLACEMENTS FY15 FY16 $35,000 Unscheduled $160,000 DESCRIPTION OF PROJECT The Fire Department utilizes numerous vehicles for Department needs. As we continue to implement the Battalion Chief positions we are evaluating the needs of the command vehicles on this list. Several of the utility type vehicles and some of the command vehicles will be used for their serviceable life span and then ultimately not replaced. See attached Table on the following page. ALTERNATIVES CONSIDERED Could continue to utilize existing vehicles longer. However, many of these vehicles are emergency response vehicles for the Fire Department. ADVANTAGES OF APPROVAL The Department will have adequate, properly sized vehicles for emergency response and other operational functions. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Newer vehicles are expected to be more fuel efficient. FUNDING SOURCES 100% Fire Equipment & Capital Replacement Fund. New Replacement Equipment Project FY17 $35,000 FY18 FY19 City of Bozeman 25 Capital Improvement Plan FY2015-FY2019 Fi r e D e p ar t m e n t L i g ht V e h i c l e R e p la c e m e n t s As s e t  # Cu r r e n t   Ma k e / F e a t u r e s Mo d e l  Yr Cu r r e n t   Mi l e a g e Re p l a c e m e n t FY 1 5 FY 1 6 FY 1 7 FY18 Unscheduled FY19 Cu r r e n t l y  As s i g n e d   to Un i t  # 27 6 0 Ch e v y  Ta h o e 20 0 0 11 0 , 5 0 0 R e p l a c e  wi t h  a  4x 4 ,  SU V  st y l e ,  mi d ‐ si z e d ,  co d e ‐ca p a b l e  (l i g h t s  & si r e n s )   ve h i c l e . $3 5 , 0 0 0 Tr a i n i n g  Of f i c e r F5 32 4 7 Ch e v y  Ta h o e 20 0 4 10 2 , 4 3 1 4 x 4 ,  SU V  st y l e ,  mi d ‐si z e d  ve h i c l e ,   wi t h  em e r g e n c y  li g h t i n g ,  ra d i o s ,  MD T . $40,000 Em e r g e n c y   Ma n a g e m e n t  St a f f   Ca p t a i n F4 32 7 5 Fo r d  F1 5 0 20 0 5 40 , 7 3 5 P i c k u p  wi t h  fu l l ‐si z e d  bo x ,  4x 4 ,  to w   ca p a c i t y . $40,000 Pl o w i n g / F i r e   In v e s t i g a t i o n s / P r e v e nt i o n  Tr u c k U4 33 6 3 Do d g e  Du r a n g o 20 0 7 26 , 6 0 7 4 x 4 ,  SU V  st y l e ,  mi d ‐si z e d  ve h i c l e . $40,000 Fi r e  Ma r s h a l l U2 31 5 8 Ch e v y  Si l v e r a d o  ‐   Cr e w  Ca b 20 0 3 22 , 0 5 4 P i c k u p  wi t h  fu l l  si z e d  bo x ,  4x 4 ,  to w   ca p a c i t y . $40,000 Ut i l i t y  Tr u c k  ‐   Ai r   Su p p l y / U t i l i t y / P r e v e nt i o n U3 Mi d ‐si z e d ,  SU V   st y l e ,  4x 4 . 20 1 6 $3 5 , 0 0 0 Fi r e  In s p e c t o r   Ve h i c l e $160,000 $3 5 , 0 0 0 $3 5 , 0 0 0 To t a l s Ci t y of Bo z e m a n 26 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Fire Equip & Capital Replacement PROJECT NUMBER FE08 DEPARTMENT FIRE PROJECT NAME FIRE STATION #1 REMODEL FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The purpose of this project is to expand the second floor of Fire Station One out to the existing building foot print and remodel the interior spaces increasing facility size and functionality, decreasing maintenance costs and increasing energy efficiency. Also included in this project is a significant seismic upgrade to the entire structure, including the office area on the first floof. The second floor of this station has been remodeled many times. Windows do not completely close, electrical and plumbing maintenance is becoming more frequent and kitchen cabinetry is beginning to fail. Office space is limited and safety hazards have been identified in the recent facility surveys. The living quarters upstairs are not conducive to female firefighters. Separate and equal restroom, bath and sleeping facilities are needed should we hire a female firefighter. The station remodel will include sleeping quarters, bathrooms, and living spaces for up to ten firefighters of either sex. All standard areas commonly found in modern stations will be included in this facility such as kitchen space, office space and physical training area. As our 2007 station location and staffing study showed, the location of this station is ideal for the area it serves. We intend to remain here for the foreseeable future. We are proposing this remodel to improve the current living conditions, increase space for existing Firefighters and our new Battalion Chiefs and prepare for future increases in staffing as our community continues to grow. ALTERNATIVES CONSIDERED Continue with utilizing the existing station as is. Maintain facility as reasonably as possible. ADVANTAGES OF APPROVAL This project would significantly improve the living conditions and operational functionality of Fire Station One. This project remedies the safety hazards identified in recent facility surveys. This project will decrease ongoing maintenance costs compared to the existing facility. New construction will be “green” and more energy efficient. Creates sleeping quarters and office space for Battalion Chiefs. Separate and equal restroom, bath and sleeping facilities for when we hire a female firefighter in the future. In House Physical fitness area - firefighters currently have to leave the station for physical fitness activities. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Operating cost should maintain similar to what is currently budgeted. Although the facility will be getting larger, a more energy efficient newer facility will balance with the increase in size. FUNDING SOURCES Total Costs, including Boiler, is $1.8 Million. Would be constructed concurrently with GF170 - Boiler Replacement at Fire Station #1.(estimated $260,500.) Depending on features of the project,the Fire Equipment & Capital Replacement, potentially Impact Fees, and Federal Pre-Disaster Mitigation/Hazard Mitigation Grant program funds could all be used to pay for this project. Estimated $800,000 in grant funds will be sought. **Costs estimates are dated August 2013. New Replacement Equipment Project FY17 FY18 FY19 $1,540,000 City of Bozeman 27 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Fire Equip & Capital Replacement PROJECT NUMBER FE10 DEPARTMENT FIRE PROJECT NAME Self-Contained Breathing Apparatus (SCBA) Replacements FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This project will fund the replacement of the department’s SCBA units. The useable service life of our existing SCBA’s is 8 -10 years. The units being replaced were purchased in FY 10. Repair and maintenance is a consideration when deciding when to replace existing equipment. We currently expend approximately $5000 per year on preventative maintenance and minor repairs. As the equipment gets older we will no longer be able to repair minor failures, we will have to completely replace parts. Replacement parts for our existing SCBA are extremely expensive and take a significant amount of time to be delivered. This project will completely replace all SCBA harnesses, spare tanks and backup regulators on our engines. Also individual fire fighter personal masks, and Rapid Intervention Crew kits will get replaced in this project as well. ALTERNATIVES CONSIDERED Continue to use current SCBA units until they fail or spare parts become unavailable. Used units are not a viable alternative as departments typically upgrade when old units become obsolete or fail to meet annual testing requirements. ADVANTAGES OF APPROVAL Firefighters use SCBA’s to enter hazardous atmospheres in all aspects of their jobs; firefighting, confined space entry, and hazmat response. The health and safety of our personnel, as well as the ability of our fire department to perform its function, is greatly dependent on these units. The new SCBA units are safer than current units as they are certified for chemical, biological, and radiological emergencies. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The department spends about $5,000 annually on SCBA maintenance. Yearly checks and certification is required regardless of SCBA age although maintenance costs would decline with new units as replacement parts would not be needed. FUNDING SOURCES 100% Fire Equipment & Capital Replacement Fund New Replacement Equipment Project FY17 FY18 $309,500 FY19 City of Bozeman 28 Capital Improvement Plan FY2015-FY2019 Fi r e  Im p a c t  Fe e   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 16 8 , 0 2 5 $               35 8 , 0 2 5 $                       61 7 , 3 2 9 $               88 1 , 8 2 0 $             1, 1 5 1 , 6 0 0 $     1,426,776 $    ‐$                      Pl u s :    Im p a c t  Fe e  Re v e n u e s  De d i c a t e d  to  CI P 19 0 , 0 0 0 $               25 9 , 3 0 4 $                       26 4 , 4 9 0 $               26 9 , 7 8 0 $             275,176 $           280,679 $       ‐$                      Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s ‐ $                                 ‐ $                                       ‐ $                               ‐ $                               ‐ $                             ‐$                (3,369,699)$      Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 35 8 , 0 2 5 $               61 7 , 3 2 9 $                       88 1 , 8 2 0 $               1, 1 5 1 , 6 0 0 $       1, 4 2 6 , 7 7 6 $     1,707,456 $     As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Fi r e  Im p a c t  Fe e  Re v e n u e s 19 0 , 0 0 0 $                     25 4 , 2 2 0 $                             25 9 , 3 0 4 $                   26 4 , 4 9 0 $                   269,780 $                 275,176 $              Es t i m a t e d  An n u a l  In c r e a s e 0. 0 % 2% 2% 2% 2%2% To t a l  Es t i m a t e d  Re v e n u e s 19 0 , 0 0 0 $                     25 9 , 3 0 4 $                             26 4 , 4 9 0 $                   26 9 , 7 8 0 $                   275,176 $                 280,679 $           Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Fi r e  Ca p a c i t y  Ex p a n s i o n  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0%    To t a l  % De d i c a t e d  to  CI P 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 19 0 , 0 0 0 $                     25 9 , 3 0 4 $                             26 4 , 4 9 0 $                   26 9 , 7 8 0 $                   275,176 $                 280,679 $           4, 0 0 0 , 0 0 0 3, 5 0 0 , 0 0 0 3, 0 0 0 , 0 0 0 2, 5 0 0 , 0 0 0 2, 0 0 0 , 0 0 0 1, 5 0 0 , 0 0 0 1, 0 0 0 , 0 0 0 50 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Fi r e  Im p a c t  Fe e  Pr o j e c t s   Ci t y of Bo z e m a n 29 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Im p a c t  Fe e s   Fi r e FI F 0 6 FI R E  IF FI R E  ST A T I O N  #4 $3,900,000 FI F 0 7 FI R E  IF FI R E  EN G I N E ,  ST A T I O N  #4 $600,000 Su m m a r y  f or    Im p ac t  Fe e s  Fi r e  (2  it e m s ) To t a l s  by  ye a r : $4,500,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 FY 1 8 Ci t y of Bo z e m a n 30 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Impact Fees Fire PROJECT NUMBER FIF06 DEPARTMENT FIRE IF PROJECT NAME FIRE STATION #4 FY15 FY16 Unscheduled $3,900,000 DESCRIPTION OF PROJECT This project is identified as a priority in the adopted Fire Facility Plan because most of the City's north and west areas are located such that our response time exceeds four to six minutes for fire and medical emergencies. Land acquisition costs are not included. The City currently owns the site on the southwest corner of 19th Avenue and Graf Street, which is ideally situated for this station. This station will be needed as our community grows in its South West quadrant. We will need to watch annexations and subdivisions within the area and schedule this project accordingly. ALTERNATIVES CONSIDERED Many are available: Scale down the project size and/or materials used in construction to accommodate a residential type facility similar to Station #2; require automatic sprinkler systems as built-in protection for all new construction located outside of existing stations' response time service districts; continue operating under current resources; relocated existing stations; accept longer-than-historical response times and high life and fire losses; acquire fire district's fixed facilities as annexation by the City continues. 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. Station #1 and #2 are located in areas which ineffectively serve the area station 4 would be placed in. Current response times to the areas South of Kagy are approaching being out of our desired response time of 6 minutes or less 90% of the time. 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, estimated at $1,200,000, including all crew personnel. FUNDING SOURCES 75% Fire Impact Fees ($2,925,000), 25% other source ($975,000.) New Replacement Equipment Project Impact Fee Funds Project and Equipment Scoring TOTAL SCORE:30 FY17 REQUIRED - CAPITAL or DEBT SERVICE REQUIRED - USEFUL LIFE 10+ YEARS REQUIRED - CAPACITY EXPANDING BENEFITS TO NEW DEVELOPMENT: (Up to 20 pts)20 DIRECT BENEFITS: (Up to 10 pts)5 FUNDING CERTAINTY: (Up to 10 pts)5 COMMISSION WORK PLAN PRIORITY: (Up to 10 pts)0 FY18 FY19 City of Bozeman 31 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Fire PROJECT NUMBER FIF07 DEPARTMENT FIRE IF PROJECT NAME FIRE ENGINE, STATION #4 FY15 FY16 Unscheduled $600,000 DESCRIPTION OF PROJECT This project is the purchase of an engine and accompanying equipment for use out of new Fire Station 4. It will be necessary to have this engine at the Station when it opens. There is an estimated 12 month lead time in delivery of this type of equipment. This engine will be needed for Station #4, which will be required as our community grows in its South West Quadrant. We will need to watch annexations and subdivisions within the area and schedule this project accordingly. ALTERNATIVES CONSIDERED Use of 1989 Pierce Reserve Pumper Darley; buy a used engine; lease/purchase an engine. ADVANTAGES OF APPROVAL Purchase of this unit will adequately equip Station #4 for fire and other emergency responses. 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, estimated at less than $30,000 per year. FUNDING SOURCES 75% Fire Impact Fees ($450,000), 25% other source ($150,000). New Replacement Equipment Project Impact Fee Funds Project and Equipment Scoring TOTAL SCORE:30 FY17 REQUIRED - CAPITAL or DEBT SERVICE REQUIRED - USEFUL LIFE 10+ YEARS REQUIRED - CAPACITY EXPANDING BENEFITS TO NEW DEVELOPMENT: (Up to 20 pts)20 DIRECT BENEFITS: (Up to 10 pts)5 FUNDING CERTAINTY: (Up to 10 pts)5 COMMISSION WORK PLAN PRIORITY: (Up to 10 pts)0 FY18 FY19 City of Bozeman 32 Capital Improvement Plan FY2015-FY2019 Ge n e r a l  Fu n d     Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Unscheduled Pr o j e c t e d  Be g i n n i n g  Ba l a n c e  De d i c a t e d  to  CI P 1, 0 2 2 , 5 4 4 $                 ‐ $                                                 54 9 , 3 9 5 $                       1, 2 1 5 , 1 7 3 $                 1, 8 7 6 , 1 2 4 $                 3,110,939 $             Pl u s :    Ge n e r a l  Fu n d  Re v e n u e s  De d i c a t e d  to  CI P 1, 8 9 6 , 9 1 3 $                 1, 8 9 8 , 2 9 5 $                         1, 9 1 7 , 2 7 8 $               1, 9 3 6 , 4 5 1 $                 1, 9 5 5 , 8 1 5 $                 1,975,373 $          ‐$                  Pl u s :    Bo n d  Is s u e :    Po l i c e  & Mu n i c i p a l  Co u r t  Fa c i l i t y  Bo n d 17 , 9 9 2 , 0 0 0 $                     Pl u s :    Bo n d  Is s u e :    In d o o r / O u t d o o r  Aq u a t i c s  Fa c i l i t y 12 , 0 0 0 , 0 0 0 $           Pl u s :    Lo a n  fo r  La n d f i l l  Ga s  Re m e d i a t i o n  Sy s t e m 1, 7 0 0 , 0 0 0 $                         Le s s :    Ca r r y ‐ov e r  Ca p i t a l  Pr o j e c t s  fr o m  FY 1 3 (1 , 0 2 2 , 5 4 4 ) $               Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (1 , 8 9 6 , 9 1 3 ) $               (2 1 , 0 4 0 , 9 0 0 ) $                 (1 3 , 2 5 1 , 5 0 0 ) $         (1 , 2 7 5 , 5 0 0 ) $               (7 2 1 , 0 0 0 ) $                     (1,152,000)$        (8,961,800)$           Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P ‐ $                                         54 9 , 3 9 5 $                               1, 2 1 5 , 1 7 3 $               1, 8 7 6 , 1 2 4 $                 3, 1 1 0 , 9 3 9 $                 3,934,312 $              As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Es t i m a t e d  An n u a l  Ge n e r a l  Fu n d  Re v e n u e s   26 , 8 5 0 , 0 0 0 $                   27 , 1 1 8 , 5 0 0 $         27 , 3 8 9 , 6 8 5 $           27 , 6 6 3 , 5 8 2 $           27,940,218 $           Es t i m a t e d  Gr o w t h  in  Ge n e r a l  Fu n d  Re v e n u e s 1% 1% 1% 1%1% To t a l  Es t i m a t e d  Ge n e r a l  Fu n d  Re v e n u e s 27 , 1 1 8 , 5 0 0 $                   27 , 3 8 9 , 6 8 5 $         27 , 6 6 3 , 5 8 2 $           27 , 9 4 0 , 2 1 8 $           28,219,620 $        Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 6. 0 % 7. 0 % 7. 0 % 7.0%7.0%    Pl u s :    In c r e a s e  De d i c a t e d  to  Ca p i t a l  Im p r o v e m e n t s  % 1. 0 % 0. 0 % 0. 0 % 0.0%0.0%    To t a l  % De d i c a t e d  to  CI P 7. 0 % 7. 0 % 7. 0 % 7.0%7.0% Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 1, 8 9 8 , 2 9 5 $                       1, 9 1 7 , 2 7 8 $             1, 9 3 6 , 4 5 1 $               1, 9 5 5 , 8 1 5 $               1,975,373 $          25 , 0 0 0 , 0 0 0 20 , 0 0 0 , 0 0 0 15 , 0 0 0 , 0 0 0 10 , 0 0 0 , 0 0 0 5, 0 0 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Ge n e r a l  Fu n d    Pr o j e c t s  & Eq u i p m e n t Ci t y of Bo z e m a n 33 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Ge n e r a l  Fu n d GF 0 1 0 CE M E T E R Y CE M E T E R Y  MO W E R  RE P L A C E M E N T S $1 6 , 0 0 0 $1 6 , 0 0 0 $1 6 , 0 0 0 $1 7 , 0 0 0 $18,000 GF 0 8 3 CE M E T E R Y BA C K H O E $110,000 GF 1 1 6 CE M E T E R Y CE M E T E R Y  VE H I C L E  RE P L A C E M E N T S $4 2 , 5 0 0 $1 6 , 0 0 0 $5 8 , 5 0 0 $1 6 , 0 0 0 $1 7 , 0 0 0 $18,000 $110,000 Ge n e r a l  Fu n d GF 0 6 4 CO M M .  DE V . VE H I C L E  RE P L A C E M E N T $2 5 , 0 0 0 $2 5 , 0 0 0 Ge n e r a l  Fu n d GF 2 1 8 EN G I N E E R I N G LA N D F I L L  GA S  RE M E D I A T I O N  SY S T E M $1 , 7 0 0 , 0 0 0 $1 , 7 0 0 , 0 0 0 Ge n e r a l  Fu n d GF 0 0 1 FA C I L I T Y   MG M T . PR O F E S S I O N A L  BU I L D I N G  EL E V A T O R   RE P L A C E M E N T $66,600 GF 1 0 3 FA C I L I T Y   MG M T . AM E R I C A N ' S  WI T H  DI S A B I L T I E S  AC T  (A D A )   CO M P L I A N C E  IM P R O V E M E N T S $2 0 , 0 0 0 $2 0 , 0 0 0 $2 0 , 0 0 0 $2 0 , 0 0 0 $20,000 GF 1 0 4 FA C I L I T Y  MG M EN E R G Y  UP G R A D E S $3 0 , 0 0 0 $3 0 , 0 0 0 $3 0 , 0 0 0 $3 0 , 0 0 0 $30,000 GF 1 3 0 FA C I L I T Y  MG M CI T Y  HA L L  SI T E  IM P R O V E M E N T S  ‐   PH A S E  2 $4 2 , 0 0 0 GF 1 3 9 FA C I L I T Y  MG M CI T Y  HA L L  PH A S E  3  SI T E  IM P R O V E M E N T S $4 7 , 2 5 0 GF 1 5 7 FA C I L I T Y  MG M SE N I O R  CE N T E R  EL E V A T O R $6 8 , 0 0 0 GF 1 7 0 FA C I L I T Y   MG M T . BO I L E R  RE P L A C E M E N T  AT  FI R E  ST A T I O N   #1 $260,500 GF 1 7 1 FA C I L I T Y   MG M T . CI T Y  HA L L  SI T E  DR A I N A G E  ON  WE S T  SI D E   OF  BU I L D I N G $1 1 , 5 0 0 GF 1 8 6 FA C I L I T Y   MG M T . RE P L A C E  EN T R A N C E  LO C K S  AT  TH E   PR O F E S S I O N A L  BU I L D I N G  WI T H  FO B   UN I T S . $1 2 , 0 0 0 GF 1 8 7 FA C I L I T Y   MG M T . RE P L A C E  WO R N  SI D I N G  ON  TH E   BO Z E M A N  SE N I O R  SO C I A L  CE N T E R $2 6 , 2 5 0 GF 1 8 8 FA C I L I T Y   MG M T . RE P L A C E  BO I L E R  AT  BO Z E M A N  SE N I O R   CE N T E R $1 8 , 5 0 0 Ci t y of Bo z e m a n 34 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 GF 1 8 9 FA C I L I T Y   MG M T . RE F I N I S H  TH E  RO O F  ON  TH E  GR E E N   ST O R A G E  BU I L D I N G  AT  TH E  SH O P   CO M P L E X $3 9 , 9 0 0 GF 1 9 8 FA C I L I T Y   MG M T . SE N I O R  SO C I A L  CE N T E R  FI R E  SP R I N K L E R   UP G R A D E S $1 7 , 0 0 0 GF 1 9 9 FA C I L I T Y   MG M T . CA R P E T  RE P L A C E M E N T  MA I N  FL O O R   PR O F E S S I O N A L  BU I L D I N G $1 4 , 0 0 0 GF 2 0 0 FA C I L I T Y   MG M T . BO Z E M A N  SE N I O R  CE N T E R  RE S T R O O M   VE N T A L A T I O N $1 4 , 0 0 0 GF 2 0 1 FA C I L I T Y  MG M FI R E  ST A T I O N  #2  SI D I N G  RE P L A C E M E N T $2 4 , 0 0 0 GF 2 0 2 FA C I L I T Y   MG M T . IN S T A L L  IR R I G A T I O N  SY S T E M  AN D   CO M P L E T E  SI T E  LA N D S C A P I N G  FO R  TH E   LO W E R  YA R D $1 5 , 5 0 0 GF 2 0 3 FA C I L I T Y   MG M T . BO Z E M A N  SE N I O R  SO C I A L  CE N T E R   EX T E R I O R  EN V E L O P E  IM P R O V E M E N T S . $3 8 , 5 0 0 GF 2 1 9 FA C I L I T Y   MG M T . AD D I T I O N  TO  CI T Y  HA L L ,  CO N S O L I D A T I O N   OF  SE R V I C E S . $5,500,000 $3 1 6 , 4 0 0 $1 3 0 , 0 0 0 $9 2 , 0 0 0 $5 0 , 0 0 0 $310,500 $5,566,600 Ge n e r a l  Fu n d GF 1 6 2 FI R E LI V E ‐FI R E  TR A I N I N G  PR O P $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $10,000 $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $10,000 Ge n e r a l  Fu n d GF 0 6 2 I. T . SE R V E R  & PE R S O N A L  CO M P U T E R  (P C )   RE P L A C E M E N T $7 0 , 0 0 0 $7 5 , 0 0 0 $1 0 0 , 0 0 0 $1 0 0 , 0 0 0 $75,000 GF 0 7 9 I. T . NE T W O R K  CO R E  SW I T C H E S $5 0 , 0 0 0 GF 0 8 0 I. T . RE M O T E  CL O S E T  SW I T C H E S ,  RO U T E R  AN D   WI R E L E S S  AP  RE P L A C E M E N T $4 0 , 0 0 0 $4 0 , 0 0 0 $4 0 , 0 0 0 $4 0 , 0 0 0 $40,000 GF 1 9 6 I. T . NE W  CO O L I N G  UN I T  FO R  PR O F E S S I O N A L   BU I L D I N G  DA T A  CE N T E R $3 5 , 5 0 0 GF 1 9 7 I. T . MI C R O S O F T  OF F I C E  VE R S I O N  UP G R A D E   TO  OF F I C E  20 1 3 $8 8 , 0 0 0 $2 8 3 , 5 0 0 $1 1 5 , 0 0 0 $1 4 0 , 0 0 0 $1 4 0 , 0 0 0 $115,000 Ge n e r a l  Fu n d GF 0 3 0 PA R K S AR T I C U L A T I N G  TR A C T O R $1 1 0 , 0 0 0 Ci t y of Bo z e m a n 35 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 GF 0 3 1 PA R K S PA R K  IM P R O V E M E N T  GR A N T S $1 0 0 , 0 0 0 $1 5 0 , 0 0 0 $150,000 GF 0 3 4 PA R K S LA R G E  DE C K  MO W E R $5 4 , 0 0 0 $8 0 , 0 0 0 GF 0 8 4 PA R K S PA R K S  RE S T R O O M  UP G R A D E S $390,000 $300,000 GF 0 9 2 PA R K S PL A Y G R O U N D  EQ U I P M E N T $6 0 , 0 0 0 $50,000 $7 0 , 0 0 0 GF 1 0 0 PA R K S TR A C T O R  WI T H  BU C K E T $4 5 , 0 0 0 GF 1 0 8 PA R K S PA R K  SI D E W A L K  RE P L A C E M E N T S $182,000 GF 1 1 1 PA R K S EA S T  GA L L A T I N  RE C  AR E A  IR R I G A T I O N   RE P A I R S $25,000 GF 1 1 5 PA R K S PA R K  VE H I C L E  RE P L A C E M E N T S $2 8 , 0 0 0 $90,000 $3 0 , 0 0 0 $30,000 GF 1 4 4 PA R K S ST O R Y  MA N S I O N  & MA N S I O N  PA R K   SI D E W A L K S $69,200 GF 1 4 6 PA R K S LI N D L E Y  PA R K  IR R I G A T I O N  SY S T E M $100,000 GF 1 4 7 PA R K S SO F T B A L L  CO M P L E X  IR R A G A T I O N  SY S T E M $110,000 GF 1 4 8 PA R K S BM X  PA R K I N G  LO T $85,000 GF 1 4 9 PA R K S EA S T  GA L L A T I N  RE C  AR E A  PA R K I N G  LO T $60,000 GF 1 5 1 PA R K S BE A L L  PA R K  BA S K E T B A L L  CO U R T S $18,000 GF 1 9 0 PA R K S 4 ‐WH E E L E R  AT V  RE P L A C E M E N T $14,000 GF 1 9 1 PA R K S UP G R A D E  OF  SO F T B A L L  CO M P L E X   LI G H T I N G $825,000 GF 1 9 4 PA R K S PA R K  EN T R A N C E  SI G N S $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $1 0 , 0 0 0 $10,000 GF 1 9 5 PA R K S AE R A T O R $17,000 GF 2 0 5 PA R K S PR O S T  PL A N  UP D A T E $1 0 0 , 0 0 0 GF 2 0 6 PA R K S BR O N K E N  PA R K  SI D E W A L K GF 2 0 7 PA R K S CI T Y W O R K S  HA R D W A R E $4 5 , 0 0 0 GF 2 2 0 PA R K S BO Z E M A N  PO N D  IN F R A S T R U C T U R E  &  IM P R O V E M E N T S  (T O P  PR O J E C T ) GF 2 2 1 PA R K S SP O R T S  CO M P L E X  IN F R A S T R U C T U R E  &  IM P R O V E M E N T S  (T O P  PR O J E C T ) $2 2 8 , 0 0 0 $2 3 4 , 0 0 0 $2 9 0 , 0 0 0 $1 6 0 , 0 0 0 $490,000 $2,035,200 Ge n e r a l  Fu n d Ci t y of Bo z e m a n 36 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 PW 0 1 PA R K S / F A C .  M SH O P S  FA C I L I T Y  EX P A N S I O N  PL A N $1 2 , 0 0 0 $1 2 , 0 0 0 Ge n e r a l  Fu n d GF 0 5 1 PO L I C E AN I M A L  CO N T R O L  VE H I C L E $3 3 , 0 0 0 GF 0 5 2 PO L I C E UN M A R K E D  VE H I C L E  RE P L A C E M E N T   PR O G R A M $2 1 , 0 0 0 $2 3 , 0 0 0 GF 0 5 3 PO L I C E PO L I C E  CA R S  & VE H I C L E  EQ U I P M E N T   RE P L A C E M E N T $1 5 6 , 0 0 0 $2 0 8 , 0 0 0 $1 5 6 , 0 0 0 $2 0 8 , 0 0 0 $156,000 GF 1 6 5 PO L I C E PA T R O L  MO T O R C Y C L E  RE P L A C E M E N T S $6 0 , 0 0 0 GF 1 6 6 PO L I C E PO R T A B L E  RA D I O  RE P L A C E M E N T S $4 8 , 0 0 0 $50,000 $4 9 , 5 0 0 $5 1 , 0 0 0 $52,500 $2 3 7 , 0 0 0 $2 8 9 , 0 0 0 $2 2 8 , 5 0 0 $2 5 9 , 0 0 0 $208,500 $50,000 Ge n e r a l  Fu n d GF 0 5 0 PO L I C E / C O U R T PO L I C E  & MU N I C I P A L  CO U R T  FA C I L I T Y $17 , 9 9 2 , 0 0 0 $17 , 9 9 2 , 0 0 0 Ge n e r a l  Fu n d GF 0 6 5 PU B L I C  SE R V I C E AE R I A L  PH O T O G R A P H Y $6 0 , 0 0 0 $6 0 , 0 0 0 GF 2 0 8 PU B L I C  SE R V I C E AS S E T  MA N A G E M E N T  SO F T W A R E $5 0 , 0 0 0 $6 0 , 0 0 0 $5 0 , 0 0 0 $6 0 , 0 0 0 Ge n e r a l  Fu n d GF 0 5 6 RE C R E A T I O N DE S I G N  & CO N S T R U C T   IN D O O R / O U T D O O R  FA M I L Y  AQ U A T I C S   CE N T E R $1 2 , 0 0 0 , 0 0 0 GF 1 3 7 RE C R E A T I O N SW I M  CE N T E R  PO O L  FI L T R A T I O N  SY S T E M $1 3 5 , 0 0 0 GF 1 4 0 RE C R E A T I O N LI N D L E Y  CE N T E R  PA R K I N G  LO T   RE N O V A T I O N $4 7 , 0 0 0 GF 1 4 2 RE C R E A T I O N SW I M  CE N T E R  PO O L  GU T T E R  & ED G E   TI L E S ,  PO O L  RE S U R F A C I N G ,  AN D   UN D E R W A T E R  LI G H T I N G  RE P L A C E M E N T $4 0 0 , 0 0 0 GF 1 8 1 RE C R E A T I O N SW I M  CE N T E R  DE C K  TI L E  RE P L A C E M E N T $1 9 8 , 0 0 0 GF 1 8 2 RE C R E A T I O N SW I M  CE N T E R  EX P A N S I O N $1,200,000 Ci t y of Bo z e m a n 37 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 GF 1 9 2 RE C R E A T I O N BO Z E M A N  SW I M  CE N T E R  CE I L I N G  TI L E   RE P L A C E M E N T $4 0 , 0 0 0 GF 2 0 9 RE C R E A T I O N LI N D L E Y  CE N T E R  FU L L  UP G R A D E :    RE S T R O O M S ,  WI N D O W S ,  SI D I N G ,   BA S E M E N T ,  KI T C H E N ,  RO O F $1 9 2 , 0 0 0 GF 2 1 6 RE C R E A T I O N 12  PA S S E N G E R  VA N $1 5 , 0 0 0 GF 2 1 7 RE C R E A T I O N BE A L L  FU R N A C E  RE P L A C E M E N T $2 3 , 0 0 0 $1 9 8 , 0 0 0 $1 2 , 4 1 5 , 0 0 0 $4 3 7 , 0 0 0 $1,200,000 Su m m a r y  f or    Ge n e r a l  Fu n d  (73  it e m s ) To t a l s  by  ye a r : $2 1 , 0 4 0 , 9 0 0 $13 , 2 5 1 , 5 0 0 $ 1 , 2 7 5 , 5 0 0 $8,961,800 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $1,152,000 $7 2 1 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 38 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF001 DEPARTMENT FACILITY MGMT. PROJECT NAME PROFESSIONAL BUILDING ELEVATOR REPLACEMENT FY15 FY16 Unscheduled $66,600 DESCRIPTION OF PROJECT The elevator in the Professional Building is a three stop Otis elevator. The elevator was installed when the second floor was added in 1972. Since the City purchased the building re-modeling has occurred on both the main floor and second floor. The elevator is to the point where many technological improvements have been made in elevator technology and a change out would yield both improved service and some reductions in energy savings. While the elevator is still a safe system, there are some inherent problems with the operation of the elevator. Of the four elevators owned by the City, this system experiences the most downtime. One big problem is the leveling systems and the way the rails and tracks are mounted in the building. If someone loads the elevator heavy to one side or another the balance alarm will engage and the elevator has to be reset. A new car and track system would solve the nuisance trips associated with this elevator. ALTERNATIVES CONSIDERED Continue to maintain and adjust the elevator operating systems throughout the year. The current electronics for the building are also a source of increased vigilance on the system and the electrical components on the system had to be traced back this year on two occasions to determine the problems of uneven voltages associated with the system. ADVANTAGES OF APPROVAL A new car, rail system and control package would add to the reliability of the elevator operation and the address the accessibility requirements for a municipal building. Building energy demands would also benefit as the newer elevator systems have more energy saving features built into them. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: A new system would reduce some of the maintenance costs currently associated with this elevator. A new system would also include a number of technological improvements such as a solid state slow start motor yielding reduced energy costs associated with the high demand motors used in elevator systems. FUNDING SOURCES General Fund and Building Inspection Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 39 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF010 DEPARTMENT CEMETERY PROJECT NAME CEMETERY MOWER REPLACEMENTS FY15 $16,000 FY16 $16,000 Unscheduled DESCRIPTION OF PROJECT Ongoing mower replacement program developed to keep the cemetery mowers operating as needed. These mowers are the equipment used to complete the mowing of 53 Formal Turf Acres, and support the Cemetery Divisions performance measures - Mowing the cemetery and adjacent trails. ALTERNATIVES CONSIDERED Keep older mowers for extended periods of time. ADVANTAGES OF APPROVAL Less down time, Decreased repair /maintenance costs, High trade –in value, Increased productivity, Less emissions. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Routine maintenance, oil changes, fuel. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $16,000 FY18 $17,000 FY19 $18,000 City of Bozeman 40 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF030 DEPARTMENT PARKS PROJECT NAME ARTICULATING TRACTOR FY15 FY16 $110,000 Unscheduled DESCRIPTION OF PROJECT The replacement of the 1992 MT articulating tractor, which does the bulk of the sidewalk snow removal for the Parks Division, encompassing over 12 miles of sidewalks and two routes to plow. ALTERNATIVES CONSIDERED Repair and maintain the 1992 MT as needed or explore the potential of sharing the costs of new Wacker/Neuson or Maclean MV2 wheel loader machines with the Street Division. These machines are a fairly new development in regards to sidewalk snow removal and can handle numerous implements as well. Depending on the machine of choice prices range from $60,000 to $110,000. ADVANTAGES OF APPROVAL Less down time and maintenance/repair costs, A new MT tractor will be able to support more implements, Less emissions and better fuel economy, Faster more efficient use of time. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Better fuel economy and less emissions= less maintenance costs and operating costs. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 41 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF031 DEPARTMENT PARKS PROJECT NAME PARK IMPROVEMENT GRANTS FY15 $100,000 FY16 Unscheduled DESCRIPTION OF PROJECT Contribute every other year from the General Fund towards improving park infrastructure through implementation of park master plans. This grant program is a matching funds program in which the City receives a minimum 1 to 1 match from the recipient. The Commission has established a formal grant policy by resolution. By switching to every other year, and also increasing the allocation, bigger projects can be accomplished, though these projects will take more time to complete. ALTERNATIVES CONSIDERED Handle park equipment and improvement requests on an adhoc basis, as various donors or service groups bring them forward. Allocate more or fewer dollars to the program. ADVANTAGES OF APPROVAL This matching funds program provides critical infrastructure to the park system by utilizing the talents of our community members through matching funds, donations, labor in lieu of and numerous specialized services. All of the above can be used as a match in this program ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: New infrastructure and facilities bring on increased maintenance and labor costs. The nature of each project funded will determine the continued costs. Some projects have very low ongoing costs, others have relatively higer costs. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $150,000 FY18 FY19 $150,000 City of Bozeman 42 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF034 DEPARTMENT PARKS PROJECT NAME LARGE DECK MOWER FY15 FY16 $54,000 Unscheduled DESCRIPTION OF PROJECT Eventual replacement of the 1999 (in FY16) Toro 455 series mowers, which are difficult to repair due to lack of parts (these mowers are not manufactured anymore) and are currently used as back-up mowers and/or are used sparingly in un-developed and smaller park areas. The mower request in FY18 would be an addition of a large-deck sports turf mower, anticipated to be needed for additional land purchases from Park and Trail Bond and future annexations. The city currently maintains over 125 acres of Formal Turf in the parks system. ALTERNATIVES CONSIDERED Continue to repair as break downs occur, Replace mowers as they breakdown, Lease mowers on a 3 - year program. ADVANTAGES OF APPROVAL Proper mowing of sports fields is imperative to safety. Regular replacement will reduce maintenance costs and decrease the number of breakdowns we have been experiencing. Well mowed parks are an important reflection on our City and how it is perceived by visitors and citizens. Having the right mower to do the job will ensure well mowed parks. New mowers will be more reliable, safer, productive, and will reduce the workload on the vehicle maintenance shop personnel. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Improve scheduling of mowing and increase crew efficiency because of reliable equipment. FUNDING SOURCES 100% General Fund. New Replacement Equipment Project FY17 FY18 $80,000 FY19 City of Bozeman 43 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF050 DEPARTMENT POLICE/COURTS PROJECT NAME POLICE & MUNICIPAL COURT FACILITY FY15 $17,992,000 FY16 Unscheduled DESCRIPTION OF PROJECT The Bozeman Police Department has outgrown the leased space at the Law and Justice Center. The existing building does not meet current building and life-safety codes for critical public safety facilities and is not suitable for remodel, alteration or expansion. To address these deficiencies, the City has been working with Gallatin County on a collaborative approach to addressing facility needs for the City and County’s criminal justice systems. Our particular focus has been on a combined facility for the Sheriff and Police Department. In December of 2012 the County decided it was not going to participate with the City in a joint facility and encouraged the City to proceed alone. Once the County withdrew from a joint facility, the benefits of the existing Law and Justice Center as a site for the City’s Police and Municipal Courts rapidly diminished to a point where we believe building on the site would compromise the ability of the Police Department to effectively and efficiently operate in the long term. Building location and site restrictions placed on the City by the County combined to cause us to look elsewhere for a more suitable building location. ALTERNATIVES CONSIDERED We have all but exhausted options to cooperate with the County in a joint facility. Once the County determined they would not participate in the design and construction of a joint law enforcement builing, and with the restrictions placed on our design by the County, we have determined that the L&J site is inadequate to accommodate the criminal justice facility needs of a growing community. We have evaluated 3 potential sites to construct a Police/Municipal Courts building and are focusing our efforts on a land exchange with the Montana Department of Transportation that will allow us to redevelop an industrial site on North Rouse. ADVANTAGES OF APPROVAL The Police Department would have adequate room for existing staff – and projected staff for 15-20 years. Sufficient Municipal Court space would also be available. This facility would be programmed and built with the PD, Court, and Prosecution needs in mind from the beginning. The new site and building would provide secure parking for the City’s police vehicle inventory. Public areas, secured areas, office locations, and space adjacencies could be maximized for the best and safest utilization (as opposed to a retro-fit of an existing building). ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Not estimated at this time. Currently, the City pays approximately $170,000 a year to Gallatin County for the Police Department and two court rooms at the L& J. We anticipate asking voters to approve an operating levy, if necessary, when approving the construction levy. FUNDING SOURCES General Fund: Final design costs and construction would be funded by a voter-approved levy. 20 year General Obligation Bonds would be issued. $750,000 for design was allocated to the project in FY’s 12 & 13: $1,000,000 was budgeted in FY14 for land purchase and site improvements. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 44 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF051 DEPARTMENT POLICE PROJECT NAME ANIMAL CONTROL VEHICLE FY15 FY16 $33,000 Unscheduled DESCRIPTION OF PROJECT FY16 - $33,000 to replace vehicle Asset 3230, 2004 Dodge 4-wheel drive with an expected mileage of 130,000. This vehicle will be replaced with a new extended cab, 4wd truck. Replacement includes new radio, with remaining equipment reused. The department responds to nearly 2,000 Animal Complaints each year. During the winter months it is very difficult to navigate the city streets and transport animals to the Heart of the Valley Animal Shelter with a 2 wheel drive pickup and need to continue use of a 4wd vehicle. It is anticipated that this vehicle will begin accumulating repairs and increasing maintenance costs. Purchase of a new truck would ensure many years of service without incurring high maintenance costs. The current truck could be used by another city department, be sold at auction, or used as a trade in. Hybrid fuel vehicles will be examined for suitability to assignment. ALTERNATIVES CONSIDERED The purchase of a newer lease return vehicle is a viable option and one that should be looked at before a final decision to purchase is made. ADVANTAGES OF APPROVAL 4-wheel drive is important for 12-month access in difficult weather. 4-wheel drive vehicles are often used for evidence retrieval and transport. A flex-fuel vehicle would provide better gas mileage. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Reduction in costs expected. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 45 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF052 DEPARTMENT POLICE PROJECT NAME UNMARKED VEHICLE REPLACEMENT PROGRAM FY15 $21,000 FY16 Unscheduled DESCRIPTION OF PROJECT FY15 - Replace Detective Vehicle Asset 3274 2001Dodge Durango which has 97,124 miles on it (Sept 13), but has started to become high maintenance and unsafe for continued use. This vehicle was originally forfeited as part of a criminal drug arrest. FY17 - Replace Detective Vehicle Asset 3138 2002 Chevrolet Impala which has 102,200 miles (Sept 13) on it currently. This amount includes all necessary vehicle equipment, with most current equipment being reused. Hybrid fuel vehicles will be examined for suitability to assignment. Unmarked vehicles are an essential item in the operation of the Bozeman Police Department, being the primary tool used by Detectives, School Resource Officers and command officers to assist and manage calls in support of marked police cars. Uses include response at all hours to violent and sexual crimes, assignment at area schools and enforcement purposes where an unmarked vehicle is more appropriate or tactically sound. While these vehicles are not over 20 years old, they are primary reponse vehicles for the department. ALTERNATIVES CONSIDERED Replacement will include trade in options and looking at lower mileage vehicle. Some equipment may be able to be reused. ADVANTAGES OF APPROVAL Would drastically reduce maintenance costs, mechanical concerns and provide many years of reliable service. Increased public safety and officer safety in providing mechanically sound emergency response vehicles, reduced risk and liability related to use of unreliable cars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Reduction in maintenance costs and possible reduction in fuel costs. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $23,000 FY18 FY19 City of Bozeman 46 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF053 DEPARTMENT POLICE PROJECT NAME POLICE CARS & VEHICLE EQUIPMENT REPLACEMENT FY15 $156,000 FY16 $208,000 Unscheduled DESCRIPTION OF PROJECT This plan allows for a number of patrol cars to be replaced each year, including all of the necessary vehicle equipment (top lights, sirens, radio, mobile data terminals, video cameras, electronic reporting / ticketing systems, etc.) Marked patrol vehicles are an essential item in the operation of the Bozeman Police Department, being the primary tool used for over 41,000 Response to Calls each year. Police vehicles must be available for police patrol and emergency call response 24 hours a day, 365 days a year. These vehicles are used to respond to both emergency and non-emergency calls for service, investigate vehicle crashes, conduct traffic enforcement and for general patrol duties. These patrol vehicles average approximately 20,000 miles annually. The table on the following page is an outline of the replacement schedule. ALTERNATIVES CONSIDERED None. ADVANTAGES OF APPROVAL This helps us plan for safe and reliable emergency response vehicles for patrol use, as well as projected lower annual maintenance costs due to lower annual miles driven per vehicle per year. This program would allow for the replacement of older, higher mileage patrol cars that become less reliable and more costly to repair. Equipment components mounted inside the car can sometimes be transferred from the old car to the new car, depending on the condition. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED These are replacement vehicles. Recurring costs frequently decline as newer cars replace older ones. Maintenance costs have stabilized due to regularly scheduled service, even though calls for service have increased and additional officers have been hired. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $156,000 FY18 $208,000 FY19 $156,000 City of Bozeman 47 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF056 DEPARTMENT RECREATION PROJECT NAME DESIGN & CONSTRUCT INDOOR/OUTDOOR FAMILY AQUATICS CENTER FY15 FY16 $12,000,000 Unscheduled DESCRIPTION OF PROJECT Indoor Aquatic Elements: Therapy pool, water slides, zero entry teaching area, river run, deep diving well, 25 yd lap pool. Outdoor Aquatic Elements: Lazy river, zero entry teaching area, zero entry pool, water slides. This item was identified as a “Top Ten Capital Facility Recommendation” in the PROST plan, adopted October 2007. This project will need to be approved by the voters. ;It is estimated that an election would be offered in Spring 2015. Construction would begin in the Summer/Fall 2015 (FY16). Opening would occur in Summer 2016. ALTERNATIVES CONSIDERED Implement plan in phases. ADVANTAGES OF APPROVAL Community Benefits of an Aquatics Center: Safe and healthy place for families to play; Connected families; Strong, vital, involved community; Support for youth at risk; and, Increased community programs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs to include additional aquatic staff: Cost undetermined at this time. We would recommend asking voters to approve a levy increase for operations, at the time of capital improvement funding. FUNDING SOURCES General Fund, Bond Issue, Grants, etc. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 48 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF062 DEPARTMENT I.T. PROJECT NAME SERVER & PERSONAL COMPUTER (PC) REPLACEMENT FY15 $70,000 FY16 $75,000 Unscheduled DESCRIPTION OF PROJECT This is a general item for replacement of personal computers and Servers for General Fund related jobs and services. (Enterprise and Special Revenue fund services pay for their own pc’s and servers.) As of FY10, Personal Computers’s moved to a 4 year rotation and servers continued to be minimal of a 5 year asset before replacement. PC Replacements are one of the primary drivers of Help Desk Calls (PM01 & WL01) - aging computers can have more software and technical conflicts, and replaced PC's often require user support for newer versions of software, etc. ALTERNATIVES CONSIDERED Not replace computer/server hardware as frequently. ADVANTAGES OF APPROVAL City technology needs will be better met and the IT department will be able to more efficiently support employees and citizens. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $100,000 FY18 $100,000 FY19 $75,000 City of Bozeman 49 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF064 DEPARTMENT COMM. DEV. PROJECT NAME VEHICLE REPLACEMENT FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Replacement of the current vehicle, a 1998 Nissan Sentra with 55,000 miles. This is a small car which works well for single or two person activities but does not have much cargo or personnel capacity. The vehicle is used by Planning Staff for site visits to projects, posting notices on-site, in-town meetings and other department activities (WL01-WL32) . Replacement would be with a fuel efficient small vehicle, possibly a hybrid. ALTERNATIVES CONSIDERED Continue to operate the existing vehicles with increasing maintenance costs. ADVANTAGES OF APPROVAL Provide functional transportation with reduced maintenance costs. Because of the age of the existing vehicle, maintenance costs are likely to increase to keep it functional. Recent repairs include power windows and routine maintenance. The vehicle needs numerous minor repairs, including dashboard lights, that continue to be deferred. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: No new costs are expected as maintenance is already performed on the existing vehicle. However, maintenance and repair costs are anticipated to increase due to the age of the vehicle. FUNDING SOURCES General Fund and/or Planning Fund New Replacement Equipment Project FY17 FY18 $25,000 FY19 City of Bozeman 50 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF065 DEPARTMENT PUBLIC SERVICES (GIS) PROJECT NAME AERIAL PHOTOGRAPHY FY15 $60,000 FY16 Unscheduled DESCRIPTION OF PROJECT Acquire aerial photography for the Bozeman planning area. Aerial photography benefits both the organization and the community by supplying a clear and accurate representation of current conditions. This information is used on a daily basis in all levels of our operations. We continue to experience unprecedented demand for digital imagery (i.e., staff reports, Commission presentations, water/sewer utilities, public requests, etc.). ALTERNATIVES CONSIDERED Use of lower resolution satellite imagery. Partnerships with other agencies. ADVANTAGES OF APPROVAL Contributes to on-going acquisition of photos at regular intervals for historical archives. Since 1987 we have not gone more than five years without an update. Measurements and land use determinations are made on a local or regional basis without requiring extensive field time. Aerial photographs are used extensively in several on-line and in-house mapping applications. Background information for existing and future GIS & CAD datasets and Facility Plans. Meets public demand for current and accurate aerial photography. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED There are no annual operating or maintenance costs associated with this project. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 $60,000 FY19 City of Bozeman 51 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF079 DEPARTMENT I.T. PROJECT NAME NETWORK CORE SWITCHES FY15 $50,000 FY16 Unscheduled DESCRIPTION OF PROJECT This is a scheduled replacement of switches that provide the backbone of the entire network. These provide the technology platform for the entire organization. The switches at the Professional Building will be replaced in FY15. This equipment is critical to the City's technology network, suporting all of the department's performance measures related to system "uptime" (PM02- PM06) and workload measures related to number of hours the network and various software is "in service" (WL02-W06). ALTERNATIVES CONSIDERED Maintain current switches without critical support or maintenance. ADVANTAGES OF APPROVAL Continued maintaining network stability and ensure phone services and data without interruption. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: FUNDING SOURCES General Fund – with costs shared with Enterprise, as location warrants. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 52 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF080 DEPARTMENT I.T. PROJECT NAME REMOTE CLOSET SWITCHES, ROUTER AND WIRELESS AP REPLACEMENT FY15 $40,000 FY16 $40,000 Unscheduled DESCRIPTION OF PROJECT Wan Site end of life replacements for switches and router throughout City to include City Hall, Professional Building, City Shops, Landfill, L&J, Library, WWTP, WTP, Swim Center, Beall Park, Cemetery. Smaller sites will be consolidated in one year. FY 15 - Prof-Building, Vehicle Maint. This equipment is critical to the City's technology network, suporting all of the department's performance measures related to system "uptime" (PM02-PM06) and workload measures related to number of hours the network and various software is "in service" (WL02-W06). ALTERNATIVES CONSIDERED Maintain current switches without critical support or maintenance. ADVANTAGES OF APPROVAL Maintain uptime for all WAN locations throughout the City to include phone services as well as data. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund – with costs shared with Enterprise, as location warrants. New Replacement Equipment Project FY17 $40,000 FY18 $40,000 FY19 $40,000 City of Bozeman 53 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF083 DEPARTMENT CEMETERY PROJECT NAME BACKHOE FY15 FY16 Unscheduled $110,000 DESCRIPTION OF PROJECT This piece of equipment replaces the current cemetery backhoe (2001) that is used for burials an average of 2 times per week. This is the main piece of equipment utilized for cemetery burials. ALTERNATIVES CONSIDERED Continue to use older vehicle which is becoming unreliable and costly to maintain. Borrow from another department. ADVANTAGES OF APPROVAL Increased reliability and safety for staff and the families relying on cemetery services, and the old cemetery backhoe would be handed down to the Parks Division, which is in dire need of a “road-worthy” backhoe. Cost of economy with both divisions receiving “new” pieces of equipment. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Operating and repair costs are expected to be lower than the existing vehicle. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 54 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF084 DEPARTMENT PARKS PROJECT NAME PARKS RESTROOM UPGRADES FY15 FY16 Unscheduled $390,000 DESCRIPTION OF PROJECT This project is the general replacement and upgrading of the City Park’s public restroom facilities. Other restrooms that need to be replaced- and/or built are: Rose Park ($175,000), Westlake BMX ($175,000) , Beall ($40,000) and a new addition that rises to the top, is the Softball Complex ($300,000 - Large Facility plus Concession Stand). Currently, Rose and BMX Parks are unscheduled, due to evaluating Impact fee costs and implications of the landfill clean-up. ;The Lindley Park restroom, funded in FY13, has been replaced and will be fully functional in the spring of 2014. ALTERNATIVES CONSIDERED Continue to try to maintain existing facilities. The Rose and BMX Park projects will provide restroom facilities in areas where currently none exist. ADVANTAGES OF APPROVAL Ease of maintaining new restrooms, increased cleanliness of public facilities. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Operating and repair costs are expected to be lower than the existing facilities. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 $300,000 City of Bozeman 55 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF092 DEPARTMENT PARKS PROJECT NAME PLAYGROUND EQUIPMENT FY15 FY16 $60,000 Unscheduled $50,000 DESCRIPTION OF PROJECT The following playground equipment will eventually ;need to be replaced due to its age and condition: Replacement will bring equipment up to today’s standards and reduce safety and liability concerns. Jarrett Park (FY16), Christie Park (FY18), and Beall Park, are identified as the playgrounds that need replacement, in that priority. In general, safety recommendations for playgrounds address: playground site elements, sight lines, equipment features and materials, surfacing materials, hardware, paints and finishes, and any other hazards that might be present. Playground repairs require same-day; response given their critical safety implication. We currently maintain 24 playgrounds city-wide. ALTERNATIVES CONSIDERED Keep existing equipment in place, maintain as we go ADVANTAGES OF APPROVAL Increased safety for community members. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES 100% General Fund. New Replacement Equipment Project FY17 FY18 $70,000 FY19 City of Bozeman 56 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF100 DEPARTMENT PARKS PROJECT NAME TRACTOR WITH BUCKET FY15 $45,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replace the aging 1986 Ford tractor with a new tractor. This tractor will be used to broom the 4 ice rinks, move material, assist in fertilization and will be used extensively with all three city-owned aerators. New price information is much less expensive than previously quoted. ALTERNATIVES CONSIDERED Continue to repair and patch up the Ford tractor as breakdowns occur. Explore the possibility of using the Street Division’s Massy in the winter. ADVANTAGES OF APPROVAL Less down time and maintenance/repair costs, A new tractor will be able to support more implements, Less emissions and better fuel economy, Faster more efficient use of time. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Better fuel economy and less emissions= less maintenance costs and operating costs. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 57 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF103 DEPARTMENT FACILITY MGMT. PROJECT NAME American's with Disabilties Act (ADA) COMPLIANCE IMPROVEMENTS FY15 $20,000 FY16 $20,000 Unscheduled DESCRIPTION OF PROJECT Replace or install ADA upgrades in various city-owned buildings. Work examples include: door hardware, handrails, parking signage and stalls, building access, etc. The newly formed ADA advisory committee is anticipated to provide recommendations to the city on priority order for any upgrades or improvements that we might make in order to make our facilities or programs more accessible. Having this money available to begin improvements will show our priorities have already been in place to address special needs concerns for the City of Bozeman. Based on the initial review of the work to be done the dollar amount should be increased in order to complete the improvements within the needed timeframe. ALTERNATIVES CONSIDERED When remodels are initiated on buildings they are brought up to current ADA requirements as per regulations. There are changes to the ADA that took effect in March 2011. We will continue to make upgrades as changes are made to buildings but this budget item would accelerate the compliance for city buildings. ADVANTAGES OF APPROVAL It has been the policy of the city to meet the full spirit of the law as outlined in the ADA regulations. By taking the initiative to bring all our buildings up to current standards we can provide a positive example to the community in meeting the needs of people with restricted or limited mobility. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: No real costs foreseen with these improvements. Future costs could be reduced if the upgrades are made prior to any remodeling of the building FUNDING SOURCES 100% General Fund. New Replacement Equipment Project FY17 $20,000 FY18 $20,000 FY19 $20,000 City of Bozeman 58 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF104 DEPARTMENT FACILITY MGMT. PROJECT NAME ENERGY UPGRADES FY15 $30,000 FY16 $30,000 Unscheduled DESCRIPTION OF PROJECT Install occupancy sensors in areas that are occupied at irregular times; install programmable thermostats; replace plumbing fixtures with low-water fixtures; replace single glaze windows with double glazed units. Work would occur on all city owned buildings after an analysis of the work that would have the best payback and energy savings. Some consultation with an electrical engineer would be needed to develop some energy modeling to determine which improvements would have the best payback. This funding is expected to become available just as our federal Energy Efficiency & Conservation Block Grant money has been fully utilized. This project may change if the City decides to move forward on the Performance Contracting Energy Improvement work that has been bid. The Performance Contracting will address the major energy improvements identified by the city and the contractor. ALTERNATIVES CONSIDERED Currently upgrades are made as equipment reaches its useful life. This approach would be more proactive, replacing Items that have a reasonable pay-back on energy savings. ADVANTAGES OF APPROVAL This work would be in line with the Mayor’s energy initiative. Some rebates are currently available through NorthWestern Energy which would help offset the cost of the change-outs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Improvements that would result in the shortest payback would receive priority. Changes that would improve the work environment for employees and the public would also be given a priority. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $30,000 FY18 $30,000 FY19 $30,000 City of Bozeman 59 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF108 DEPARTMENT PARKS PROJECT NAME PARK SIDEWALK REPLACEMENTS FY15 FY16 Unscheduled $182,000 DESCRIPTION OF PROJECT Identified for replacement due to deteriorating cement, missing sections and heaving from weather and roots from trees. Approx $7/ square foot for rip and replace. New sidewalks must meet or exceed city code. Replacing the old sidewalk will result in a safer sidewalk year round and enable the sidewalks plows to better meet the snow removal municipal code. Project 1: $100,000 - Southside Park - replace 730' of sidewalk along South 5th Avenue and along West Alderson Street with new 6' (six foot) wide concrete sidewalk, and the related retaining wall. Project 2: $82,000 - Cooper Park - replace the sidewalk around the entire block. This sidewalk serves as a main route to and from the University. Approximately 1875' total. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Increased safety for community members. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: no estimate at this time FUNDING SOURCES General Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 60 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF111 DEPARTMENT PARKS PROJECT NAME EAST GALLATIN REC AREA IRRIGATION REPAIRS FY15 FY16 Unscheduled $25,000 DESCRIPTION OF PROJECT Update and repair the irrigation and pump system that has been repeatedly damaged by construction of the restrooms and park expansion. A damaged system requires more repairs. Wait until the Sunrise Rotary park development is completed. ALTERNATIVES CONSIDERED Not irrigate until construction and master plan implementation is complete. Patch together what we can of the existing system and irrigate some of the park. Potentially, this could be a PIG project as described earlier in the CIP. (Bigger projects) ADVANTAGES OF APPROVAL Efficiently irrigate the entire park. Minimize labor due to potentially hauling hoses around. Shorten the time it takes to irrigate the park Irrigate at night-minimize evaporation, transpiration and vandalism to irrigation heads. Healthier turf ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Annual operating and maintenance costs would rise slightly, due to the upgrades of valves, rotor heads and electrical wire in the ground. These identified costs potentially could be offset by fuel, vehicle and manpower savings attributed to continual manual watering. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 61 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF115 DEPARTMENT PARKS PROJECT NAME PARK VEHICLE REPLACEMENTS FY15 $28,000 FY16 Unscheduled $90,000 DESCRIPTION OF PROJECT Parks Department utilizes trucks for mowing, fertilization, irrigation, inspections, and repairs of the city parks, comprising over 125 acres of formal turf and 220 acres of natural parkland. Because these are not emergency response vehicles, they are replaced as funding becomes available. All trucks are utilized well beyond 130,000 miles, and until service related down-time for equipment and staff become problematic or safety is compromised. A detailed listing of the replacement plan is shown on the following page, with vehicle mileage updated October 2013. FY 15 replacement is for the Blue 1988 GMC ½ ton – 1495- 210,000+mi. ALTERNATIVES CONSIDERED None. ADVANTAGES OF APPROVAL This insures safe and reliable vehicles for park use. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: These are replacements; recurring costs frequently decline as newer cars replace older ones. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $30,000 FY18 FY19 $30,000 City of Bozeman 62 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF116 DEPARTMENT CEMETERY PROJECT NAME CEMETERY VEHICLE REPLACEMENTS FY15 FY16 $42,500 Unscheduled DESCRIPTION OF PROJECT Cemetery Vehicle Replacement Plan. The Cemetery Department utilizes 1-Ton trucks for operations and maintenance of the Sunset Hills Cemetery. Asset# 1213, 1989 1Ton 4x4, Estimated 45,000 miles, replace in FY16. This 1-Ton is critical to providing prompt burial services (loading and unloading dirt) roughly twice a week, and sanding/plowing cemetery roads. While it has relatively low mileage, the cost of repairs and its extremely low fuel economy (460 engine) drive our recommendation to replace this 25 year old vehicle. *Mileage as of 10/2012 ALTERNATIVES CONSIDERED None. ADVANTAGES OF APPROVAL This insures safe and reliable vehicles for cemetery use. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: These are replacements; recurring costs frequently decline as newer cars replace older ones FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 63 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF130 DEPARTMENT FACILITY MGMT. PROJECT NAME CITY HALL SITE IMPROVEMENTS - PHASE 2 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT A general landscape plan was prepared for the building remodel. It included planting beds, irrigation upgrades for a dated system and modifications to provide water coverage for the revised site and better use of treated city water. Improvement items include: Irrigation upgrade and new irrigation lines to all parts of the site, Reclamation of the abandoned alley to the south of the City Commission meeting room, Trees to provide screening and shading on the south facing elevation, A storm water detention area on the north east end of the alley to protect the creek from site run-off and any added siltation, Planting beds and screening from the parking lot to the south of City Hall, Benches and or picnic tables for staff and citizen use, Better amenities for bike racks will also be included. If approved the landscaping plan will be presented to the Commission for final review and approval. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL The site improvements will add to the overall character of the building as an important municipal facility. Commitments were made in the LEED application for future site development that will address lower maintenance needs, less water use, and other green practices. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: The replacement of the irrigation system with a properly zoned system will make better use of treated city water. The landscape plan that has been initially developed for the site includes both native plantings and other vegetation requiring less water. FUNDING SOURCES 100% General Fund. New Replacement Equipment Project FY17 $42,000 FY18 FY19 City of Bozeman 64 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF137 DEPARTMENT RECREATION PROJECT NAME SWIM CENTER POOL FILTRATION SYSTEM FY15 $135,000 FY16 Unscheduled DESCRIPTION OF PROJECT The current filtration at the Swim Center is a hazard to work in. Staff must climb into the filtration pit onto slick wood rails to scrub the filter grids on weekly bases. Once per month staff must climb to the bottom of the pit to clean out all old filter media, there is not a ladder the bottom of the pit so staff must swing from pipes to get to the bottom. The filter pit holds approximately 60,000 gallons of water, which gets flushed down the drain. A regenerative media system is a new media system that uses the same media that the Swim Center currently uses, which provides the cleanest water. The system is contained in a pressurized tank that will hold 400 gallons of water. To clean the staff will only be required to press a button, reducing the potential hazard. This project would assist in making sure Aquatics classes aren't cancelled (PM08), reduce some of the current maintenance burdens (PM01), and mitigate some of the items contained in Risk Management reports - Aquatics Facilities (PM06). ALTERNATIVES CONSIDERED Continue to use current system ADVANTAGES OF APPROVAL This project will decrease the work place hazards for staff, reduce staff time needed to clean filters, and replace media. The regenerative media system will also save approximately 700,000 gallons of water per year in cleaning. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Maintenance and Operating cost will be equal or less then current system. FUNDING SOURCES 100% General fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 65 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF139 DEPARTMENT FACILITY MGMT. PROJECT NAME CITY HALL PHASE 3 SITE IMPROVEMENTS FY15 $47,250 FY16 Unscheduled DESCRIPTION OF PROJECT Phase III will address some of the longer term site needs. Work proposed in this phase of improvements includes: an established path of travel through the parking lot from the parking area along Rouse to the entry sidewalk, resurfacing the parking lot and restriping will reduce annual maintenance costs, sections of sidewalk along Lamme are starting to deteriorate. Work on these sidewalk sections will be combined with the establishment of tree pits and drip irrigation. Current code calls for street trees approximately every 50 feet. The curb area around the creek crossing bridge on Lamme is an odd configuration that leads to water retention and freezing during the winter. Site security and pedestrian lighting will also be evaluated once a site plan and project costs are further refined. ALTERNATIVES CONSIDERED Certain components of Phase III will require coordination so that improvements do not get damaged with future work on the site. ADVANTAGES OF APPROVAL The site improvements will add to the overall character of the building as an important municipal focal point. The work proposed in Phase III will improve general pedestrian safety by getting people across the parking lot and address some of the deterioration sidewalk on the East Lamme side of the building. This area gets a good deal of pedestrian traffic for both City Hall and Hawthorn school. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Some additional costs will be incurred during the first few years as the plantings are starting to establish themselves on-site. The upgraded sidewalk areas will still need to be maintained, but a new walk will require less work to clear because the surface will be uniform and have the proper drainage slopes. Improvements to the parking lot will also reduce some of the overall annual maintenance costs. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 66 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF140 DEPARTMENT RECREATION PROJECT NAME LINDLEY CENTER PARKING LOT RENOVATION FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Curb and overlay the parking lot at the Lindley Center and include ADA parking stalls. Install parking lot lights and bases, a dumpster pad and dumpster enclosure fence. This project aligns with section 10.10.1 of the PROST plan (adopted October 2007) that recommends that City parks, recreation facilities and trails are accessible to the greatest extent possible. It would reduce some of the current maintenance burdens (PM07), and mitigate some of the items contained in Risk Management reports - Recreation Facilities (PM06). Includes permit fees. ALTERNATIVES CONSIDERED Sealing and striping lot and not installing lights ADVANTAGES OF APPROVAL Comply with city codes, allow for more cars to be parked in the lot at a time, more organized parking which will make the lot safer and reduced liability, lights will help with public safety and parking lot/facility security, ADA spots will be designated which will make the lot accessible, the dumpster would be enclosed. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs to include stripping and periodic overlays. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $47,000 FY18 FY19 City of Bozeman 67 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF142 DEPARTMENT RECREATION PROJECT NAME SWIM CENTER POOL GUTTER & EDGE TILES, POOL RESURFACING, AND UNDERWATER LIGH FY15 FY16 $400,000 Unscheduled DESCRIPTION OF PROJECT The current Pool gutter tiles are from the original build in 1974. They are made of concrete and over the years have been eroded away and are becoming dangerously thin. The tiles are no longer made; the gutter will be replaced with a high impact plastic gutter system. The edge tiles around the pool will be damaged during the process, and they are also no longer available. A modern tile that will fit into the color scheme of the pool will replace them. $210,000 The pools current shell surface will be 10 years old in 2017. The average life span of pool surfaces is 10 years. Resurfacing of the pool is the best time to replace light fixtures. In the last resurfacing the crew was not monitored and the fixtures were installed incorrectly, therefore we have disconnected the lights from the electricity source for safety. Resurfacing of the pool will be with Diamond-brite, and the lights will be LED fixtures producing better light at higher efficiency then the 500W fixtures currently in place. Light and shell resurfacing combined price: $190,000 This project would assist in making sure Aquatics classes aren't cancelled (PM08), reduce some of the current maintenance burdens (PM01), and mitigate some of the items contained in Risk Management reports - Aquatics Facilities (PM06). ALTERNATIVES CONSIDERED Replace with stainless steel gutters ADVANTAGES OF APPROVAL Replace with stainless steel gutters ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 68 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF144 DEPARTMENT PARKS PROJECT NAME STORY MANSION & MANSION PARK SIDEWALKS FY15 FY16 Unscheduled $69,200 DESCRIPTION OF PROJECT Replace the damaged areas of sidewalk around the perimeter lot of the Story Mansion. Replacing the old sidewalk will result in a safer sidewalk year round and enable the sidewalks plows to better meet the snow removal municipal code in 12.24.020 (PM23). ALTERNATIVES CONSIDERED The current sidewalks are the standard 5 foot walkways. Areas of the sidewalk are showing signs of wear making it difficult to maintain in the winter. The turf areas on either side of the sidewalk are higher that the sidewalk which leads to snow and snow melt-off accumulation on the walk. The Parks Department has moved to 6 foot wide sidewalks so it can be cleared properly with the equipment we currently use for winter snow removal. ADVANTAGES OF APPROVAL Annual Operating and Maintenance Costs: Replacement of the walks will facilitate more efficient snow removal on the block. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 69 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF146 DEPARTMENT PARKS PROJECT NAME LINDLEY PARK IRRIGATION SYSTEM FY15 FY16 Unscheduled $100,000 DESCRIPTION OF PROJECT Completely replace the irrigation system at Lindley Park. The system is one of the oldest in the city. It is becoming common that the pipe and electrical wire are starting to fail on a regular basis. A damaged system requires more repairs. It is important to keep this system working because Lindley is one of our most used parks, keeping the grass green before and after the Sweet Pea Festival, and it also a part of the cemetery irrigation system. ALTERNATIVES CONSIDERED Repair existing system as needed ADVANTAGES OF APPROVAL Healthier turf, grass will be green, not dormant in the summer Efficient use of the water (water conservation) Irrigate at night-minimize evaporation and transpiration Public safety, un-irrigated ground is hard and attracts gophers. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Annual operating and maintenance costs would rise slightly, due to the nature of valves, rotor heads and electrical wire in the ground. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 70 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF147 DEPARTMENT PARKS PROJECT NAME SOFTBALL COMPLEX IRRAGATION SYSTEM FY15 FY16 Unscheduled $110,000 DESCRIPTION OF PROJECT Replace the existing irrigation system at the softball complex. The system is 40 years old and starting to fail regularly. This is not only due to its age but because many of the lines were cut through and patched when the lighting system was installed. Work has been done to fix the curb stops from leaking by. A damaged system requires more repairs. ALTERNATIVES CONSIDERED Continue to repair existing system ADVANTAGES OF APPROVAL Healthier turf, grass will be green, not dormant in the summer Efficient use of the water (water conservation) Irrigate at night-minimize evaporation and transpiration Public safety, un-irrigated ground is hard. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Annual operating and maintenance costs would rise slightly, due to the nature of valves, rotor heads and electrical wire in the ground. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 71 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF148 DEPARTMENT PARKS PROJECT NAME BMX PARKING LOT FY15 FY16 Unscheduled $85,000 DESCRIPTION OF PROJECT Installation of parking lot at Westlake BMX park. ALTERNATIVES CONSIDERED Do not install a parking lot ADVANTAGES OF APPROVAL Also access for Childrens Memorial Park Accessible area to park Christmas tree dumping ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Minimal. Clean-up, possible snow plowing, painting lines every few years FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 72 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF149 DEPARTMENT PARKS PROJECT NAME EAST GALLATIN REC AREA PARKING LOT FY15 FY16 Unscheduled $60,000 DESCRIPTION OF PROJECT Paving parking lot at the East Gallatin Recreation Area. ALTERNATIVES CONSIDERED Keep the parking lot gravel until master plan is completed in coordination with the Rotary Club. ADVANTAGES OF APPROVAL Reduced maintenance on the road. We would be able to plow the parking lot after all snow events. We now have to make sure the ground is frozen before we plow so the parking lot does not come up with the snow. No washboards and holes to trap water. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Minimal. Clean-up, possible snow plowing, painting lines every few years FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 73 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF151 DEPARTMENT PARKS PROJECT NAME BEALL PARK BASKETBALL COURTS FY15 FY16 Unscheduled $18,000 DESCRIPTION OF PROJECT Resurface or tile the existing court. ALTERNATIVES CONSIDERED Leave it the way it is. Utilize Cash-in-Lieu or PIG $$ ADVANTAGES OF APPROVAL Improved basketball courts that are level, safe and are an asset to the park and could be used for a multitude of City Recreation programs, ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 74 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF157 DEPARTMENT FACILITY MGMT. PROJECT NAME SENIOR CENTER ELEVATOR FY15 FY16 $68,000 Unscheduled DESCRIPTION OF PROJECT The elevator at the Bozeman Senior Social Center is a three stop Otis elevator. The elevator was installed in early 1980. The elevator is to the point where many technological improvements have been made in elevator technology and a change out would yield both improved service and some reductions in energy savings. While the elevator is still a safe system, the elevator is used often due to the special needs of the members of the Senior Center. Planning ahead for the replacement of the elevator will be more cost effective and avoid unnecessary down time during the replacement process. I requested a detailed analysis of the elevator by the maintenance contractor we have for the elevator and they agreed that the Senior Center elevator is the one that is most in need of replacement amongst all the city elevators. ALTERNATIVES CONSIDERED Continue to maintain and adjust the elevator operating systems throughout the year. Wait to replace the elevator until it physically breaks down or continue to monitor the operation and hold off on the replacement until the routine repair and maintenance costs exceed acceptable limits ADVANTAGES OF APPROVAL A new car, rail system and control package would add to the reliability of the elevator operation and the address the accessibility requirements for a municipal building. Building energy demands would also benefit as the newer elevator systems have more energy saving features built into them. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: A new system would reduce some of the maintenance costs currently associated with this elevator. A new system would also include a number of technological improvements. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 75 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF162 DEPARTMENT FIRE PROJECT NAME LIVE-FIRE TRAINING PROP FY15 $10,000 FY16 $10,000 Unscheduled DESCRIPTION OF PROJECT This will continue building the Fire training facility at the lower yards. It will be constructed of modular container units that will be configured and replaced when needed. This facility will be used year round. The following types of training would occur: Live Fire, Flashover, Ventilation, Forcible Entry, Confined Space, Hazardous Materials Response, and Trench Rescue. The facility will be available to the City Police Department for their training needs (Special Response Team, etc.) and to the Water and Sewer Department for continued Trench Rescue training. In recent budgets we have purchased the containers and have them stacked at the training site. The ongoing request is to begin and complete the passage doorways, roof props, burn rooms and eventually a standalone flash over prop. This project trains firefighters to respond to Fires, Rupture/Explosion , and Hazardous Conditions and various other call types. ALTERNATIVES CONSIDERED Continue with utilizing the existing site and Central Valley Fire training center out of the city and limited trips to Missoula to use their prop. We also have a stronger relationship with Sourdough Fire and potentially will be training with them. ADVANTAGES OF APPROVAL Firefighters can train when on-duty, reducing overtime costs. Required for ISO compliance.. Located within the City Limits, firefighters would be close for call-outs. Available when needed (unlike Central Valley Fire site.) Shared facility with City Police and Water/Sewer Operations ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Operating costs are minimal and are within our existing operational budgets. FUNDING SOURCES 100% General Fund. New Replacement Equipment Project FY17 $10,000 FY18 $10,000 FY19 $10,000 City of Bozeman 76 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF165 DEPARTMENT POLICE PROJECT NAME PATROL MOTORCYCLE REPLACEMENTS FY15 $60,000 FY16 Unscheduled DESCRIPTION OF PROJECT FY15 - $60,000 will replace asset # 3112 and asset # 3154. This plan allows for our 2 primary patrol motorcycles to be replaced, including most of the necessary vehicle equipment (emergency lights, sirens, radio) This program would replace older, higher mileage patrol motorcycles that become less reliable and more costly to repair, but more importantly can become a safety issue for Officers. Some of the equipment from the motorcycle will be transferred from the old motorcycle to the new motorcycle depending on the equipment’s condition. Patrol motorcycles are an essential item in the traffic enforcement division, used for a portion of the over 13,000 traffic stops, crashes, and citations each year. ;These vehicles are used to respond to both emergency and non-emergency calls for service, investigate accidents, conduct traffic enforcement and for general patrol duties. ALTERNATIVES CONSIDERED None. This will include trading in 2 primary motorcycles and a third older motorcycle to help minimize costs. ADVANTAGES OF APPROVAL This ensures safe and reliable emergency response vehicles for patrol use, as well as lower annual maintenance costs. For the traffic division to be effective, this equipment must be kept in top operating condition. Police motorcycles must be available for police patrol use during the day and when the city streets are clear enough to ride. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Maintenance costs are stable due to regularly scheduled service. Officers assigned to the motorcycle division are also assigned to their own motorcycle. This seems to reduce the wear on this equipment. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 77 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF166 DEPARTMENT POLICE PROJECT NAME PORTABLE RADIO REPLACEMENTS FY15 FY16 $48,000 Unscheduled $50,000 DESCRIPTION OF PROJECT This plan allows for 9 police portable radios to be replaced each year, including all of the software, programming and peripheral accessories. This is planned replacement of radios at the end of their predicted usable life, estimated between six and ten years. This will provide forseamless communication and response capabilities as the radios become less reliable and repair is no longer a financially prudent option. Portable (or hand-held) radios are an essential item in the operation of the Bozeman Police Department, being a critical communication tool used for over 41,000 Response to Calls (workload measures WL02-WL34) each year. Police radios must be available for police use 24 hours a day, 365 days a year. These radios are individually assigned, allowing for greater longevity, and department-wide communication in the event of a need for major response. ALTERNATIVES CONSIDERED None. Previously had this rotation beginning in FY15. Radios are working to a degree that this entire planned purchase moved back beginning FY16 ADVANTAGES OF APPROVAL This insures safe and reliable emergency communication and response. Program allows for a planned and predictable need for equipment replacement. Clear and dependable communication allows for quick and efficient deployment and the required level of officer safety. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $49,500 FY18 $51,000 FY19 $52,500 City of Bozeman 78 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF170 DEPARTMENT FACILITY MGMT. PROJECT NAME BOILER REPLACEMENT AT FIRE STATION #1 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT **This project is most ideally timed with the Station #1 Remodel in the Fire Equipment & Capital Replacement Fund.** The old steam boiler at Fire Station #1 has reached the end of its useful cycle. The fact that the unit is no longer serving the old City Hall means that is working even less efficient because it is now oversized. The current plan was to replace the existing boiler with another steam boiler. When the steam lines were disconnected from old City Hall the condition of the pipes could be assessed. The pipes were found to be severely corroded and in poor condition. An engineer was hired to size the boiler for servicing only Fire Station #1 and to assess other features of the 1964 vintage system. Three options were proposed to upgrade the system for both building comfort and energy efficiency. The third option proposed in the study is the most efficient and has the best payback. This project significantly effects building occupant comfort/quality (PM05) and potentially generates emergency and non- emergency repairs (PM01-3). Staff has been working to keep the boiler running properly, and monitoring the chemical condition of the boiler water to try to increase the useful life of the boiler. ALTERNATIVES CONSIDERED Replacement of the current boiler with another steam boiler is no longer an option after assessing the condition of the steam distribution lines and other components of the older system. Three options were reviewed and a summary report for each option was included in the analysis done by the engineer. The least expensive solution is to stay with a stem system. The project will now include boiler replacement, distribution line replacement, and changing out the old pneumatic controls with a digital control system. The structural assessment and architectural design for the upstairs expansion of Station #1 is complete. This ADVANTAGES OF APPROVAL The proposed option will better address the variable heating needs of the building – work areas, living areas, and fire bays. The proposed system is designed for the current configuration of the building and could be supplemented to handle the additional square footage proposed when the dorm area of the station is increased. The proposed system is in line with the Municipal Climate Action Plan. Planning for the replacement of the current boiler prior to failure of the unit will be most cost effective. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The recommended system would result in an approximate $9,000 per year in energy savings at current utility rates. The payback would be about 28 years. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 $260,500 City of Bozeman 79 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF171 DEPARTMENT FACILITY MGMT. PROJECT NAME CITY HALL SITE DRAINAGE ON WEST SIDE OF BUILDING FY15 $11,500 FY16 Unscheduled DESCRIPTION OF PROJECT The drainage on the west side of the building at City Hall needs some re-grading to properly drain the lot. The roof drain and melting snow is ponding in the lot and accumulates in the ADA parking spot. Water needs to be diverted from the area from the public building entrance to the south. The work will involve removal of pavement, regrading, and repaving in order to drain properly. So concrete aprons may need to be added along the edge of the building to aid drainage. The water build up is starting to impact the use of the lot with large pools of water and ice problems in the winter. ALTERNATIVES CONSIDERED Phase II and Phase III improvements for City Hall are already listed in the Capital Improvements Budget. This work could be added into one of those phases. ADVANTAGES OF APPROVAL Proper drainage of the lot will reduce water ponding and during the winter icing in the lot. It will make the building access safer and improve the layout of the ADA parking space on the west side of the building. It will also improve employee access to the building so they don’t have to wade through the water accumulation. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Proper drainage will reduce the amount of time needed to make sure there is safe building access from the staff parking lot and reduce the risk of slip and falls. Proper drainage will also mean less hand shoveling and less sand and salting of the lot. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 80 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF181 DEPARTMENT RECREATION PROJECT NAME Swim Center deck tile replacement FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The tile on the Bozeman Swim Center’s deck is the original tile. The grout has worn away in many places and the tile is cracked in many places. The tile pattern was a special order tile when the pool was constructed and we have none left. Replacement with a current, non-skid tile will not only increase the visual appeal of the facility, but will help reduce the number of slips that occur at the facility. This project would reduce some of the current maintenance burdens (PM01) and mitigate some of the items contained in Risk Management reports - Aquatics Facilities (PM06). ALTERNATIVES CONSIDERED Replace the deck in four sections, north($23,500), south($23,500), east($81,000) and west($70,000) deck. With the first deck being the east deck. ADVANTAGES OF APPROVAL Increase safety by installing non-skid tile ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund New Replacement Equipment Project FY17 $198,000 FY18 FY19 City of Bozeman 81 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF182 DEPARTMENT RECREATION PROJECT NAME Swim Center Expansion FY15 FY16 Unscheduled $1,200,000 DESCRIPTION OF PROJECT The Swim Center expansion will increase the size of the lobby, create a secure front desk space, provide for private(Family) ADA changing rooms, bring all entrances up to current federal ADA codes, add a teaching/birthday party room, and provide office space for staff. This project would reduce some of the current maintenance burdens (PM01) and mitigate some of the items contained in Risk Management reports - Aquatics Facilities (PM06). ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL This project will provide space to meet the current needs and use of the Swim Center ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 82 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF186 DEPARTMENT FACILITY MGMT. PROJECT NAME Replace Entrance Locks at the Professional Building with Fob Units. FY15 FY16 $12,000 Unscheduled DESCRIPTION OF PROJECT There are 6 main entrance doors at the Professional Building on the south, north, and west sides of the building. The current door locks would be replaced with the radio frequency fob locks that are being used for other city buildings. It might be good to move this installation up to FY 15. There is more activity and this would help with some of the concerns that have come up with the doors getting locked in the evening with the activities related to the MSU Computer Training Lab in the basement of the building. ALTERNATIVES CONSIDERED Stay with the existing key locks. ADVANTAGES OF APPROVAL Replacement of the key locks with fobs would be consistent with the other locks that have been installed on all new city projects. This is one of the last primary city buildings that is not equipped with the fob units. These locks would allow for easier access for the various employees and multiple departments that occupy the building. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% general fund unless the building department fund would be charged separately for a portion of the cost. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 83 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF187 DEPARTMENT FACILITY MGMT. PROJECT NAME Replace Worn Siding on the Bozeman Senior Social Center FY15 $26,250 FY16 Unscheduled DESCRIPTION OF PROJECT The original siding on the Senior Center is wide flat boards installed in a clap board pattern. The board are showing signs of wear and many are split and exposing the underlayment. Areas of the building that were damaged in the 2010 hail storm were resided with a cement based siding that is more durable. While the current siding does add character to the building it will be difficult to replace or refinish and the proposed material will be more durable. Addition work is being included in the CIP requests for exterior work on the building. Other areas of the building are in need of repair due to the age and condition of the materials. ALTERNATIVES CONSIDERED Repair, replace, and repaint the existing wide board siding. ADVANTAGES OF APPROVAL Install a more durable type of siding that will seal the building envelope and provide for a material that will have a longer life. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Long term maintenance costs will be reduced. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 84 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF188 DEPARTMENT FACILITY MGMT. PROJECT NAME Replace Boiler at Bozeman Senior Center FY15 $18,500 FY16 Unscheduled DESCRIPTION OF PROJECT There are two hot water boilers at the Bozeman Senior Social Center. One boiler was replaced about 3 years ago. The other boiler from about 1989 is now assigned as a back-up boiler. The older unit is having problems firing and will often not come on. The boiler would be replaced with a high efficiency combustion boiler and the other unit would then be used as the back-up unit. In checking with some heating contractors there is a benefit to replacing both boilers with more efficient and properly sized boilers. There have been some other additions to the building and it would be good to upgrade the entire heating system especially since the mechanical control systems have been recently upgraded. Replacing both boilers would increase the cost to $32,000.00. ALTERNATIVES CONSIDERED Work is being done right now on the old unit to get the venting and firing to function property so that we can continue to use the unit for awhile. Another option would be to put in three multiphase boilers similar to the system that we have at the Bozeman Public Library. This thee unit system is highly efficient and provides better heating back-up should one of the boilers fail to operate for some reason. Cost for a three unit system would be $36,000.00. ADVANTAGES OF APPROVAL Replacing the older unit will give us a reliable more cost effective boiler which will help with both comfort levels (PM04) and efficiency. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Reduced maintenance and operating costs from less energy use. FUNDING SOURCES 100% general fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 85 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF189 DEPARTMENT FACILITY MGMT. PROJECT NAME Refinish the Roof on the Green Storage Building at the Shop Complex FY15 $39,900 FY16 Unscheduled DESCRIPTION OF PROJECT The Green Building used for vehicle and equipment storage has a metal roof that is has been leaking at the seams of the metal panels. The interior ceiling shows lots of areas where leaks are occurring. There is a new technique where a plasticized material is sprayed on the roof which will seal all the seams and cover the existing metal roof material. The roof is power washed, seams are sealed and the spray material is applied. ALTERNATIVES CONSIDERED Remove and replace all the existing metal roof panels. There is also an option of spraying on a layer of insulation and then spraying on the roof finish. Rather than applying the insulation on the roof, once the roof is sealed the insulation on the ceiling and some ventilation for condensation will need to be installed. ADVANTAGES OF APPROVAL The spray on material will cost less than removing all the panels which are showing no signs of rusting. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED As mentioned after the roof is sealed, he ceiling of the building will need to be removed and new insulation and sheet rock will need to be installed. FUNDING SOURCES General Fund and other departments that occupy the shop complex and store equipment in the building could be charged for the cost of the repairs. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 86 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF190 DEPARTMENT PARKS PROJECT NAME 4-Wheeler ATV Replacement FY15 FY16 Unscheduled $14,000 DESCRIPTION OF PROJECT Replace the ATV (2000 Yamaha Grizzley) used for sidewalk snow removal and is the main piece of equipment that is used to spray approx 300 acres with herbicides and biostimulants for the Parks Division. ALTERNATIVES CONSIDERED Continue to use the 2000 Yamaha Grizzley and repair as needed. ADVANTAGES OF APPROVAL Maximize efficiency, minimize down time, proactive replacement of aging equipment. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Routine maintenance FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 87 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF191 DEPARTMENT PARKS PROJECT NAME Upgrade of Softball Complex Lighting FY15 FY16 Unscheduled $825,000 DESCRIPTION OF PROJECT Replace the current lights at the Softball Complex with appropriate stadium lights. Estimate provided by MUSCO, would be bid at the time of construction. Existing lights have light spillage and this is the only way to make the lights Dark Skies Compliant. ALTERNATIVES CONSIDERED Keep existing lights ADVANTAGES OF APPROVAL The new lights can offer 50% less light spillage and glare and reduce energy costs by up to 50%. Additionally, upgraded lights could help to reduce or eliminate complaints regarding light pollution. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Reduction in electrical use. FUNDING SOURCES 100% General Fund, or fundraising by user groups - Cost estimates range from $750,000 to $825,000 in August 2012. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 88 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF192 DEPARTMENT RECREATION PROJECT NAME Bozeman Swim Center Ceiling Tile Replacement FY15 $40,000 FY16 Unscheduled DESCRIPTION OF PROJECT This Project will replace all of the ceiling tiles above the pool at the Bozeman swim Center. Most of the tiles are from the original construction. They have lost their reflective ability, limiting the amount of light reflected down into the pool. Replacement of the tiles will increase the visibility on the bottom of the pool and increase public safety thereby mitigating an element of Risk Management reports - Aquatics Facilities (PM06). ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Increase safety of swimmers by reflecting more light off the ceiling tiles. This will also increase the aesthetics of the facility. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 89 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF194 DEPARTMENT PARKS PROJECT NAME Park Entrance Signs FY15 $10,000 FY16 $10,000 Unscheduled DESCRIPTION OF PROJECT Project to replace existing park signs and add park entrance signs where none currently exist with an updated, identifiable, uniform, maintenance-free park sign. This project would provide for approximately 5 double-sided signs per year. ALTERNATIVES CONSIDERED Continue to make our own wooden routered park signs. ADVANTAGES OF APPROVAL A uniform signing system creating easily identifiable park properties, continuity, and reduction in labor costs due to constant upkeep of our wooden signs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 $10,000 FY18 $10,000 FY19 $10,000 City of Bozeman 90 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF195 DEPARTMENT PARKS PROJECT NAME Aerator FY15 FY16 Unscheduled $17,000 DESCRIPTION OF PROJECT An additional aerator into Parks and Recreation inventory of turf equipment. This would be used to maintain the 125 acres of turf in the park inventory. ALTERNATIVES CONSIDERED Continue to operate with one aerator. ADVANTAGES OF APPROVAL Proactively and aggressively aerate parks and sports fields within the City to create a finer and healthier product. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 91 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF196 DEPARTMENT I.T. PROJECT NAME New Cooling Unit for Professional Building Data Center FY15 $35,500 FY16 Unscheduled DESCRIPTION OF PROJECT Replace the current APC cooling system in the professional building Data Center. > ALTERNATIVES CONSIDERED Keep using the current 10 year old system and spend $6,000 to replace bearings. ADVANTAGES OF APPROVAL We would have a system that is properly sized for the room and heat load. It would be a redundant system that would allow failover in the event that one of the unit fails. The new system would be more energy efficient. We have had to put money into the unit multiple times over the last year and we are looking at a sizable expenditure now to keep using this unit going forward. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED 1 Year warranty out of the gate with roughly $100 per year for Freon replacement and maintenance. Repairs and issues beyond basic maintenance after the first year would have to be paid at that time. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 92 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF197 DEPARTMENT I.T. PROJECT NAME Microsoft Office Version Upgrade to Office 2013 FY15 $88,000 FY16 Unscheduled DESCRIPTION OF PROJECT Licenses with Software Assurance program. ;Certain vendors are asking us to upgrade our software version. ;We are currently using Microsoft Office 2007. ;This needs to be accomplished in FY15 or FY16. ALTERNATIVES CONSIDERED Microsoft Cloud System Office 365. $8,000 ongoing/year; We haven't fully investigated this option and have concerns about meeting our discovery and records retention requirements. ADVANTAGES OF APPROVAL A coordinated migration to Office 2013 that can be occur during planned roll-out. Less disruption to the organization. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 93 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF198 DEPARTMENT FACILITY MGMT. PROJECT NAME SENIOR SOCIAL CENTER FIRE SPRINKLER UPGRADES FY15 $17,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replace the existing ½ inch sprinkler lines with the current code requirement of 1 inch lines. An annual inspection and testing of fire sprinkler systems is required. The person that conducted the inspections the last time pointed out the some of the individual sprinkler heads did not have the right size of pipe. Code requires that the piping for the sprinkler heads be 1 inch diameter. The individual heads were put in with only ½ inch lines. This work will change out the smaller diameter sprinkler head supply lines with the code compliant size lines. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL The replacement of the current lines with larger diameter lines will bring the system up to current code standards. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional costs for the proper size lines. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 94 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF199 DEPARTMENT FACILITY MGMT. PROJECT NAME CARPET REPLACEMENT MAIN FLOOR PROFESSIONAL BUILDING FY15 $14,000 FY16 Unscheduled DESCRIPTION OF PROJECT Hallway carpet on the main floor of the Professional Building is starting to show wear. Also there have been problems with static build up causing problems with computer use. New carpet will be static free. Most of the carpet areas are the hallways by the offices for Planning and Engineering. ALTERNATIVES CONSIDERED Replace small sections of carpet a little at a time over multiple years to work from standard budget verses CIP money. ADVANTAGES OF APPROVAL Replace worn carpet with static free carpet. Maintain the character of the building and offices and avoid trip hazards from worn carpet areas. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Standard costs for annual carpet cleaning, but no added costs for static guard application. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 95 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF200 DEPARTMENT FACILITY MGMT. PROJECT NAME BOZEMAN SENIOR CENTER RESTROOM VENTALATION FY15 $14,000 FY16 Unscheduled DESCRIPTION OF PROJECT Install a ventilation system for the four restrooms located at the Bozeman Senior Social Center. The work will include the needed ducting, fan systems, and occupancy sensors to turn the fans on and off at the appropriated times for both operation and energy efficiency. ALTERNATIVES CONSIDERED Individual fan system verses the proposed unit system that will accommodate all 4 restrooms. ADVANTAGES OF APPROVAL Ventilation will improve the condition and comfort of the restrooms and move closer to current code requirements. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Some additional electrical costs and maintenance costs for the equipment and system. The work will include installation of occupancy sensors to limit the time the equipment will be running when the restrooms are not in use or the building is closed. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 96 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF201 DEPARTMENT FACILITY MGMT. PROJECT NAME FIRE STATION #2 SIDING REPLACEMENT FY15 $24,000 FY16 Unscheduled DESCRIPTION OF PROJECT The exterior of Fire Station #2 is showing signs of aging. Improvements have already been done on parts of the building – re- roof due to hail damage, and replacement of windows and doors due to age and for improved energy efficiency. Now that the windows are replaced it will be a good time to replace the building siding. ALTERNATIVES CONSIDERED None identified at this time. ADVANTAGES OF APPROVAL Replacement of the siding will improve the appearance of the building and stabilize the rest of the building envelope. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The proposed siding is a cement based material that is pre-colored. This will be a durable materials and reduce the amount of repainting that will need to be done to maintain the condition of the material. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 97 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF202 DEPARTMENT FACILITY MGMT. PROJECT NAME INSTALL IRRIGATION SYSTEM AND COMPLETE SITE LANDSCAPING FOR THE LOWER YARD FY15 $15,500 FY16 Unscheduled DESCRIPTION OF PROJECT The Lower Yard Area (located at 1812 N. Rouse) was renovated for the Vehicle Maintenance Facility and the HRDC Bus Barn, including the Sand Shed on E Griffin Drive. The site improvement work was not done in this first phase of construction. This work will include the installation of a sprinkler irrigation system that uses well water for a water source. The work will include landscape planting to complete the balance of the required site improvements. The design for both projects is complete so the work will be for the actual installation of the system and plantings. ALTERNATIVES CONSIDERED The Street Department has agreed to pay for a portion of the project since Vehicle Maintenance is under their department. ADVANTAGES OF APPROVAL This work will address the needed site improvements required by the Planning Department. Work was scheduled for later until we knew what the final design layout was for the planned improvements on North Rouse by the MT Dept. of Transportation. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The source of water will be from a well which has been installed. This will keep the water costs down. We will look at a good deal of native landscaping which will help reduce the initial costs and overall site maintenance costs. FUNDING SOURCES 100% General Fund from Facilities and some money from the Street Department. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 98 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF203 DEPARTMENT FACILITY MGMT. PROJECT NAME BOZEMAN SENIOR SOCIAL CENTER EXTERIOR ENVELOPE IMPROVEMENTS. FY15 $38,500 FY16 Unscheduled DESCRIPTION OF PROJECT Due to the age and condition of the Bozeman Senior Social Center building a number of exterior materials will be replaced. Work will include the replacement of the rough board siding with cement based clapboard siding. The soffit area of the building is open in many areas and lots of birds have been getting into the attic areas. New fascia boards and soffit boards will be installed. The gutter sections are leaking and torn on many areas of the building. The entrance columns on the northeast entrance of the building are also starting to rot out and will be replaced. There is foam material on the foundation area of the building that is broken and not providing the needed moisture protection. This will also be replaced. ALTERNATIVES CONSIDERED Phasing the various repairs over time will increase the cost as some things need to be done before other work is done. For example replacing the fascia boards before the gutter system is installed. Replacing the soffits before the fascia boards are installed. One other consideration would be upgrading some of the single glazed windows with more energy efficient windows before the siding is installed. ADVANTAGES OF APPROVAL Now that the building is over 30 years old, the repairs will address the deterioration of the building exterior envelope. The roofing was all replace due to the 2010 hail damage. The west side of the building was also resided due to hail damage and the proposed replacement materials will match what has already been upgraded on the building. In addition to improving the overall appearance of the building, the new materials will have a longer life expectancy and protect the condition of the building. There has been some water leaking in through the windows in the basement. The gutters will be set up so that the water from the roof does not drain into the window wells keeping the water from getting into the building. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The new materials will have a longer projected life expectancy. We will step up the ongoing maintenance and requirements for painting when needed. FUNDING SOURCES 100% General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 99 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF205 DEPARTMENT PARKS PROJECT NAME PROST Plan update FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Update the 2007 Parks Recreation Open Space Trail (PROST) Plan. The current plan is nearing 10 years old. Since adoption, the city has grown in size, new park properties have come into the system, and local demographics may have changed. This project anticipates hiring an outside party to update the Plan. If funded in FY17, the Community Plan update will have occurred, and much of the Parks Trails bond will likely be allocated. ALTERNATIVES CONSIDERED Do not update the plan. ADVANTAGES OF APPROVAL The update would record and reference new and accurate information that has been developing over the last 10 years. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES General Fund New Replacement Equipment Project FY17 $100,000 FY18 FY19 City of Bozeman 100 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF206 DEPARTMENT PARKS PROJECT NAME BRONKEN PARK SIDEWALK FY15 FY16 Unscheduled DESCRIPTION OF PROJECT INSTALLATION OF NEW SIDEWALK FOR PEDESTRIAN TRAFFIC BETWEEN DURSTON AND CLASSICAL WAY, ALONG COTTONWOOD ROAD. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Safe pedestrian travel for park users and vehicle traffic. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES General Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 101 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF207 DEPARTMENT PARKS PROJECT NAME CityWorks Hardware FY15 $45,000 FY16 Unscheduled DESCRIPTION OF PROJECT Implementation of the CityWorks program for Parks work-orders and infrastructure tracking. In FY 14 Parks paid the licensing fee and now is ready to integrate into the system. ;This project includes ruggedized tablets, staff training, and other related costs. If approved, tentatively scheduled for the fall of 15. ALTERNATIVES CONSIDERED Continue with not using CityWorks ADVANTAGES OF APPROVAL Integrate the Parks Division into the program that is being used by a vast majority of other divisions. Precise tracking of work orders and asset management. Better, more efficient deployment of parks workers and crews. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Hardware upgrades. FUNDING SOURCES General fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 102 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF208 DEPARTMENT PUBLIC SERVICES (GIS) PROJECT NAME ASSET MANAGEMENT SOFTWARE FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Managing infrastructure efficiently continues to be one of the top priorities and goals of the Bozeman City Commission. Asset management software will build upon existing datasets and systems to assist in delivering the desired level of service for the lowest life cycle cost. Advanced applications are necessary to analyze condition information and criticality to identify and coordinate overlaps and gaps among various assets. ALTERNATIVES CONSIDERED Continue managing data and workflow using manual processes with limited potential for effective analysis. ADVANTAGES OF APPROVAL Using technology to support long term capital planning will aid in rehabilitation/repair/replacement decisions and ultimately result in a prolonged asset lifespan. A fully developed asset management program will assist the organization in continuing to deliver a high level of service in the most sustainable way possible. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Maintenance (first year included) = $8,000 FUNDING SOURCES General Fund New Replacement Equipment Project FY17 $50,000 FY18 FY19 City of Bozeman 103 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF209 DEPARTMENT RECREATION PROJECT NAME Lindley Center Full Upgrade: Restrooms, Windows, Siding, Basement, Kitchen, Roof FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This project is the combination of requests for upgrade fo the Restrooms ($50,000), Building Envelope ($22,000), Window Replacement ($22,000), Siding Replacement ($24,000), Kitchen Upgrade ($50,000), and East Roof Insulation ($24,000). This is a heavily used community center that could benefit from substantial improvements. ALTERNATIVES CONSIDERED As suggested by the Commission ADVANTAGES OF APPROVAL 1. Brings restroom up to current ADA requirements; 2. Brings restroom up to current City of Bozeman building codes; 3. Improves sanitation in the restooms and kitchen facilities; 4. Rehabs and secures the building envelope for years to come; 5. Reduced energy consumption from improved windows and insulation. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 $192,000 FY18 FY19 City of Bozeman 104 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF216 DEPARTMENT RECREATION PROJECT NAME 12 Passenger Van FY15 FY16 $15,000 Unscheduled DESCRIPTION OF PROJECT The Parks and Recreation Department has no participant transportation options between our facilities and to offsite program areas. ;The Recreation Division continues to expand programs that will utilize offsite locations and needs to be able to transport participants and supplies. Currently, the YMCA trades the Recreation Department transportion services of program participants in exchange for pool use. ALTERNATIVES CONSIDERED Rent vans. Contract for other transportation option. Continue with the YMCA, if they are available. ADVANTAGES OF APPROVAL Expanded program options and potential revenue, participant safety when offsite i.e. if a storm rolls in, we could transport kids to indoor locations. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Routine maintenance FUNDING SOURCES General Fund, potential sponsorship with local service organization. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 105 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF217 DEPARTMENT RECREATION PROJECT NAME Beall Furnace Replacement FY15 $23,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replace two furnaces with one high efficiency condensing furnace that will provide combustion air from outside. It was discovered during the 2012 Facility Condition Inventory that there is currently no combustion air coming into the furnace space and addressing this concern was identified as a high priority. Project includes engineering plans. ALTERNATIVES CONSIDERED Keep existing furnace and try to address ventilation issue. ADVANTAGES OF APPROVAL Increase public and staff safety and energy efficiency ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Routine Maintenance FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 106 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF218 DEPARTMENT ENGINEERING PROJECT NAME Landfill Gas Remediation System FY15 $1,700,000 FY16 Unscheduled DESCRIPTION OF PROJECT Installation of a new gas remediation system at the old Story Mill landfill. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Loan, paid back by the City's General Fund. The sale of North Park Property could also provide some of the funds to repay the loan. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 107 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF219 DEPARTMENT FACILITY MGMT. PROJECT NAME Addition to City Hall, consolidation of services. FY15 FY16 Unscheduled $5,500,000 DESCRIPTION OF PROJECT This project would relocate the functions currently housed in the Stiff Building (Community Development/Engineering/IT/Building Inspection) into an expansion of City Hall on Lamme Street. ALTERNATIVES CONSIDERED Keep operations at the Stiff Building. ADVANTAGES OF APPROVAL Centralizing more services in one location at City Hall. Staff and citizens spend time migrating between the buildings. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED The new facility should have lower operating costs than the Stiff Building. FUNDING SOURCES Potential Funding Sources include: General Fund, Enterprise Fund (for public works), Building Inspection Fund (Building Inspection Division), sale of the Stiff Building. This is a very rough estimate, based on building square footage and current construction costs. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 108 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF220 DEPARTMENT PARKS PROJECT NAME Bozeman Pond Infrastructure & Improvements (TOP Project) FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This item is a place holder, with UNKNOWN costs. Because of the timing of the CIP and the TOP application (coming forward at the same time), we do not have details. Should the original application, and/or amount approved from the TOP Bond Fund not be enough to complete the project, the General Fund could be relied upon. ALTERNATIVES CONSIDERED Unknown at this time. ADVANTAGES OF APPROVAL Completion/better functioning park land. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Unknown FUNDING SOURCES Portion of the TOP Bond Fund, general fund, in-kind and cash donation, other. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 109 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER GF221 DEPARTMENT PARKS PROJECT NAME Sports Complex Infrastructure & Improvements (TOP Project) FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This item is a place holder, with UNKNOWN costs. Because of the timing of the CIP and the TOP application (coming forward at the same time), we do not have details. Should the original application, and/or amount approved from the TOP Bond Fund not be enough to complete the project, the General Fund could be relied upon. ALTERNATIVES CONSIDERED Unknown at this time. ADVANTAGES OF APPROVAL Completion/better functioning park land. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Unknown. FUNDING SOURCES Portion of the TOP Bond Fund, general fund, in-kind and cash donations, other. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 110 Capital Improvement Plan FY2015-FY2019 CIP Project Fund General Fund PROJECT NUMBER PW01 DEPARTMENT PARKS/FAC. MGMT. PROJECT NAME SHOPS FACILITY EXPANSION PLAN FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The construction of the new Vehicle Maintenance Shop at the Lower Yards on Rouse Avenue in FY10/FY11 was Phase I in expanding and improving our ability to service equipment, store vehicles, and provide work space for Public Works, Parks, and Facilitiy services. Questions remain about the long-term plan for construction, location, and expansion for: Streets, Sign & Signal, Forestry, Water/Sewer Operations, Solid Waste Collection & Recycling, Facilities, and Parks & Cemetery departments. This project would develop a master plan. In scheduling this project, we are recommending waiting until after the Vehicle Maintenance Division is relocated to its new shop and the interior improvements are made to the Shop at Rouse and Tamarack Street for the remaining divisions. ALTERNATIVES CONSIDERED Most of the reconfiguration for the existing buildings is now complete. Also the improvements for the Laurel Glen building are complete. This work would access future needs for the departments at the current Shop location at 814 N. Bozeman. We could also determine whether there is space for additions at both the 814 N. Bozeman location and the new Vehicle Maintenance building site at 1812 N. Rouse. ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES From related divisions: General Fund 20% ($10,000), Water Fund 20% ($10,000), Wastewater Fund 20% ($10,000), Street Maintenance Fund 20% ($10,000), Solid Waste Fund 20% ($10,000). New Replacement Equipment Project FY17 $12,000 FY18 FY19 City of Bozeman 111 Capital Improvement Plan FY2015-FY2019 Li b r a r y  De p r e c i a t i o n  Re s e r v e  Fu n d   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 38 5 , 6 0 0 $                 34 4 , 2 2 0 $                       32 5 , 6 2 0 $                 31 0 , 9 2 0 $             291,526 $               307,444 $              Pl u s :    Es t i m a t e d  An n u a l  Un s p e n t  Ap p r o p r i a t i o n s ‐ $                                 15 , 0 0 0 $                           15 , 3 0 0 $                     15 , 6 0 6 $                   15,918 $                     16,236 $           ‐$                        Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (4 1 , 3 8 0 ) $                   (3 3 , 6 0 0 ) $                         (3 0 , 0 0 0 ) $                   (3 5 , 0 0 0 ) $               ‐ $                                 ‐$                  ‐$                     Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 34 4 , 2 2 0 $                 32 5 , 6 2 0 $                       31 0 , 9 2 0 $                 29 1 , 5 2 6 $             307,444 $               323,681 $           As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Es t i m a t e d  An n u a l  Li b r a r y  Bu d g e t   1, 5 0 0 , 0 0 0 $                     1, 5 3 0 , 0 0 0 $             1, 5 6 0 , 6 0 0 $           1, 5 9 1 , 8 1 2 $             1,623,648 $         Es t i m a t e d  Am o u n t  of  Bu d g e t  le f t  Un u s e d 1% 1% 1% 1%1% Es t i m a t e d  An n u a l  Un s p e n t  Ap p r o p r i a t i o n s 15 , 0 0 0 $                                 15 , 3 0 0 $                       15 , 6 0 6 $                       15,918 $                         16,236 $               Cu r r e n t  Bu d g e t  Am o u n t  De d i c a t e d  to  CI P  % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Ca p i t a l  Im p r o v e m e n t s  % 0. 0 % 0. 0 % 0. 0 % 0.0%0.0%    To t a l  % De d i c a t e d  to  CI P 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 15 , 0 0 0 $                                 15 , 3 0 0 $                       15 , 6 0 6 $                       15,918 $                         16,236 $               40 , 0 0 0 35 , 0 0 0 30 , 0 0 0 25 , 0 0 0 20 , 0 0 0 15 , 0 0 0 10 , 0 0 0 5, 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Li b r a r y  De p r e c i a t i o n  Fu n d  Pr o j e c t s  & Eq u i p m e n t Ci t y of Bo z e m a n 11 2 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Li b r a r y   De p r e c i a t i o n   Re s e r v e LI B 0 6 LI B R A R Y PU B L I C  PC / L A P T O P  RE P L A C E M E N T S $3 5 , 0 0 0 LI B 0 8 LI B R A R Y RE F U R B I S H  RO O M  TE X T I L E S :  VA R I O U S   WI N D O W  SH A D E S ,  FU R N I T U R E ,    CA R P E T . $2 0 , 0 0 0 LI B 0 9 LI B R A R Y BA N N E R  RE P L A C E M E N T ,  LI B R A R Y   EX T E R I O R $2 0 , 0 0 0 LI B 1 0 LI B R A R Y WA I N S C O T I N G  – AD D E D  TO  ME E T I N G   RO O M S ,  RE S T R O O M  AR E A S $1 0 , 0 0 0 LI B 1 1 LI B R A R Y RE F U R B I S H  AN D  RE P L A C E  LI B R A R Y  CH A I R S $1 3 , 6 0 0 LI B 1 2 LI B R A R Y PE D E S T R I A N  AC C E S S  ‐   LI B R A R Y  PA R K I N G   LO T Su m m a r y  f or    Li b r a r y  De p re c i a t i o n  Re s e r v e  (6  it e m s ) To t a l s  by  ye a r : $3 3 , 6 0 0 $ 3 0 , 0 0 0 $ 3 5 , 0 0 0 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 FY 1 8 Ci t y of Bo z e m a n 11 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB06 DEPARTMENT LIBRARY PROJECT NAME PUBLIC PC/LAPTOP REPLACEMENTS FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The Library provides 28 public computers in a lab setting as well as 5 checkout laptops. These devices will have been in place with daily use for 5 years with multiple re-imaging and upgrades. ALTERNATIVES CONSIDERED Alternatively, the computers and laptops will be pushed for an additional year. ADVANTAGES OF APPROVAL Keeping a public service up to date with technology. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Library Depreciation Fund New Replacement Equipment Project FY17 $35,000 FY18 FY19 City of Bozeman 114 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB08 DEPARTMENT LIBRARY PROJECT NAME Refurbish Room textiles: Various Window Shades, Furniture, Carpet. FY15 $20,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project will replace Community Room &amp; Montana Room window shades which are now broken and fail to reduce light ($11,000). We will also add window shades in Childrens Department Head’s office to help with more productive use of the space for staff (reducing computer glare, etc.) The project will also Reupholster Children’s furniture, where the Children’s 2 sofas and chairs are threadbare from extensive use ($4,000). We will also replace the Montana Room Carpet, which has many worn spots. ($5,000). ALTERNATIVES CONSIDERED Keep the existing shades, furniture and carpet. We have investigated the feasibility of buying new furniture - but the existing furniture is of high quality, just in need of recovering. ADVANTAGES OF APPROVAL These repairs will keep the Library updated, attractive and useful to our patrons. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES 100% Library Depreciation Reserve New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 115 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB09 DEPARTMENT LIBRARY PROJECT NAME Banner Replacement, Library Exterior FY15 FY16 $20,000 Unscheduled DESCRIPTION OF PROJECT The colorful banners that hang on the front of the Library’s exterior are a key focal point for the Library and an important part of its beauty. The banners will be ten years old in FY16 and are showing the effects of weather. We would like to be able to replace them before they become worn and shabby. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Replacing the banners in a timely manner will keep the Library’s appearance up and maintain its beauty. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Library Depreciation Reserve New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 116 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB10 DEPARTMENT LIBRARY PROJECT NAME Wainscoting – added to meeting rooms, restroom areas FY15 FY16 $10,000 Unscheduled DESCRIPTION OF PROJECT Add wainscoting to the meeting rooms’ walls and to the hallway in the public restroom area, off of the lobby, to prevent scarring and gouging of the walls. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL The walls are damaged accidentally by chairs, tables, wheelchairs and routine activity. The wainscoting would prevent damage to the plaster and protect the paint on the walls. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Library Depreciation Reserve New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 117 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB11 DEPARTMENT LIBRARY PROJECT NAME Refurbish and Replace Library Chairs FY15 $13,600 FY16 Unscheduled DESCRIPTION OF PROJECT The 12 task chairs are from the old library and are worn out; we are getting frequent patron complaints on the worn seats and upholstery on the 2nd floor and Teen Room work chairs. Replace 12 task chairs ($3600); reupholster 15 2nd-floor and Teen Room chairs ($10,000, est.) ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL We will provide more comfortable, functional and attractive seating to our Library customers while keeping the appearance of the Library’s interior up to date. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Library Depreciation Reserve New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 118 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Library Depreciation Reserve PROJECT NUMBER LIB12 DEPARTMENT PROJECT NAME Pedestrian Access - Library Parking Lot FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Installation and re-construction of pedestrain-friently features in the Library Parking lot. Patrons parking on the west side of the parking lot have to cross through vehicle traffic and around curbing/medians to access the Library entrance. In addition, proposed renovations of the old Harrington Building ajacent to the Library have included adding a pedestrian pathway, crossing from Wallace to the Library parking lot. This improvement to pedestrian access to the parking lot is expected to have consequences for how many people will be crossing through this heavily used lot. Accessability requirements for line-of-travel and the need to navigate the existing curbs are a concern. Some parking spaces may have to be eliminated. Will require re-design of the parking lot (a Facilites Management General Fund request) with construction costs coming from the Library Depreciation Reserve. Without design work completed, Costs are UNKNOWN at this point. ALTERNATIVES CONSIDERED Leave parking lot configuration the way it is - without a pedestrian path from Wallace. ADVANTAGES OF APPROVAL Improved safety for pedestrians trying to access the Library or cross the library property. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES Library Depreciation Reserve New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 119 Capital Improvement Plan FY2015-FY2019 MT A P  ‐   Co m m u n i t y  Tr a n s p o r t a t i o n  En h a n c e m e n t  Pr o g r a m  (C T E P ) Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 40 3 , 1 9 3 $                 32 8 , 7 0 8 $                       13 0 , 7 3 7 $                 45 , 8 8 8 $                   45,888 $                     45,888 $                Pl u s :    An n u a l  Fe d e r a l  Al l o c a t i o n  (8 6 . 5 8 % ) ‐ $                                 ‐ $                                         ‐ $                                 ‐ $                               ‐ $                                 ‐$                      Pl u s :    Ma t c h  Re q u i r e d  fr o m  Ge n e r a l  Fu n d  (1 3 . 4 2 % ) 30 , 5 1 5 $                     28 , 7 1 9 $                           13 , 1 5 2 $                     ‐ $                               ‐ $                                 ‐$                  ‐$                        Pl u s :    Ma t c h  Re q u i r e d  Ot h e r  (1 3 . 4 2 % )    Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (1 0 5 , 0 0 0 ) $             (2 2 6 , 6 9 0 ) $                     (9 8 , 0 0 0 ) $                   ‐ $                               ‐ $                                 ‐$                    Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 32 8 , 7 0 8 $                 13 0 , 7 3 7 $                       45 , 8 8 8 $                     45 , 8 8 8 $                   45,888 $                     45,888 $             As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Es t i m a t e d  An n u a l  CT E P  Al l o c a t i o n  ‐ $                                             ‐ $                                     ‐ $                                   ‐ $                                     ‐$                        Pl u s :    Es t i m a t e d  In c r e a s e / D e c r e a s e  in  Fe d e r a l  Al l o c a t i o n 0% 0% 0% 0%0% To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P ‐ $                                             ‐ $                                     ‐ $                                   ‐ $                                     ‐$                     NE W :    Th i s  pr o g r a m  ha s  ch a n g e d  at  th e  Fe d e r a l  Level.  We  no  longer  receiv e l l l i W id bi li i h Pr o j e c t e d Pr o j e c t e d an  an n u a l  al l o c a t i o n .    We  ar e  no w  re q u i r e d  to  submit  applications  to  th e S ta t e  an d  co m p e t e  fo r  fu n d i n g ,  un d e r  th e  "M T A P "  program . We  ha v e  a  re m a i n i n g  ba l a n c e  of  pr e v i o u s  CT E P  allocation  that  must  be   al l o c a t e d  to  pr o j e c t s  by  Se p t e m b e r  20 1 5 . No t e :    Th e s e  mo n i e s  ar e  NO T  in  th e  cu s t o d y  of  the  City  of  Bozeman.  They  are  a Fe d e r a l  al l o c a t i o n  of  Ga s  Ta x  Do l l a r s  th a t  ar e  he l d  in  an  account  at  the  State  an d re i m b u r s e d  to  th e  Ci t y  fo r  st a t e ‐ap p r o v e d  pr o j e c t s . Pr o j e c t s  mu s t  me e t  Mo n t a n a  De p a r t m e n t  of  Tr a n s p o r t a t i o n  and  other   Fe d e r a l  re q u i r e m e n t s .    25 0 , 0 0 0 20 0 , 0 0 0 15 0 , 0 0 0 10 0 , 0 0 0 50 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Ci t y  of  Bo z e m a n  CT E P  Pr o j e c t s  & Eq u i p m e n t Ci t y of Bo z e m a n 12 0 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 CT E P / M T A P CT 0 0 2 EN G I N E E R I N G IN S T A L L  SI D E W A L K  AL O N G  SO U T H  SI D E   OF  OA K ,  EA S T  OF  25 T H $2 8 , 0 0 0 CT 0 0 3 EN G I N E E R I N G IN S T A L L  SI D E W A L K  AL O N G  SO U T H  SI D E   OF  TS C H A C H E  RO A D  AL O N G  TH E  RO S E   PA R K  FR O N T A G E . $1 6 , 0 0 0 CT 0 0 4 EN G I N E E R I N G IN S T A L L  SI D E W A L K  AT  CE N T E N N I A L  PA R K $3 5 , 0 0 0 CT 0 0 5 EN G I N E E R I N G IN S T A L L  SI D E W A L K  AL O N G  OA K  ST R E E T ,   RO S E  PA R K  FR O N T A G E $3 5 , 0 0 0 CT 0 0 6 EN G I N E E R I N G IN S T A L L  SI D E W A L K  AL O N G  SO U T H  SI D E   OF  DU R S T O N ,  BE T W E E N  FL A T H E A D  AN D   ME A G H E R  ST R E E T S . $9 8 , 0 0 0 CT 0 0 7 EN G I N E E R I N G CT E P  WA Y F I N D I N G $1 0 0 , 0 0 0 CT 0 0 8 EN G I N E E R I N G PE D E S T R I A N  TR A I L  AL O N G  HU F F I N E   (C O T T O N W O O D  TO  FO W L E R ) CT 0 0 9 EN G I N E E R I N G PE D E S T R I A N  TR A I L  AL O N G  DU R S T O N   (L A U R E L  PA R K W A Y  TO  HA R P E R  PU C K E T ) $1 2 , 6 9 0 Su m m a r y  f or    CT E P / M T A P  (8  it e m s ) To t a l s  by  ye a r : $2 2 6 , 6 9 0 $ 9 8 , 0 0 0 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 FY 1 8 Ci t y of Bo z e m a n 12 1 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT002 DEPARTMENT ENGINEERING PROJECT NAME Install Sidewalk along South Side of Oak, East of 25th FY15 $28,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project is to install 681' of sidewalk on Oak Street along the Santa Fe Red's property line, and 191' of sidewalk along North 9th Park. Currently, no pedestrian sidewalk exists to connect the pedestrian facilities. Design will be done by City Engineers. ALTERNATIVES CONSIDERED Each year the City is allocated funds from the federal Community Transportation Enhancement Program, through the State of Montana Department of Transportation. These funds can be used for pedestrian and bicycle facilities, landscaping and scenic beautification, historic preservation, rehabilitation of historic transportation facilities, and other transportation types of enhancements. Currently City staff is working from a list of projects that were created by a steering committee and approved by the City Commission. ADVANTAGES OF APPROVAL Improves pedestrian walk-ways by connecting sidewalks in this heavily-traveled area of town. CTEP funds 86.58% of the projects with 13.42% being funded by a local match. In kind work by City staff can be considered part of the local match. This funding source allows for local transportation enhancement projects to be funded with only a portion of the cash coming from direct city dollars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES CTEP Allocation - (86.58%) and Local Match, usually coming from the General Fund (13.42%). City engineer time could be considered local match. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 122 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT003 DEPARTMENT ENGINEERING PROJECT NAME Install Sidewalk along South Side of Tschache Road along the Rose Park Frontage. FY15 $16,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project would install 395' of sidewalk where none currently exists along Tschache Road in front of Rose Park. The project would be designed by City Engineers. ALTERNATIVES CONSIDERED Each year the City is allocated funds from the federal Community Transportation Enhancement Program, through the State of Montana Department of Transportation. These funds can be used for pedestrian and bicycle facilities, landscaping and scenic beautification, historic preservation, rehabilitation of historic transportation facilities, and other transportation types of enhancements. Currently City staff is working from a list of projects that were created by a steering committee and approved by the City Commission. ADVANTAGES OF APPROVAL Improves pedestrian walk-ways by installing them near community park and trail facilities. CTEP funds 86.58% of the projects with 13.42% being funded by a local match. In kind work by City staff can be considered part of the local match. This funding source allows for local transportation enhancement projects to be funded with only a portion of the cash coming from direct city dollars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Sidewalk maintenance to be done by Parks Department. FUNDING SOURCES CTEP Allocation - (86.58%) and Local Match, usually coming from the General Fund (13.42%). City engineer time could be considered local match. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 123 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT004 DEPARTMENT ENGINEERING PROJECT NAME Install Sidewalk at Centennial Park FY15 $35,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project installs sidewalk where none currently exists along the South and West sides of Centennial Park. 352' will be installed along the park from Cottonwood Street to Grand and 343' along the park from Grand to Aspen. ALTERNATIVES CONSIDERED Each year the City is allocated funds from the federal Community Transportation Enhancement Program, through the State of Montana Department of Transportation. These funds can be used for pedestrian and bicycle facilities, landscaping and scenic beautification, historic preservation, rehabilitation of historic transportation facilities, and other transportation types of enhancements. Currently City staff is working from a list of projects that were created by a steering committee and approved by the City Commission. ADVANTAGES OF APPROVAL Improves pedestrian walk-ways by installing them near community park and trail facilities. CTEP funds 86.58% of the projects with 13.42% being funded by a local match. In kind work by City staff can be considered part of the local match. This funding source allows for local transportation enhancement projects to be funded with only a portion of the cash coming from direct city dollars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Sidewalk maintenance by Parks Department. FUNDING SOURCES CTEP Allocation - (86.58%) and Local Match, usually coming from the General Fund (13.42%). City engineer time could be considered local match. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 124 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT005 DEPARTMENT ENGINEERING PROJECT NAME Install Sidewalk along Oak Street, Rose Park Frontage FY15 $35,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project is to install an additional 560' of sidewalk along the north side of Oak Street at Rose Park. There is currently 260' of existing 5' sidewalk. ALTERNATIVES CONSIDERED Each year the City is allocated funds from the federal Community Transportation Enhancement Program, through the State of Montana Department of Transportation. These funds can be used for pedestrian and bicycle facilities, landscaping and scenic beautification, historic preservation, rehabilitation of historic transportation facilities, and other transportation types of enhancements. Currently City staff is working from a list of projects that were created by a steering committee and approved by the City Commission. ADVANTAGES OF APPROVAL Improves pedestrian walk-ways by installing them near community park and trail facilities. CTEP funds 86.58% of the projects with 13.42% being funded by a local match. In kind work by City staff can be considered part of the local match. This funding source allows for local transportation enhancement projects to be funded with only a portion of the cash coming from direct city dollars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Sidewalk maintenance by Parks Department. FUNDING SOURCES CTEP Allocation - (86.58%) and Local Match, usually coming from the General Fund (13.42%). City engineer time could be considered local match. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 125 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT006 DEPARTMENT ENGINEERING PROJECT NAME Install Sidewalk along South Side of Durston, between Flathead and Meagher Streets. FY15 FY16 $98,000 Unscheduled DESCRIPTION OF PROJECT This project will install 0.4 miles of sidewalk on the south side of Durston Road, between Flathead and Meagher streets, where none currently exists right now. ALTERNATIVES CONSIDERED Each year the City is allocated funds from the federal Community Transportation Enhancement Program, through the State of Montana Department of Transportation. These funds can be used for pedestrian and bicycle facilities, landscaping and scenic beautification, historic preservation, rehabilitation of historic transportation facilities, and other transportation types of enhancements. Currently City staff is working from a list of projects that were created by a steering committee and approved by the City Commission. ADVANTAGES OF APPROVAL Improves pedestrian walk-ways by installing them near community park and trail facilities, and near schools. CTEP funds 86.58% of the projects with 13.42% being funded by a local match. In kind work by City staff can be considered part of the local match. This funding source allows for local transportation enhancement projects to be funded with only a portion of the cash coming from direct city dollars. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED CTEP Allocation - (86.58%) and Local Match, usually coming from the General Fund (13.42%). City engineer time could be considered local match. FUNDING SOURCES New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 126 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT007 DEPARTMENT Engineering PROJECT NAME CTEP Wayfinding FY15 $100,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project is for the study and development of a Transportation System wayfinding and signage plan. The city lacks a comprehensive plan that proscribes the design and placement of pavement markings and street signs. ALTERNATIVES CONSIDERED Continue to address signs and markings on a case-by-case basis. ADVANTAGES OF APPROVAL A comprehensive plan will allow Streets Department crews to deploy signage and street markings through-out the city in a consistant way. Citizens and visitors will notice a consistant look and feel when navigating our streets, intersections and bike lanes. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED After the plan is developed, the costs for funding the striping and signage will need to come from Street Maintenance District budget. FUNDING SOURCES CTEP New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 127 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT008 DEPARTMENT ENGINEERING PROJECT NAME PEDESTRIAN TRAIL ALONG HUFFINE (COTTONWOOD TO FOWLER) FY15 FY16 Unscheduled DESCRIPTION OF PROJECT MTAP APPLICATION -The CTEP program has changed at the Federal Level. We no longer receive an annual allocation. Instead, we must submit applications for individual projects to complete for funds around the State. This application, if approved, would be funded with MTAP dollars (86%) and local match (14%). In this case there would be a donation of easement that would cover the City's local share - requiring no other out-of-pocket match. ALTERNATIVES CONSIDERED Do not build the path; Find a different funding source for the project. ADVANTAGES OF APPROVAL Safer pedestrian travel along Huffine Road, from Cottonwood to Fowler Ave. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES MTAP Funds, if approved. Local Dollars, if approved: provided through local in-kind donation. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 128 Capital Improvement Plan FY2015-FY2019 CIP Project Fund CTEP/MTAP PROJECT NUMBER CT009 DEPARTMENT ENGINEERING PROJECT NAME PEDESTRIAN TRAIL ALONG DURSTON (LAUREL PARKWAY TO HARPER PUCKET) FY15 $12,690 FY16 Unscheduled DESCRIPTION OF PROJECT MTAP APPLICATION -The CTEP program has changed at the Federal Level. We no longer receive an annual allocation. Instead, we must submit applications for individual projects to complete for funds around the State. This application, if approved, would be funded with MTAP dollars (86%) and local match (14%). ALTERNATIVES CONSIDERED Do not build the path. Find a different funding source for the project. ADVANTAGES OF APPROVAL Safer pedestrian traffic along Durston Road, from Harper Pucket road to Laurel Parkway (Laurel Glen Area), ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES MTAP Funds, if approved: $81,700; Local Dollars (General Fund), if approved: $12,690. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 129 Capital Improvement Plan FY2015-FY2019 Pa r k i n g  Fu n d Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Ba l a n c e  De d i c a t e d  to  CI P 13 6 , 6 0 0 $                 25 6 , 1 0 0 $                       13 3 , 6 0 0 $                 53 , 6 0 0 $                 23,600 $                 33,600 $           Ca s h  In  Li e u  of  Pa r k i n g 12 2 , 0 0 0 $                 ‐ $                                         ‐ $                                 ‐ $                               ‐ $                             ‐$              ‐$                     Pl u s :    Pa r k i n g  Re v e n u e s  De d i c a t e d  to  Ca p i t a l 17 , 5 0 0 $                     17 , 5 0 0 $                           5, 0 0 0 $                         5, 0 0 0 $                       5,000 $                     ‐$              ‐$                     Pl u s :    Do w n t o w n  TI F  In t e r e s t  Co n t r i b u t i o n 10 , 0 0 0 $                     10 , 0 0 0 $                           10 , 0 0 0 $                     10 , 0 0 0 $                 10,000 $                 10,000 $           Le s s :    Sc h e d u l e d  CI P  Co s t s (3 0 , 0 0 0 ) $                   (1 5 0 , 0 0 0 ) $                     (9 5 , 0 0 0 ) $                   (4 5 , 0 0 0 ) $               (5,000) $                 (40,000)$      (880,000)$        Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 25 6 , 1 0 0 $                 13 3 , 6 0 0 $                       53 , 6 0 0 $                     23 , 6 0 0 $                 33,600 $                 3,600 $          As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9  An n u a l  Pa r k i n g  Re v e n u e s  De d i c a t e d  to  Ca p i t a l 17 , 5 0 0 $                         17 , 5 0 0 $                                 5, 0 0 0 $                           5, 0 0 0 $                           5,000 $                         ‐$                    Pl u s :    Do w n t o w n  TI F  In t e r e s t  Co n t r i b u t i o n 10 , 0 0 0 $                         10 , 0 0 0 $                                 10 , 0 0 0 $                       10 , 0 0 0 $                       10,000 $                     10,000 $          To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  Ca p i t a l 27 , 5 0 0 $                       27 , 5 0 0 $                               15 , 0 0 0 $                       15 , 0 0 0 $                     15,000 $                   10,000 $         Pr o j e c t e d Pr o j e c t e d 1, 0 0 0 , 0 0 0 75 0 , 0 0 0 50 0 , 0 0 0 25 0 , 0 0 0 0 Pa r k i n g  Fu n d  Ca p i t a l  Pr o j e c t s   Ci t y of Bo z e m a n 13 0 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Pa r k i n g  Fu n d P0 0 2 PA R K I N G CR A C K  SE A L I N G $2 0 , 0 0 0 $30,000 P0 0 3 PA R K I N G LI G H T I N G  RE P L A C E M E N T  PR O G R A M $1 5 , 0 0 0 $1 5 , 0 0 0 $30,000 P0 0 4 PA R K I N G PA R K I N G  LO T  HA R D W A R E  & SO F T W A R E   SY S T E M S $4 0 , 0 0 0 $4 0 , 0 0 0 $4 0 , 0 0 0 P0 0 5 PA R K I N G PO R T A B L E  RA D I O  RE P L A C E M E N T $5 , 0 0 0 $5 , 0 0 0 $5 , 0 0 0 $5 , 0 0 0 P0 0 6 PA R K I N G HA N D ‐HE L D  TI C K E T  WR I T E R   RE P L A C E M E N T S $4 0 , 0 0 0 P0 0 9 PA R K I N G BL A C K  (C A R N E G I E )  LO T  SI D E W A L K  &  LI G H T I N G  IM P R O V E M E N T S $50,000 P0 1 1 PA R K I N G WI L L S O N  LO T $150,000 P0 1 2 PA R K I N G AR M O R Y  LO T  IM P R O V E M E N T S $5 0 , 0 0 0 P0 1 3 PA R K I N G BL A C K  (C A R N E G I E )  LO T  PA R K I N G   IM P R O V E M E N T S . $150,000 P0 1 4 PA R K I N G PA R K I N G  GA R A G E  DE C K  PA T C H  AN D   RE P A I R $5 , 0 0 0 $5,000 P0 1 5 PA R K I N G PA R K I N G  GA R A G E  RO O F  PR O J E C T $150,000 P0 1 6 PA R K I N G PU R C H A S E  OF  AD D I T I O N A L  SU R F A C E   LO T S  IN  TH E  DO W N T O W N  PA R K I N G   DI S T R I C T . P0 1 7 PA R K I N G RO U S E  PA R K I N G  LO T  RE ‐DE S I G N  AN D   IM P R O V E M E N T S $350,000 P0 2 0 PA R K I N G PA R K I N G  VE H I C L E  RE P L A C E M E N T S $1 0 , 0 0 0 $5,000 Su m m a r y  f or    Pa r k i n g  Fu n d  (14  it e m s ) To t a l s  by  ye a r : $1 5 0 , 0 0 0 $ 9 5 , 0 0 0 $ 4 5 , 0 0 0 $880,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $40,000 $5 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 13 1 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P002 DEPARTMENT PARKING PROJECT NAME Crack Sealing FY15 FY16 $20,000 Unscheduled DESCRIPTION OF PROJECT Recurring Project to seal cracks in the surface parking lots. This routine maintenance should be scheduled very 3 Yrs. ALTERNATIVES CONSIDERED Don't seal cracks - this will limit the life of our existing asphalt and base. ADVANTAGES OF APPROVAL Proper maintenance of the parking lots will extend their useful life. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES Parking Fund. New Replacement Equipment Project FY17 FY18 FY19 $30,000 City of Bozeman 132 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P003 DEPARTMENT PARKING PROJECT NAME Lighting Replacement Program FY15 $15,000 FY16 $15,000 Unscheduled $30,000 DESCRIPTION OF PROJECT Replace failing fixtures inside the Garage (not roof level) with LED's. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED 100% Parking Fund - Energy Savings will offset many of the costs. FUNDING SOURCES New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 133 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P004 DEPARTMENT PARKING PROJECT NAME Parking Lot Hardware & Software Systems FY15 $40,000 FY16 $40,000 Unscheduled DESCRIPTION OF PROJECT In the event that Downtown Parking Lots are transitioned to a fee-lot, we will need kiosks for payment that link to the existing parking management software at the Garage. Each system is estimated to be $40,000, with the necessary curbing and electrical improvements; one system required for each lot. Potential lots for conversion are thought to be the Black Lot, Armory Lot, and Willson Lot. ALTERNATIVES CONSIDERED Keep lots as they are: permit holders and free transient parking for up to 2 hours. ADVANTAGES OF APPROVAL Revenue will be derived from the use of lots by transient, daily parkers. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minor electrical and operational costs. FUNDING SOURCES 100% Parking Fund New Replacement Equipment Project FY17 $40,000 FY18 FY19 City of Bozeman 134 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P005 DEPARTMENT PARKING PROJECT NAME Portable Radio Replacement FY15 $5,000 FY16 $5,000 Unscheduled DESCRIPTION OF PROJECT Replacement of all four department radios, $5,000 ea. Existing radios are old and have seen a lot of wear and tear. These will need to be replaced as current equipment fails. ALTERNATIVES CONSIDERED Hand-me-downs from the Police or Fire Departments as they replace first-responder equipment. ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES New Replacement Equipment Project FY17 $5,000 FY18 $5,000 FY19 City of Bozeman 135 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P006 DEPARTMENT PARKING PROJECT NAME Hand-Held Ticket Writer Replacements FY15 $40,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replacement of current group of 8 ticket-writers used by enforcement officers on the street. ALTERNATIVES CONSIDERED Approximately $3,500 for refurbished machines, but useful life is likely less. ADVANTAGES OF APPROVAL Replacement of critical equipment ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Parking Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 136 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P009 DEPARTMENT PARKING PROJECT NAME Black (Carnegie) Lot Sidewalk & Lighting Improvements FY15 FY16 Unscheduled $50,000 DESCRIPTION OF PROJECT This project extends the Main Street Streetscape north on Black to Mendenhall Street, along the City-own Parking Lot. The project would coincide with the private property owner project. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 137 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P011 DEPARTMENT PARKING PROJECT NAME Willson Lot FY15 FY16 Unscheduled $150,000 DESCRIPTION OF PROJECT Layout, set-backs, landscaping, signage, lighting, storm water requirements. ALTERNATIVES CONSIDERED Keep lot as-is. ADVANTAGES OF APPROVAL Improved functioning of parking lot. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Parking Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 138 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P012 DEPARTMENT PARKING PROJECT NAME Armory Lot Improvements FY15 $50,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project will be needed after the Etha Hotel construction is completed. Layout, set-backs, landscaping, signage, lighting, storm water requirements are being considered. ALTERNATIVES CONSIDERED Keep the lot as-is. ADVANTAGES OF APPROVAL Better functioning parking lots. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Parking Fund - the Etha Hotel Construction Licensing Agreement for use of the lot will bring approx $35,000 to help fund these improvements. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 139 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P013 DEPARTMENT PARKING PROJECT NAME Black (Carnegie) Lot Parking Improvements. FY15 FY16 Unscheduled $150,000 DESCRIPTION OF PROJECT Improve the parking lot with layout, set-backs, landscaping, signage, lighting, and sufficient storm water infrastructure. ALTERNATIVES CONSIDERED Keep the lot as-is. ADVANTAGES OF APPROVAL Better functioning parking lots. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Parking Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 140 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P014 DEPARTMENT PARKING PROJECT NAME Parking Garage Deck Patch and Repair FY15 FY16 $5,000 Unscheduled DESCRIPTION OF PROJECT Routine repairs and patching of concrete parking garage decks. ALTERNATIVES CONSIDERED Do not patch (not advised). ADVANTAGES OF APPROVAL Will extend the life of the parking garage deck surfaces. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES Parking Fund New Replacement Equipment Project FY17 FY18 FY19 $5,000 City of Bozeman 141 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P015 DEPARTMENT PARKING PROJECT NAME Parking Garage Roof Project FY15 FY16 Unscheduled $150,000 DESCRIPTION OF PROJECT Increased demand for leased space in the Garage has forced the Parking Commission to consider alternatives that would allow coverage of the upper deck for winter use. Currently, the roof is not used in the winter months because of the difficulties of snow removal. This option would install a roof on the current top parking deck, making space useable year-round. &nbsp; ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Increased useable space in the Parking Garage facility. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Parking Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 142 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P016 DEPARTMENT PARKING PROJECT NAME Purchase of Additional Surface Lots in the Downtown Parking District. FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The Parking Commission has the sole responsibiltiy for providing public parking spaces in the Downtown district. It is thought that as Downtown grows we will need additional parking spaces - in the form of Surface Lots. Cost is Unknown. Our current Black (Carnegie) Parking lot was appraised at $1.5M in 2011. ALTERNATIVES CONSIDERED Structured Parking (garaged) - generally thought to be much more expensive than surface lot purchase costs. ADVANTAGES OF APPROVAL Additional parking resources, critical to the downtown economy. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Additional lot maintenance each year/season. FUNDING SOURCES Parking Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 143 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P017 DEPARTMENT PARKING PROJECT NAME Rouse Parking Lot Re-design and Improvements FY15 FY16 Unscheduled $350,000 DESCRIPTION OF PROJECT Rouse Lot Improvements - Layout, set-backs, landscaping, signage, lighting, storm water requirements. Because the lot is ajacent to Bozeman Creek, this project will require more improvements than any other existing city parking lot. ALTERNATIVES CONSIDERED Keep the lot as-is. ADVANTAGES OF APPROVAL Better functiong parking lots. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Parking Fund, grants for strom water protection, etc. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 144 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Parking Fund PROJECT NUMBER P020 DEPARTMENT PARKING PROJECT NAME Parking Vehicle Replacements FY15 FY16 $10,000 Unscheduled DESCRIPTION OF PROJECT Currently, the Parking Fund uses hand-me-down Police Vehicles that are no longer suitable for first-responder use. The cost to convert one of these used vehicles to a Parking Vehicle is $5,000 each. The cars are painted and light systems converted. Currenlty, there are three vehicles used for parking enforcement. ALTERNATIVES CONSIDERED Buy brand-new cars. ADVANTAGES OF APPROVAL Low cost vehicles that are suitable for the Parking Enforcement function; re-use of police vehicles once they are no longer suitable for first-responder use. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Additional maintenance is expected to be lower than existing fleet. However, because these are heavily used police vehicles, annual maintenance is difficult to predict. FUNDING SOURCES Parking Fund. New Replacement Equipment Project FY17 FY18 FY19 $5,000 City of Bozeman 145 Capital Improvement Plan FY2015-FY2019 So l i d  Wa s t e  Co l l e c t i o n  & Re c y c l i n g Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 65 0 , 2 0 9 $                 29 6 , 3 4 2 $                       41 3 , 2 4 3 $               11 7 , 5 5 9 $          106,800 $     74,984 $           Pl u s :    Re v e n u e s  De d i c a t e d  to  CI P 30 6 , 1 1 7 $                 33 4 , 9 4 4 $                       36 4 , 3 1 6 $               39 4 , 2 4 1 $          398,184 $     402,166 $         Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (6 5 9 , 9 8 4 ) $             (2 1 8 , 0 4 3 ) $                     (6 6 0 , 0 0 0 ) $           (4 0 5 , 0 0 0 ) $     (430,000) $    (290,000)$    Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 29 6 , 3 4 2 $                 41 3 , 2 4 3 $                       11 7 , 5 5 9 $               10 6 , 8 0 0 $          74,984 $        187,150 $      A ss u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 FY18 FY19 Es t i m a t e d  An n u a l  Re v e n u e s 2, 5 5 0 , 9 7 9 $             2, 5 5 0 , 9 7 9 $                   2, 5 7 6 , 4 8 9 $             2, 6 0 2 , 2 5 4 $   2,628,276 $   2,654,559 $       Es t i m a t e d  An n u a l  In c r e a s e  in  Re v e n u e s  ‐                                        1% 1% 1% 1%1% To t a l  Es t i m a t e d  Re v e n u e s 2, 5 5 0 , 9 7 9 $             2, 5 7 6 , 4 8 9 $                   2, 6 0 2 , 2 5 4 $             2, 6 2 8 , 2 7 6 $   2,654,559 $   2,681,105 $    Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 . 0 % 12 . 0 % 1 3 . 0 % 1 4 . 0 % 1 5 . 0 % 1 5 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  CI P 2. 0 % 1. 0 % 1. 0 % 1 . 0 % 0 . 0 % 0 . 0 %    To t a l  % De d i c a t e d  to  CI P 12 . 0 % 13 . 0 % 1 4 . 0 % 1 5 . 0 % 1 5 . 0 % 1 5 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 30 6 , 1 1 7 $                   33 4 , 9 4 4 $                           36 4 , 3 1 6 $                 39 4 , 2 4 1 $           398,184 $      402,166 $       No t e :    20 1 2  Ra t e  St u d y  id e n t i f i e s  $3 6 7 , 0 0 0  in  total  annual   de p r e c i a t i o n  ex p e n s e . 70 0 , 0 0 0 60 0 , 0 0 0 50 0 , 0 0 0 40 0 , 0 0 0 30 0 , 0 0 0 20 0 , 0 0 0 10 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d So l i d  Wa s t e  Pr o j e c t s  & Eq u i p m e n t   Ci t y of Bo z e m a n 14 6 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 So l i d  Wa s t e   Co l l e c t i o n PW 0 1 CO L L E C T I O N SH O P S  FA C I L I T Y  EX P A N S I O N  PL A N $1 0 , 0 0 0 SW 3 0 CO L L E C T I O N SI D E  LO A D  PA C K E R  ‐   RE P L A C E M E N T $1 3 8 , 0 4 3 SW 3 1 CO L L E C T I O N SI D E  LO A D  RE P L A C E M E N T  TR U C K $2 9 0 , 0 0 0 SW 3 2 CO L L E C T I O N FR O N T L O A D  RE P L A C E M E N T  TR U C K $2 7 0 , 0 0 0 SW 3 3 CO L L E C T I O N SI D E  LO A D  PA C K E R  ‐   RE P L A C E M E N T ` $1 4 0 , 0 0 0 SW 3 6 CO L L E C T I O N SI D E  LO A D  RE P L A C E M E N T  TR U C K $2 9 0 , 0 0 0 SW 3 7 CO L L E C T I O N SI D E  LO A D  PA C K E R  RE P L A C E M E N T $1 4 0 , 0 0 0 SW 3 8 CO L L E C T I O N SI D E  LO A D  TR U C K  RE P L A C E M E N T $290,000 SW 3 5 CU R B S I D E CU R B S I D E  RE C Y C L I N G  TR U C K   RE P L A C E M E N T $2 2 0 , 0 0 0 SW 3 9 SO L I D  WA S T E UP D A T E  SO L I D  WA S T E  RA T E  ST U D Y $3 5 , 0 0 0 SW 4 0 SO L I D  WA S T E OV E R L A Y  LA N D F I L L  RO A D $7 0 , 0 0 0 SW 4 1 SO L I D  WA S T E CO N V E N I E N C E  SI T E  RE L O C A T I O N $1 0 , 0 0 0 $1 0 0 , 0 0 0 Su m m a r y  f or    So l i d  Wa s t e  Co l l e c t i o n  (12  it e m s ) To t a l s  by  ye a r : $2 1 8 , 0 4 3 $ 6 6 0 , 0 0 0 $ 4 0 5 , 0 0 0 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $290,000 $4 3 0 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 14 7 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER PW01 DEPARTMENT COLLECTION PROJECT NAME SHOPS FACILITY EXPANSION PLAN FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The construction of the new Vehicle Maintenance Shop at the Lower Yards on Rouse Avenue in FY10/FY11 was Phase I in expanding and improving our ability to service equipment, store vehicles, and provide work space for Public Works, Parks, and Facilitiy services. Questions remain about the long-term plan for construction, location, and expansion for: Streets, Sign & Signal, Forestry, Water/Sewer Operations, Solid Waste Collection & Recycling, Facilities, and Parks & Cemetery departments. This project would develop a master plan. In scheduling this project, we are recommending waiting until after the Vehicle Maintenance Division is relocated to its new shop and the interior improvements are made to the Shop at Rouse and Tamarack Street for the remaining divisions. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES From related divisions: General Fund 20% ($10,000), Water Fund 20% ($10,000), Wastewater Fund 20% ($10,000), Street Maintenance Fund 20% ($10,000), Solid Waste Fund 20% ($10,000). New Replacement Equipment Project FY17 $10,000 FY18 FY19 City of Bozeman 148 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW30 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD PACKER - REPLACEMENT FY15 $138,043 FY16 Unscheduled DESCRIPTION OF PROJECT This item is to replace the garbage packer on Asset #3452. The division is averaging 2,000 hours per year on the side load trucks. The chassis should be good for 12,000-14,000 hours with proper maintenance. Therefore replacing the packer bodies every four years will save about $140,000 and maximize the value of the chassis. The packers are what generally wear out first. The grabber arm functions around 400 repetitions per day times 4 days per week is 1,600 reps per week times 4.33 equals 7,000 reps per month or 93,528 per year. With a life expectancy of four years that is 336,000 reps. ALTERNATIVES CONSIDERED Buy new trucks with new chassis and body. Continue to operate with increasing repair costs, down time lowering resale value. Lease new truck and packer for $75,000 annually if one is available. ADVANTAGES OF APPROVAL Saves $140,000 every 4 years per side load truck. With four side load trucks and 2 backup trucks, this adds up quickly. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: $10,000 FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 149 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW31 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD REPLACEMENT TRUCK FY15 FY16 $290,000 Unscheduled DESCRIPTION OF PROJECT Replacement of a current front-line residential collection truck, Asset #3367. This truck will will have over 12,000 hours at time of replacement. ALTERNATIVES CONSIDERED Continue to operate the existing truck with increasing operating and maintenance costs. Lease a new, (or used), truck. ADVANTAGES OF APPROVAL Allow the division to continue to provide excellent service to over 7000 customers. Increased fuel economy; Reduced exhaust emissions; Less down time; Increased productivity ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Operating and maintenance costs should be reduced by replacing an aging unit with a new more fuel efficient, cleaner running truck FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 150 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW32 DEPARTMENT COLLECTION PROJECT NAME FRONTLOAD REPLACEMENT TRUCK FY15 FY16 $270,000 Unscheduled DESCRIPTION OF PROJECT This truck is a replacement for Asset #3421; the collection of residential and commercial refuse. The new truck will ensure continued efficient, cost-effective refuse collection that will allow the Division to meet the demands of a growing city while maintaining the standards the Bozeman residents expect. ALTERNATIVES CONSIDERED To use existing truck that will have more than 10,000 hours of hard use. Repair costs will continue to increase and the resale value will continue to decrease. The truck will also take an inordinate amount of shop time to maintain. ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Maintenance costs: $12,000/year FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 151 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW33 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD PACKER - REPLACEMENT` FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This item is the replacement of equipment on one of our side-loading garbage trucks. It will replace the 2008 Curbtenter Packer on Asset #3455 - 2008 Craine Carrier Chassis. The chassis should be good for 12,000-14,000 hours with proper maintenance. Therefore replacing the packer bodies every four years will save about $140,000 and maximize the value of the chassis. The packers are what generally wear out first. The grabber arm functions around 400 repetitions per day times 4 days per week is 1,600 reps per week times 4.33 equals 7,000 reps per month or 93,528 per year. With a life expectancy of four years that is 336,000 reps. ALTERNATIVES CONSIDERED Buy new trucks with new chassis and body. Continue to operate with increasing repair costs, down time lowering resale value. Lease new truck and packer for $75,000 annually if one is available. ADVANTAGES OF APPROVAL Saves $140,000 every 4 years per side load truck. With four side load trucks and 2 backup trucks, this adds up quickly. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: $10,000 FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 $140,000 FY18 FY19 City of Bozeman 152 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW35 DEPARTMENT CURBSIDE PROJECT NAME CURBSIDE RECYCLING TRUCK REPLACEMENT FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This would be a new chassis and new sideload recycling body, to replace the exising Curbside Recycling Truck, which is expected to be at the end of its useful life in 2017. ALTERNATIVES CONSIDERED Lease ADVANTAGES OF APPROVAL To maintain a level of service to the curbside recycling customers ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Maintenance costs are $15,000/year & Operating costs are $15,000/year FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 $220,000 FY18 FY19 City of Bozeman 153 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW36 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD REPLACEMENT TRUCK FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Side Load Replacement Truck ALTERNATIVES CONSIDERED To keep existing truck in service that will have over 10,000 hours of hard use. Repair costs & down time will continue to increase, making truck unreliable for garbage collection. ADVANTAGES OF APPROVAL Minimize repairs & down time. To improve safety and provide reliable customer service. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs = $27,000 FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 $290,000 FY19 City of Bozeman 154 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW37 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD PACKER REPLACEMENT FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This replacement packer will be placed on an existing chassis, thus extending the life of the overall unit. The old packer will be traded in. New packers advancement in materials used have led to extend the life of the packer. Given the high amount of mechanical parts in motion, new packers wear out within 5 years (8,000 hours) of use. ALTERNATIVES CONSIDERED To continue to operate existing packer with increased repair costs and down time. ADVANTAGES OF APPROVAL To minimize repair costs and having reliable equipment to provide high customer service expectations. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs = $10,000 FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 $140,000 FY19 City of Bozeman 155 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW38 DEPARTMENT COLLECTION PROJECT NAME SIDE LOAD TRUCK REPLACEMENT FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Replacement of a current front-line residential collection truck, asset #3452. ALTERNATIVES CONSIDERED Continue to operate the existing truck with increasing operating & maintenance costs. Lease a new (or used) truck. ADVANTAGES OF APPROVAL Allows the division to continue to provide excellent service to customers. Increased fuel economy; reduced exhaust emissions; less down time; increased productivity ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Operating & Maintenance Costs should be reduced by replacing an aging unit with a new, more fuel efficient, cleaner running truck FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 FY19 $290,000 City of Bozeman 156 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW39 DEPARTMENT SOLID WASTE PROJECT NAME UPDATE SOLID WASTE RATE STUDY FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Update to 2012 Rate Study. ALTERNATIVES CONSIDERED Continue basing rates on 2012 Study ADVANTAGES OF APPROVAL Updating the rate study every 5 years will allow the division to ensure that they can continue operating and providing services at a fair rate ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 $35,000 FY18 FY19 City of Bozeman 157 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW40 DEPARTMENT SOLID WASTE PROJECT NAME OVERLAY LANDFILL ROAD FY15 $70,000 FY16 Unscheduled DESCRIPTION OF PROJECT Overlay Landfill Road, as it extends through the property from Story Mill Road to the Solid Waste Shop. ALTERNATIVES CONSIDERED Let the road continue to deteriorate and patching; eventually have to reconstruct ADVANTAGES OF APPROVAL An overlay will extend the life of the road ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Reduce maintenance costs for many years FUNDING SOURCES 100% Solid Waste Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 158 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Solid Waste Collection PROJECT NUMBER SW41 DEPARTMENT SOLID WASTE PROJECT NAME Convenience Site Relocation FY15 $10,000 FY16 $100,000 Unscheduled DESCRIPTION OF PROJECT This project would identify a more suitable location for the existing Logan Landfill Convenience Station, located at the City Landfill property on Story Mill Road. The first year would fund the engineering work to determine a more suitable site on the Landfill property; likely to include features such as below grade roll-off containers for more convenient disposal. The second year would fund the actual construction costs related to the relocation of the existing equipment. ALTERNATIVES CONSIDERED Continue to operate at its existing site. ADVANTAGES OF APPROVAL The Site would have easier-to-use disposal options, like grade-level disposal containers. The Convenience Station would become less-obtrusive use on the property; less of the activities would be visible to ajacent properties. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Make the site less visible and make use of the site more convenient. FUNDING SOURCES Solid Waste Fund, with potential reimbursement from the Solid Waste District. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 159 Capital Improvement Plan FY2015-FY2019 St o r m  Wa t e r  Ut i l i t y      Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P ‐ $                                     ‐ $                                           (5 3 , 1 8 8 ) $                   6, 4 6 6 $                         69 , 1 0 1 $                   135,495 $              Pl u s :    St o r m  Wa t e r  Ut i l i t y  Fe e s  De d i c a t e d  to  Ca p i t a l ‐ $                                     56 , 8 1 3 $                               59 , 6 5 3 $                     62 , 6 3 6 $                     66 , 3 9 4 $                   70,378 $                   Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s ‐ $                                     (1 1 0 , 0 0 0 ) $                       ‐ $                                   ‐ $                                 ‐ $                                 ‐$                  (1,139,300)$       Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P ‐ $                                   (5 3 , 1 8 8 ) $                         6, 4 6 6 $                           69 , 1 0 1 $                   13 5 , 4 9 5 $             205,873 $        (1,139,300)$       As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 3 FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Es t i m a t e d  An n u a l  St o r m  Wa t e r  Ut i l i t y  Re v e n u e 22 5 , 0 0 0 $                       22 5 , 0 0 0 $                               22 7 , 2 5 0 $                     23 8 , 6 1 3 $                   25 0 , 5 4 3 $                   265,576 $               Es t i m a t e d  An n u a l  In c r e a s e  ‐   At t r i b u t e d  to  Gr o w t h 1% 1% 1% 2%2%    Es t i m a t e d  An n u a l  In c r e a s e  ‐   Ra t e  In c r e a s e 4% 4% 4% 4%4% To t a l  Es t i m a t e d  Re v e n u e s 22 5 , 0 0 0 $                       22 7 , 2 5 0 $                               23 8 , 6 1 3 $                     25 0 , 5 4 3 $                   26 5 , 5 7 6 $                   281,510 $            Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 0. 0 % 25 . 0 % 2 5 . 0 % 2 5 . 0 % 2 5 . 0 % 2 5 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Ca p i t a l 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0.0%0.0%    To t a l  % De d i c a t e d  to  CI P 0. 0 % 25 . 0 % 2 5 . 0 % 2 5 . 0 % 2 5 . 0 % 2 5 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P ‐ $                                         56 , 8 1 3 $                                   59 , 6 5 3 $                         62 , 6 3 6 $                         66 , 3 9 4 $                       70,378 $              No t e :    Ma n y  Ca p i t a l  It e m s  ar e  li s t e d  as  "u n s c h e d u l e d "  until  our  Utility   me t h o d  fo r  ch a r g i n g  cu s t o m e r s  is  re f i n e d  to  be  mo r e  equitable  for  Storm   Wa t e r  cu s t o m e r s ,  an t i c i p a t e d  in  ap p r o x  FY 1 5 . 1, 2 0 0 , 0 0 0 1, 0 0 0 , 0 0 0 80 0 , 0 0 0 60 0 , 0 0 0 40 0 , 0 0 0 20 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d St o r m  Wa t e r  Pr o j e c t s   Ci t y of Bo z e m a n 16 0 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 St o r m  Wa t e r   Fu n d ST R M 0 1 ST O R M  WA T E R VA L L E Y  UN I T  PA R K $80,000 ST R M 0 2 ST O R M  WA T E R RO C K Y  CR E E K  ST O R M  WA T E R   IM P R O V E M E N T S $20,000 ST R M 0 4 ST O R M  WA T E R AN N U A L  ST O R M  WA T E R  PI P E   RE H A B I L I T A T I O N $300,000 ST R M 0 8 ST O R M  WA T E R RO U S E  AV E N U E  ST O R M  DR A I N  UP S I Z I N G $186,300 ST R M 0 9 ST O R M  WA T E R RO U S E  AV E N U E  ST O R M  WA T E R   TR E A T M E N T $93,000 ST R M 1 0 ST O R M  WA T E R SW E E P E R $75,000 ST R M 1 1 ST O R M  WA T E R SE R V I C E  TR U C K $40,000 ST R M 1 2 ST O R M  WA T E R FL U S H E R  VA C  TR U C K $345,000 ST R M 1 4 ST O R M  WA T E R ST O R M  WA T E R  RA T E  ST U D Y $3 5 , 0 0 0 ST R M 1 5 ST O R M  WA T E R IM P E R V I O U S  SU R F A C E  DA T A  CR E A T I O N $7 5 , 0 0 0 Su m m a r y  f or    St o r m  Wa t e r  Fu n d  (10  it e m s ) To t a l s  by  ye a r : $1 1 0 , 0 0 0 $1,139,300 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 FY 1 8 Ci t y of Bo z e m a n 16 1 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM01 DEPARTMENT STORM WATER PROJECT NAME Valley Unit Park FY15 FY16 Unscheduled $80,000 DESCRIPTION OF PROJECT Improvements to the detention pond at Valley Unit Park, as described on page 6-5 in the Storm Water Facility Plan. This item is listed as unscheduled until our Utility method for charging customers is refined to be more equitable for Storm Water customers. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Will reduce flooding along Meagher Avenue and Durston Road ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Storm Water Utility, possible Grants. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 162 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM02 DEPARTMENT STORM WATER PROJECT NAME Rocky Creek Storm Water Improvements FY15 FY16 Unscheduled $20,000 DESCRIPTION OF PROJECT Improvements to increase and restore the native vegitation cover and diversity, thereby reducing sedimentation and improving water quality in Rocky Creek, as described on page 6-7 of the Storm Water Facility Plan. This item is listed as unscheduled until our Utility method for charging customers is refined to be more equitable for Storm Water customers. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Reduced sedimentation and improved water quality. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Storm Water Fund, possible grants. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 163 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM04 DEPARTMENT STORM WATER PROJECT NAME Annual Storm Water Pipe Rehabilitation FY15 FY16 Unscheduled $300,000 DESCRIPTION OF PROJECT General repairs and infrastructure maintenance are estimated to cost $300,000 per year. After mapping and condition assessments are complete, the utility will begin a systematic program of infrastructure repair and replacement, including installation of Storm Water Treatment systems. In the future, specific projects and project areas will be defined. Until then, this item acts as a financial indicator of that work program. When specific projects are scheduled in the CIP, those amounts will reduce the $300,000 scheduled in this item each year. One year's allocation of this item is listed as unscheduled until our Utility method for charging customers is refined to be more equitable for Storm Water customers. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Storm Water Fund, grants when available. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 164 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM08 DEPARTMENT STORM WATER PROJECT NAME Rouse Avenue Storm Drain Upsizing FY15 FY16 Unscheduled $186,300 DESCRIPTION OF PROJECT This project is in coordination with the MDOT improvements to Rouse Avenue. It entails the upsizing of Stormwater Infrastructure on Rouse. We will need to be prepared to fund this project in according the construciton timelines established by MDOT, which are fairly fluid at this point. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Storm Water Utility, TSEP Grant, other grants. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 165 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM09 DEPARTMENT STORM WATER PROJECT NAME Rouse Avenue Storm Water Treatment FY15 FY16 Unscheduled $93,000 DESCRIPTION OF PROJECT This project is in coordiantion with the MDOT improvements to Rouse Avenue. It will provide Storm Water treatment facilities for run-off on Rouse Avenue. We will need to be prepared to fund this project in according the construciton timelines established by MDOT, which are fairly fluid at this point. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Storm Water Utility, TSEP Grant, other grants. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 166 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM10 DEPARTMENT STORM WATER PROJECT NAME Sweeper FY15 FY16 Unscheduled $75,000 DESCRIPTION OF PROJECT Sweeper Lease, for cleaning streets. Keeping streets free from debris keeps the sedimentation and objects out of our storm water system. ALTERNATIVES CONSIDERED Borrow Sweeper from Street Division ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Maintenance Costs FUNDING SOURCES Stormwater Utility New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 167 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM11 DEPARTMENT STORM WATER PROJECT NAME Service Truck FY15 FY16 Unscheduled $40,000 DESCRIPTION OF PROJECT New Vehicle dedicated to use by Storm Water crews. ALTERNATIVES CONSIDERED Borrow vehicle from other divisions; purchase used truck. ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal Maintenance Costs FUNDING SOURCES Storm Water Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 168 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM12 DEPARTMENT STORM WATER PROJECT NAME Flusher Vac Truck FY15 FY16 Unscheduled $345,000 DESCRIPTION OF PROJECT Replacement of 20 year old vac truck handed down from the sewer division. This truck is used to flush vacuum storm sewer mains. ALTERNATIVES CONSIDERED Continue using current truck and pay increased costs to maintain. ADVANTAGES OF APPROVAL Increased reliability and safety for staff and stormwater operations. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs (expected to be lower than existing vehicle) FUNDING SOURCES Storm Water Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 169 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM14 DEPARTMENT STORM WATER PROJECT NAME Storm Water Rate Study FY15 $35,000 FY16 Unscheduled DESCRIPTION OF PROJECT The City will hire a contractor to perform a rate study to analyze different rate structures and methods for assessing our stormwater fees. ALTERNATIVES CONSIDERED Continue calculating rates as we currently are or develop another method ADVANTAGES OF APPROVAL The City's Stormwater Utility is new and our system hasn't been maintained in the past. A rate study will allow us to determine how we should be assessing rates so we can ensure that our utility can support itself and we can better maintain and build our system in the most effective way possible. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES Storm Water Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 170 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Storm Water Fund PROJECT NUMBER STRM15 DEPARTMENT STORM WATER PROJECT NAME Impervious Surface Data Creation FY15 $75,000 FY16 Unscheduled DESCRIPTION OF PROJECT Create polygon data to represent the extent of impervious surface area for all properties - so that the Storm Water Utility can base its charges on the impervious surface on each property. ALTERNATIVES CONSIDERED Use existing (partial) Department of Revenue data to supplement known property areas ADVANTAGES OF APPROVAL This information will allow for the accurate assessment of the relative impact of stormwater runoff. Industry best practices recommend that impervious surface is the most defensible and common method used for storm water utility fee calculations. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Recurring costs may be required depending on the level of detail necessary to support overall policy direction (i.e., residential vs commercial vs tiered structure, etc). Interdepartmental workflow will also be necessary to coordinate and update/maintain construction information on a persistent basis FUNDING SOURCES Storm Water Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 171 Capital Improvement Plan FY2015-FY2019 St r e e t  an d  Cu r b  Re c o n s t r u c t i o n s  (c o m b i n e d )   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 60 2 , 3 6 8 $               57 0 , 5 1 8 $                       55 0 , 2 6 7 $               53 8 , 3 1 4 $             534,741 $           489,633 $            Pl u s :    St r e e t  Ma i n t e n a n c e  As s e s s m e n t s  De d i c a t e d   66 8 , 1 5 0 $               82 9 , 7 4 9 $                       83 8 , 0 4 7 $               84 6 , 4 2 7 $             854,892 $           863,440 $            Pl u s :    SI D  or  ot h e r  lo c a l  co n t r i b u t i o n 20 0 , 0 0 0 $                  Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (9 0 0 , 0 0 0 ) $             (8 5 0 , 0 0 0 ) $                   (8 5 0 , 0 0 0 ) $             (8 5 0 , 0 0 0 ) $           (9 0 0 , 0 0 0 ) $         (900,000)$      ‐$                   Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 57 0 , 5 1 8 $               55 0 , 2 6 7 $                       53 8 , 3 1 4 $               53 4 , 7 4 1 $             489,633 $           453,074 $         As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 To t a l  Es t i m a t e d  An n u a l  St r e e t  As s e s s m e n t  Re v e n u e 2, 9 0 5 , 0 0 0 $               2, 9 3 4 , 0 5 0 $                       2, 9 6 3 , 3 9 1 $             2, 9 9 3 , 0 2 4 $           3, 0 2 2 , 9 5 5 $           3,053,184 $           Es t i m a t e d  An n u a l  In c r e a s e  ‐   At t r i b u t e d  to  An n e x a t i o n s 1% 1% 1% 1%1% To t a l  Es t i m a t e d  Re v e n u e s 2, 9 0 5 , 0 0 0 $               2, 9 6 3 , 3 9 1 $                       2, 9 9 3 , 0 2 4 $             3, 0 2 2 , 9 5 5 $           3, 0 5 3 , 1 8 4 $           3,083,716 $        Cu r r e n t  Re v e n u e s  De d i c a t e d  to  St r e e t  & Cu r b  CI P  % 18 . 0 % 23 . 0 % 2 8 . 0 % 2 8 . 0 % 2 8 . 0 % 2 8 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Re c o n s t r u c t i o n  & Cu r b s 5. 0 % 5. 0 % 0. 0 % 0. 0 % 0.0%0.0%    To t a l  % De d i c a t e d  to  CI P 23 . 0 % 28 . 0 % 2 8 . 0 % 2 8 . 0 % 2 8 . 0 % 2 8 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 66 8 , 1 5 0 $                     82 9 , 7 4 9 $                             83 8 , 0 4 7 $                   84 6 , 4 2 7 $                   854,892 $                 863,440 $           1, 0 0 0 , 0 0 0 90 0 , 0 0 0 80 0 , 0 0 0 70 0 , 0 0 0 60 0 , 0 0 0 50 0 , 0 0 0 40 0 , 0 0 0 30 0 , 0 0 0 20 0 , 0 0 0 10 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d St r e e t  Re c o n s t r u c t i o n  Pr o j e c t s   Ci t y of Bo z e m a n 17 2 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 St r e e t  an d   Cu r b   Re p l a c e m e n t   Fu n d SC R 0 1 En g i n e e r i n g ST R E E T  CU R B  RE P L A C E M E N T  ‐   SP O T   RE P A I R $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $50,000 SC R 0 2 En g i n e e r i n g AN N U A L  ST R E E T  AN D  CU R B   RE P L A C E M E N T  PR O J E C T S $8 0 0 , 0 0 0 $8 0 0 , 0 0 0 $8 0 0 , 0 0 0 $8 5 0 , 0 0 0 $850,000 $8 5 0 , 0 0 0 $8 5 0 , 0 0 0 $8 5 0 , 0 0 0 $9 0 0 , 0 0 0 $900,000 Su m m a r y  f or    St r e e t  an d  Cu r b  Re p la c e m e n t  Fu n d  (2  it e m s ) To t a l s  by  ye a r : $8 5 0 , 0 0 0 $ 8 5 0 , 0 0 0 $ 8 5 0 , 0 0 0 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $900,000 $9 0 0 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 17 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Street and Curb Replacement Fund PROJECT NUMBER SCR01 DEPARTMENT Engineering PROJECT NAME Street Curb Replacement - Spot Repair FY15 $50,000 FY16 $50,000 Unscheduled DESCRIPTION OF PROJECT When a pedestrian ramp is installed, many times the adjacent curbs need to be replaced in order to get drainage to not stop at new ramp. Smaller curb repairs can be necessary rather than replacing a whole block ALTERNATIVES CONSIDERED Continue current operations ADVANTAGES OF APPROVAL This will allow completion of smaller projects instead of waiting for an entire block to be repaired ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Cost of Materials FUNDING SOURCES Curb Replacement New Replacement Equipment Project FY17 $50,000 FY18 $50,000 FY19 $50,000 City of Bozeman 174 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street and Curb Replacement Fund PROJECT NUMBER SCR02 DEPARTMENT Engineering PROJECT NAME Annual Street and Curb Replacement Projects FY15 $800,000 FY16 $800,000 Unscheduled DESCRIPTION OF PROJECT This is the amount of funding that could be provided to Annual Street and Curb reconstruction projects. Projects would be identfied and scheduled once the results of our Street and Curb Condition Assessment are known (Spring 2014). It is anticipated that we would combine this funding with Special Improvement District (SID) funding for the reconstruction projects. ALTERNATIVES CONSIDERED Numerous, including different levels of SID contributions; Urban Fund matching; etc. ADVANTAGES OF APPROVAL City streets and curbs will be reconstructed so that they are safer and easier to use and maintain. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Maintaining reconstructed streets and curbs has a LOWER cost than continuing to maintain dilapidated infrastructure. FUNDING SOURCES Street Maintenance Fund assessments dedicated to Street and Curb Reconstructions. New Replacement Equipment Project FY17 $800,000 FY18 $850,000 FY19 $850,000 City of Bozeman 175 Capital Improvement Plan FY2015-FY2019 St r e e t  Im p a c t  Fe e   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 10 , 2 1 6 , 0 9 8 $     7, 7 4 1 , 0 9 8 $                 7, 9 7 6 , 1 6 7 $         7, 9 0 0 , 9 3 7 $       4, 3 9 6 , 0 0 3 $     5,421,970 $        Pl u s :    Im p a c t  Fe e  Re v e n u e s  De d i c a t e d  to  CI P 98 1 , 0 0 0 $               1, 4 8 5 , 0 6 9 $                 1, 5 1 4 , 7 7 0 $         1, 5 4 5 , 0 6 6 $       1, 5 7 5 , 9 6 7 $     1,607,486 $    ‐$                        Pl u s :    Ur b a n  Fu n d s :    SI F 0 9 ,  Ka g y  (W i l l s o n  to  19 t h ) 26 0 , 0 0 0 $                 2, 4 0 0 , 0 0 0 $          Pl u s :    Lo c a l  Sh a r e  of  In t e r s e c t i o n s  (4 0 %  of  To t a l ) 30 0 , 0 0 0 $                       30 0 0 0 0 30 0 , 0 0 0 $             300,000 $           600,000 $            Pl u s :    SI D  or  ot h e r  so u r c e s   95 0 , 0 0 0 $                 60 0 , 0 0 0 $                Le s s :    Ci t y  Sh a r e  of    SI F 0 6 ,  Co l l e g e  (M a i n  to  19 t h ) (3 , 1 0 6 , 0 0 0 ) $          Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (3 5 0 , 0 0 0 ) $             (1 , 5 5 0 , 0 0 0 ) $             (3 , 1 0 0 , 0 0 0 ) $       (8 , 3 5 0 , 0 0 0 ) $   (8 5 0 , 0 0 0 ) $         (1,600,000)$   (27,575,000)$     Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 7, 7 4 1 , 0 9 8 $         7, 9 7 6 , 1 6 7 $                 7, 9 0 0 , 9 3 7 $         4, 3 9 6 , 0 0 3 $       5, 4 2 1 , 9 7 0 $     6,029,457 $    (27,575,000)$     As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 FY 1 8 FY19 Es t i m a t e d  An n u a l  St r e e t  Im p a c t  Fe e  Re v e n u e s 98 1 , 0 0 0 $                       1, 4 5 5 , 9 5 0 $                       1, 4 8 5 , 0 6 9 $             1, 5 1 4 , 7 7 0 $             1, 5 4 5 , 0 6 6 $           1,575,967 $           Es t i m a t e d  An n u a l  In c r e a s e 0. 0 % 2% 2% 2% 2%2% To t a l  Es t i m a t e d  Re v e n u e s 98 1 , 0 0 0 $                       1, 4 8 5 , 0 6 9 $                       1, 5 1 4 , 7 7 0 $             1, 5 4 5 , 0 6 6 $             1, 5 7 5 , 9 6 7 $           1,607,486 $        Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  St r e e t  Ca p a c i t y  Ex p a n s i o n  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0% To t a l % D e d i c a t e d t o C I P 10 0 0 % 10 0 0 % 10 0 0 % 10 0 0 % 100 0%100 0% Pr o j e c t e d Pr o j e c t e d    To t a l  % De d i c a t e d  to  CI P 10 0 .0% 10 0 .0% 10 0 .0% 10 0 .0% 100 .0%100 .0% To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 98 1 , 0 0 0 $                       1, 4 8 5 , 0 6 9 $                       1, 5 1 4 , 7 7 0 $             1, 5 4 5 , 0 6 6 $             1, 5 7 5 , 9 6 7 $           1,607,486 $        26 , 0 0 0 , 0 0 0 21 , 0 0 0 , 0 0 0 16 , 0 0 0 , 0 0 0 11 , 0 0 0 , 0 0 0 6, 0 0 0 , 0 0 0 1, 0 0 0 , 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d St r e e t  Im p a c t  Fe e  Pr o j e c t s   Ci t y of Bo z e m a n 17 6 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Im p a c t  Fe e s   St r e e t s SI F 0 1 ST R E E T  IF RI G H T  OF  WA Y  AC Q U I S I T I O N $1 0 0 , 0 0 0 $1 0 0 , 0 0 0 $1 0 0 , 0 0 0 $1 0 0 , 0 0 0 $100,000 SI F 0 2 ST R E E T  IF BA X T E R  LA N E ,  19 T H  TO    CO T T O N W O O D $3,350,000 SI F 0 5 ST R E E T  IF CO L L E G E  ST R E E T  8T H  AV E N U E  TO  19 T H   AV E N U E ) $3,300,000 SI F 0 8 ST R E E T  IF DU R S T O N  RO A D ,  FO W L E R  AV E .  TO   FE R G U S O N  AV E . $1 , 5 0 0 , 0 0 0 SI F 0 9 ST R E E T  IF KA G Y  BO U L E V A R D ,  WI L L S O N  AV E N U E  TO   19 T H  AV E N U E $6 5 0 , 0 0 0 $6 , 0 0 0 , 0 0 0 SI F 2 1 ST R E E T  IF GR A F  ST R E E T  CO N N E C T I O N $1,000,000 SI F 2 3 ST R E E T  IF HI G H L A N D  BO U L E V A R D ,  MA I N  ST .  TO   KA G Y  BL V D . $7,600,000 SI F 3 4 ST R E E T  IF FO W L E R  CO N N E C T I O N $1,500,000 SI F 3 6 ST R E E T  IF CO T T O N W O O D  ‐   BA B C O C K  TO  OA K $2 0 0 , 0 0 0 $1 , 1 0 0 , 0 0 0 SI F 3 7 ST R E E T  IF TR A N S P O R T A T I O N  PL A N  UP D A T E $1 2 5 , 0 0 0 SI F 3 8 ST R E E T  IF FE R G U S O N  ‐   BA X T E R  TO  OA K $1 0 0 , 0 0 0 $5 0 0 , 0 0 0 SI F 4 3 ST R E E T  IF SO U T H  11 T H  AV E ,  OP P O R T U N I T Y  TO   AR N O L D $2 7 5 , 0 0 0 SI F 4 6 ST R E E T  IF OA K  ST R E E T ,  NE W  HO L L A N D  TO   FE R G U S O N $4,800,000 SI F 4 7 ST R E E T  IF N  27 T H  AV E ,  TS C H A C H E  TO  OA K  ST R E E T $2,200,000 $8 0 0 , 0 0 0 $2 , 3 5 0 , 0 0 0 $7 , 6 0 0 , 0 0 0 $1 0 0 , 0 0 0 $100,000 $23,750,000 To t a l s  by  DE P A R T M E N T Im p a c t  Fe e s   St r e e t s SI F 2 0 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L  7T H  AV E .  &  KA G Y  BL V D . $650,000 SI F 2 4 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  HI G H L A N D   BL V D .  AN D  EL L I S  ST . $500,000 SI F 2 5 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  HI G H L A N D   BO U L E V A R D  AN D  KA G Y  BO U L E V A R D $750,000 Ci t y of Bo z e m a n 17 7 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 SI F 2 7 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  CO T T O N W O O D   RO A D  & DU R S T O N  AV E N U E $500,000 SI F 3 2 ST R E E T  IN T IN T E R S E C T I O N  IM P R O V E M E N T S ,  MA N L E Y   RO A D  & GR I F F I N  DR I V E $925,000 SI F 3 3 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  N.  7T H  AV E N U E   AN D  GR I F F I N  DR I V E $500,000 SI F 3 9 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L  ‐   FE R G U S O N  &  DU R S T O N $7 5 0 , 0 0 0 SI F 4 0 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L  ‐   MA I N  &  BR O A D W A Y $7 5 0 , 0 0 0 SI F 4 1 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L  ‐   FE R G U S O N  &  BA B C O C K $7 5 0 , 0 0 0 SI F 4 2 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L  ‐   BA X T E R  &  DA V I S $7 5 0 , 0 0 0 SI F 4 4 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  FE R G U S O N  &  OA K  ST R E E T S $750,000 SI F 4 5 ST R E E T  IN T IN T E R S E C T I O N  CO N T R O L ,  OA K  AN D  27 T H   AV E N U E $750,000 $7 5 0 , 0 0 0 $7 5 0 , 0 0 0 $7 5 0 , 0 0 0 $7 5 0 , 0 0 0 $1,500,000 $3,825,000 To t a l s  by  DE P A R T M E N T Su m m a r y  f or    Im p ac t  Fe e s  St r e e t s  (26  it e m s ) To t a l s  by  ye a r : $1 , 5 5 0 , 0 0 0 $ 3 , 1 0 0 , 0 0 0 $ 8 , 3 5 0 , 0 0 0 $27,575,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $1,600,000 $8 5 0 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 17 8 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF01 DEPARTMENT STREET IF PROJECT NAME RIGHT OF WAY ACQUISITION FY15 $100,000 FY16 $100,000 Unscheduled DESCRIPTION OF PROJECT Annual allocation available for right-of-way purchases as they become available. Purchasing additional right-of-way is critical to expanding the capacity of streets in the city. This is deemed to be 100% impact fee eligible – as additional right-of-way is not required if we are not expanding the capacity of the street. ALTERNATIVES CONSIDERED Condemn property for right-of-way; pay court costs as well as appraised value of property. Time consuming for city staff and a relatively expensive process. ADVANTAGES OF APPROVAL Provides dollars for the purchase of necessary right-of-way as it becomes available on the market. Avoids the expensive, antagonistic condemnation process where possible. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Street Impact Fees can not be spent on operating and maintaining facilities. There is expected to be a very minimal, incremental cost to the Street Maintenance District from this expenditure. FUNDING SOURCES 100% Street Impact Fees New Replacement Equipment Project FY17 $100,000 FY18 $100,000 FY19 $100,000 City of Bozeman 179 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF02 DEPARTMENT STREET IF PROJECT NAME Baxter Lane, 19th to Cottonwood FY15 FY16 Unscheduled $3,350,000 DESCRIPTION OF PROJECT Reconstruct Baxter Lane from 19th Avenue to Cottonwood to a Minor Arterial standard as shown in the Transportation Plan. Continued development in the northwest quadrant of the city will be sustained by having this important east-west arterial improved to a complete street standard. ALTERNATIVES CONSIDERED Full payment by SID, or developer constructed. ADVANTAGES OF APPROVAL Improved capacity and safety in this corridor; ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in sweeping, plowing and general maintenance costs. Current cost estimate of $8,725 per street mile maintained annually. FUNDING SOURCES 60% - Street Impact Fees = $2,000,000 40% - Special Improvement District (SID) or Other = $1,350,000 New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 180 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF05 DEPARTMENT STREET IF PROJECT NAME College Street 8th Avenue to 19th Avenue) FY15 FY16 Unscheduled $3,300,000 DESCRIPTION OF PROJECT Reconstruct West College Street from 8th Avenue to 19th Avenue to a minor arterial standard as shown in the Transportation Plan. This section of West College has already exceeded the volume of traffic it was projected to carry in 2020 according to the Transportation Plan. Improvements to South 19th and increased development in the South 19th corridor will only further increase traffic demand on this facility. Additionally this facility lacks pedestrian and bicycle facilities. ALTERNATIVES CONSIDERED Use of Urban funds for full financing, CTEP grants if available. ADVANTAGES OF APPROVAL Improved safety and capacity, both for motorized vehicles as well as bicycles and pedestrians. The use of street impact fee funds enables the community to leverage the available State Urban transportation funds to complete other projects and address more of the city’s pressing transportation needs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Improved safety and capacity, both for motorized vehicles as well as bicycles and pedestrians. The use of street impact fee funds enables the community to leverage the available State Urban transportation funds to complete other projects and address more of the city’s pressing transportation needs. FUNDING SOURCES 60% - Street Impact Fees = $2,000,000, 40% Urban, CTEP or other Funds - $1,300,000 New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 181 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF08 DEPARTMENT STREET IF PROJECT NAME Durston Road, Fowler Ave. to Ferguson Ave. FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Over recent years, Durston Road has been significantly improved, except for this small portion of the road. This ~ 1/4 mile length of road needs to be improved with completed sidewalk, bike lanes, and additional driving/turning lanes. Incremental improvement of Durston Road with development projects may be possible, thus preventing a severe drop in service level similar to that experienced on West Babcock Street. ALTERNATIVES CONSIDERED SID for full financing, or incremental construction by developers. ADVANTAGES OF APPROVAL Improved safety and capacity, both for motorized vehicles as well as bicycles and pedestrians. The use of street impact fee funds enables the community to leverage the available State Urban transportation funds to complete other projects and address more of the city’s pressing transportation needs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in sweeping, plowing and general maintenance costs. Current cost estimate of $8,725 per street mile maintained annually. FUNDING SOURCES 60% - Street Impact Fees; 40% SID or other funding. New Replacement Equipment Project FY17 $1,500,000 FY18 FY19 City of Bozeman 182 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF09 DEPARTMENT STREET IF PROJECT NAME Kagy Boulevard, Willson Avenue to 19th Avenue FY15 FY16 $650,000 Unscheduled DESCRIPTION OF PROJECT This project consists of widening Kagy Boulevard from the intersection of S. 19th Avenue to Willson Avenue to a three lane urban arterial standard. This includes one travel lane in each direction, bike lanes on each side, curb and gutter throughout, boulevard, sidewalks and a raised median. Kagy serves as an important element of Bozeman's perimeter street system connecting Highland Blvd., Willson Ave. and S.19th. It also serves as the primary access to Montana State University and the University's major athletic facilities. ALTERNATIVES CONSIDERED SID for full financing, Urban funds or incremental construction by developers. ADVANTAGES OF APPROVAL Kagy is a State Urban Route and is eligible for expenditure of State urban funds designated annually for the City of Bozeman; however, the availability of urban funds cannot match the pace of the City's transportation improvement needs. The need for this project comes from increased traffic due to growth in the Bozeman area and the project is eligible for Impact Fee Funds. Use of Street Impact Funds enables the community to leverage the available State Urban transportation funds to complete projects and address more of its pressing transportation needs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in sweeping, plowing and general maintenance costs. Current cost estimate of $8,725 per street mile maintained annually. FUNDING SOURCES Total Project: $6,650,000. 60% - Street Impact Fees = $3,990,000; 40% - Urban Funds = $2,660,000 New Replacement Equipment Project FY17 $6,000,000 FY18 FY19 City of Bozeman 183 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF20 DEPARTMENT STREET INT PROJECT NAME Intersection Control 7th Ave. & Kagy Blvd. FY15 FY16 Unscheduled $650,000 DESCRIPTION OF PROJECT Control of the intersection of 7th Avenue and Kagy Boulevard, a collector and an arterial. Includes the installation of a traffic signal or roundabout. 7th Avenue is a two lane collector north of this intersection and a two lane local street south of the intersection. Kagy Boulevard is a two lane arterial. This intersection currently has stop control on 7th Avenue. Recent development and increased traffic indicate that a signal or roundabout will soon be not only warranted but justified. This intersection is a major access point for the MSU campus. ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by the Montana Department of Transportation. Attempt to create an SID or identify and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 184 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF21 DEPARTMENT STREET IF PROJECT NAME Graf Street Connection FY15 FY16 Unscheduled $1,000,000 DESCRIPTION OF PROJECT This project consists of extending Graf Street approximately ¼ mile in order to connect the street with South 19th Avenue to allow through traffic to flow east and west to and from 19th Avenue. This is an important connection for public safety purposes – allowing fire and emergency services to meet their response time requirements in areas where they currently cannot. ALTERNATIVES CONSIDERED Do nothing and wait for development to connect the street. ADVANTAGES OF APPROVAL Improved traffic flow and better emergency response to the local area. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in sweeping, plowing and general maintenance costs. Current cost estimate of $8,725 per street mile maintained annually. FUNDING SOURCES 100% Street Impact Fees. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 185 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF23 DEPARTMENT STREET IF PROJECT NAME Highland Boulevard, Main St. to Kagy Blvd. FY15 FY16 Unscheduled $7,600,000 DESCRIPTION OF PROJECT This project consists of widening Highland Boulevard from the intersection with Main Street to the intersection with Ellis Street to a five-lane urban arterial standard, and from the intersection with Ellis Street south to the intersection with Kagy Boulevard to a three-lane urban arterial standard. This roadway is currently a minor arterial roadway with one travel lane in each direction. This project serves as a long-term need that will be necessary to accommodate future development patterns in the region and serve north-south traffic flow. It is expected that a minimum of two travel lanes in each direction from Main Street to Ellis Street, one travel lane in each direction from Ellis Street to Kagy Boulevard, bike lanes on each side, curb and gutter, boulevard, sidewalk, and a raised median will be required. ALTERNATIVES CONSIDERED Use of Urban Funds, developer contributions and/or creation of an SID for full financing. ADVANTAGES OF APPROVAL Increased capacity and safety in this corridor, both for motorized vehicles as well as bicycles and pedestrians. The use of street impact fees enables the community to leverage the available State Urban Funds to complete other needed projects. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Incremental increases in sweeping, plowing and general maintenance costs. Current cost estimate of $8,725 per street mile maintained annually. FUNDING SOURCES Estimated: 50% Street Impact fees ($3,600,000.00), and 50% Urban Funds, Special Improvement District (SID) or Other, $3,600,000.00. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 186 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF24 DEPARTMENT STREET INT PROJECT NAME Intersection Control, Highland Blvd. and Ellis St. FY15 FY16 Unscheduled $500,000 DESCRIPTION OF PROJECT Identified as TSM -20 in the 2007 Transportation Plan Update. Includes installation of a traffic signal, roundabout or other adequate traffic control device when warrants are met. Highland Boulevard is currently a two-lane minor arterial roadway and Ellis Street is a two-lane local street. This intersection currently has stop control on Ellis Street. ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by MDT. Create an SID or identify other and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Increased capacity and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: None FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 187 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF25 DEPARTMENT STREET INT PROJECT NAME Intersection Control, Highland Boulevard and Kagy Boulevard FY15 FY16 Unscheduled $750,000 DESCRIPTION OF PROJECT Identified as TSM -9 in the 2007 Transportation Plan Update. Includes installation of a traffic signal, roundabout or other adequate traffic control device when warrants are met. Highland Boulevard is currently a two-lane minor arterial roadway and Kagy Boulevard is a two-lane principal arterial. ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by MDT. Create an SID or identify other and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Increased capacity and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: None. FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 188 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF27 DEPARTMENT STREET INT PROJECT NAME Intersection Control, Cottonwood Road & Durston Avenue FY15 FY16 Unscheduled $500,000 DESCRIPTION OF PROJECT Includes installation of a traffic signal, roundabout or other adequate traffic control device when warrants are met. Cottonwood Road is currently a two-lane principal arterial roadway and Durston Road is a three-lane minor arterial. ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by MDT. Create an SID or identify other and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Increased capacity and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: None FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 189 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF32 DEPARTMENT STREET INT PROJECT NAME Intersection Improvements, Manley Road & Griffin Drive FY15 FY16 Unscheduled $925,000 DESCRIPTION OF PROJECT This project consists of the installation of a Traffic Signal or roundabout at the intersection of Manley Road & Griffin Drive, installation of a Turn Lane on Griffin Drive and the Relocation of associated railroad crossing equipment on Griffin Drive. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Facilitates development of property in the immediate area. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Project Estimates - Traffic Signal $575,000, Turn Lane $175,000, Railroad Equipment Relocate $175,000. Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 190 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF33 DEPARTMENT STREET INT PROJECT NAME Intersection Control, N. 7th Avenue and Griffin Drive FY15 FY16 Unscheduled $500,000 DESCRIPTION OF PROJECT Control of the intersection of 7th Avenue and Griffin Drive. Includes the installation of a traffic signal or roundabout. Future development and the resulting increased traffic indicate that intersection improvements will be needed. ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by the Montana Department of Transportation. Create an SID or identify and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 191 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF34 DEPARTMENT STREET IF PROJECT NAME FOWLER CONNECTION FY15 FY16 Unscheduled $1,500,000 DESCRIPTION OF PROJECT Fowler Avenue is classified as a minor arterial and is an important north-south corridor in the west part of the City. This project would fill in the quarter mile gap in the roadway that exists between West Babcock and Durston Road. This project would involve the purchase of the necessary right-of-way and construction of a two lane minor arterial between West Babcock Street and Durston Road. ALTERNATIVES CONSIDERED Do nothing. ADVANTAGES OF APPROVAL Traffic on Fowler Avenue between Garfield and West Babcock Street has increased dramatically since the connection to Garfield and hence South 19th was made. Once north-bound traffic reaches West Babcock travelers are forced to drive on local streets such as Hunter’s Way or Michael Grove. Construction of this section of Fowler will both allow motorists to stay on the arterial system and reduce traffic on local streets. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Routine O & M will be required once constructed. FUNDING SOURCES Impact Fees, Special Improvement District, developer contribution. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 192 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF36 DEPARTMENT Street IF PROJECT NAME Cottonwood - Babcock to Oak FY15 $200,000 FY16 $1,100,000 Unscheduled DESCRIPTION OF PROJECT This project consists of widening Cottonwood Road from West Babcock Street to Oak Street to a three lane urban arterial standard. This includes one travel lane in each direction, bike lanes on each side, curb and gutter throughout, boulevard, sidewalks and a raised median. Cottonwood Road serves as an important element in Bozeman's west side street system and serves as a primary north-south corridor on the west side of the city. ALTERNATIVES CONSIDERED SID for full financing, Urban funds or incremental construction by developers. ADVANTAGES OF APPROVAL Improved traffic flow and safety in this corridor. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES Street Impact Fees, SID for upgrade of existing roadway portion, Urban funds or incremental construction by developers. Current estimate is 50% SID/50% Impact Fees. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 193 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF37 DEPARTMENT Street IF PROJECT NAME Transportation Plan Update FY15 $125,000 FY16 Unscheduled DESCRIPTION OF PROJECT Update Transportation Plan. Last plan was completed in 2007. ALTERNATIVES CONSIDERED Do not update plan. Continue improving infrastructure based on 2007 plan. ADVANTAGES OF APPROVAL Improving Infrastructure is costly and as Bozeman grows, our needs change. Updating our plan will allow us to make better decisions on what areas need to improve. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES Street Impact Fees New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 194 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF38 DEPARTMENT Street IF PROJECT NAME Ferguson - Baxter to Oak FY15 $100,000 FY16 $500,000 Unscheduled DESCRIPTION OF PROJECT This project consists of constructing Ferguson Boulevard from Oak Street to Baxter Lane to a three lane collector standard. This includes one travel lane in each direction, bike lanes on each side, curb and gutter throughout, boulevard, sidewalks and a raised median. Ferguson is an important collector on the west side of the City and ultimately leads north to Chief Joseph Middle School. ALTERNATIVES CONSIDERED SID for full financing, or incremental construction by developers. ADVANTAGES OF APPROVAL Improved traffic flow and safety in this corridor, as well as improved access to Chief Joseph Middle School. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. FUNDING SOURCES Street Impact Fees, SID, or incremental construction by developers. Current estimate is 50% SID/50% Impact Fees. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 195 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF39 DEPARTMENT STREET INT PROJECT NAME Intersection Control - Ferguson & Durston FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Intersection Control ALTERNATIVES CONSIDERED Accept the current level of service (do nothing). Alternative financing could be provided by creating an SID or Payback District. ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 $750,000 FY18 FY19 City of Bozeman 196 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF40 DEPARTMENT STREET INT PROJECT NAME Intersection Control - Main & Broadway FY15 FY16 $750,000 Unscheduled DESCRIPTION OF PROJECT Intersection Control ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by the Montana Department of Transportation. Create an SID, Payback or identify and apply for other potential sources of funding (CMAQ…). Developer Contribution. ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 197 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF41 DEPARTMENT STREET INT PROJECT NAME Intersection Control - Ferguson & Babcock FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Intersection Control ALTERNATIVES CONSIDERED Accept the current level of service (do nothing). Alternative financing could be provided by creating an SID or Payback District. ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 $750,000 FY19 City of Bozeman 198 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF42 DEPARTMENT STREET INT PROJECT NAME Intersection Control - Baxter & Davis FY15 $750,000 FY16 Unscheduled DESCRIPTION OF PROJECT Intersection Control ALTERNATIVES CONSIDERED Accept the current level of service (do nothing). Alternative financing could be provided by creating an SID or Payback District. ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 199 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF43 DEPARTMENT STREET IF PROJECT NAME South 11th Ave, Opportunity to Arnold FY15 $275,000 FY16 Unscheduled DESCRIPTION OF PROJECT <div>This project is for the capacity expanding share of South 11th Avenue, Opportunity to Arnold Street. &nbsp;Also to include the west half of S 11th (approx 350' N of Opportunity) to provide connectivity.</div> ALTERNATIVES CONSIDERED Full payment by SID, or developer constructed. ADVANTAGES OF APPROVAL Improved capacity and safety in this corridor; ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Street Impact Fees can not be spent on operating and maintaining facilities. There is expected to be a very minimal, incremental cost to the Street Maintenance District from this expenditure. FUNDING SOURCES 100% Street Impact Fees for the capacity expanding share. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 200 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF44 DEPARTMENT STREET INT PROJECT NAME Intersection Control, Ferguson & Oak Streets FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Intersection control at Ferguson and Oak Streets. ALTERNATIVES CONSIDERED Accept the current level of service (do nothing). Alternative financing could be provided by creating an SID or Payback District. ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 $750,000 City of Bozeman 201 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF45 DEPARTMENT STREET INT PROJECT NAME INTERSECTION CONTROL, OAK AND 27TH AVENUE FY15 FY16 Unscheduled DESCRIPTION OF PROJECT <div>Intersection control at Oak and 27th Avenues</div> ALTERNATIVES CONSIDERED Do nothing or consider other alternatives as suggested by the Montana Department of Transportation. Create an SID or identify and apply for other potential sources of funding (CMAQ…) ADVANTAGES OF APPROVAL Improved traffic flow and safety at this intersection. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Proposed 60% Impact Fees and 40% Local Share (other). New Replacement Equipment Project FY17 FY18 FY19 $750,000 City of Bozeman 202 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF46 DEPARTMENT STREET IF PROJECT NAME OAK STREET, NEW HOLLAND TO FERGUSON FY15 FY16 Unscheduled $4,800,000 DESCRIPTION OF PROJECT This Project is the completion of the street segment of Oak Street, from New Holland to Ferguson. Currently, the south half of the street is missing, creating a bottleneck in the street network. ALTERNATIVES CONSIDERED Leave as-is. Wait for the developer to build the street. ADVANTAGES OF APPROVAL This project will expand the capacity of our street network and improve safety for drivers and pedestrians. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED minimal FUNDING SOURCES Street Impact Fees, Developer Contribution for local share, other. Total cost estimates are shown. Design $800,000. Construction $4,000,000. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 203 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Streets PROJECT NUMBER SIF47 DEPARTMENT STREET IF PROJECT NAME N 27TH AVE, TSCHACHE TO OAK STREET FY15 FY16 Unscheduled $2,200,000 DESCRIPTION OF PROJECT This Project is the completion of the street segment of N 27th Avenue, between Oak Street and Tschache Road. Currently, the east half of the street is missing, creating a bottleneck in the street network. ALTERNATIVES CONSIDERED Leave as-is. Wait for the developer to build the street ADVANTAGES OF APPROVAL This project will expand the capacity of our street network and improve safety for drivers and pedestrians. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Street Impact Fees, Developer Contribution for local share, other. Total cost estimates are shown. Design $360,000. Construction $1,800,000. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 204 Capital Improvement Plan FY2015-FY2019 St r e e t  Ma i n t e n a n c e  Di s t r i c t Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 26 8 , 0 0 0 $                 26 8 , 0 0 0 $                         22 5 , 1 3 8 $                 27 9 , 6 9 8 $          243,713 $           126,397 $         Pl u s :    St r e e t  Mt c  Re v e n u e s  De d i c a t e d  to  CI P 37 0 , 3 8 3 $                 34 2 , 1 3 8 $                         34 5 , 5 5 9 $                 34 9 , 0 1 5 $          377,684 $           406,892 $     ‐$                      Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (3 7 0 , 3 8 3 ) $               (3 8 5 , 0 0 0 ) $                     (2 9 1 , 0 0 0 ) $               (3 8 5 , 0 0 0 ) $     (495,000) $       (225,000)$    (525,000)$        Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 26 8 , 0 0 0 $                 22 5 , 1 3 8 $                         27 9 , 6 9 8 $                 24 3 , 7 1 3 $          126,397 $           308,288 $      As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  Un d e s i g n a t e d  An n u a l  St r e e t  Mt c  Re v e n u e s 2, 4 1 9 , 6 4 7 $               2, 4 1 9 , 6 4 7 $                       2, 4 4 3 , 8 4 3 $             2, 4 6 8 , 2 8 2 $       2,492,965 $         2,517,894 $        Es t i m a t e d  An n u a l  In c r e a s e  ‐   At t r i b u t e d  to  An n e x a t i o n s ‐                                              1% 1% 1% 1%1% To t a l  Es t i m a t e d  Re v e n u e s 2, 4 1 9 , 6 4 7 $               2, 4 4 3 , 8 4 3 $                       2, 4 6 8 , 2 8 2 $             2, 4 9 2 , 9 6 5 $       2,517,894 $         2,543,073 $     Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 14 . 0 % 14 . 0 % 1 4 . 0 % 1 4 . 0 % 1 4 . 0 % 1 5 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  CI P 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 1 . 0 % 1 . 0 %    To t a l  % De d i c a t e d  to  CI P 14 . 0 % 14 . 0 % 14 . 0 % 14 . 0 % 1 5 . 0 % 1 6 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 33 8 , 7 5 1 $                       34 2 , 1 3 8 $                             34 5 , 5 5 9 $                     34 9 , 0 1 5 $             377,684 $               406,892 $         60 0 , 0 0 0 50 0 , 0 0 0 40 0 , 0 0 0 30 0 , 0 0 0 20 0 , 0 0 0 10 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d St r e e t  Ma i n t e n a n c e  Pr o j e c t s  & Eq u i p m e n t   Ci t y of Bo z e m a n 20 5 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 St r e e t   Ma i n t e n a n c e   Di s t r i c t PW 0 1 ST R E E T S SH O P S  FA C I L I T Y  EX P A N S I O N  PL A N $1 0 , 0 0 0 ST R 0 1 ST R E E T S ST R E E T  SE R V I C E  TR U C K S $6 6 , 0 0 0 $4 0 , 0 0 0 ST R 1 1 ST R E E T S ME D I A N  AN D  BO U L E V A R D  MA I N T E N A N C E $2 5 , 0 0 0 $2 5 , 0 0 0 $2 5 , 0 0 0 $2 5 , 0 0 0 $25,000 ST R 2 0 ST R E E T S BI K E  PA T H  IM P R O V E M E N T S $2 5 , 0 0 0 $2 5 , 0 0 0 $2 5 , 0 0 0 $2 5 , 0 0 0 $25,000 ST R 2 2 ST R E E T S GR A D E R  LE A S E $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $50,000 ST R 3 0 ST R E E T S CO N C R E T E  RE P A I R  PR O G R A M $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $5 0 , 0 0 0 $50,000 ST R 3 3 ST R E E T S AS P H A L T  PA T C H  TR U C K $1 5 0 , 0 0 0 ST R 3 4 ST R E E T S SW E E P E R S $7 5 , 0 0 0 $7 5 , 0 0 0 $7 5 , 0 0 0 $7 5 , 0 0 0 $75,000 ST R 3 5 ST R E E T S RE G E N E R A T I V E  AI R  SW E E P E R $250,000 ST R 3 8 ST R E E T S MI N I  LO A D E R $7 0 , 0 0 0 ST R 3 9 ST R E E T S TR A I L E R  MO U N T E D  SP R A Y  PA T C H E R $7 5 , 0 0 0 ST R 4 0 ST R E E T S SI N G L E  AX L E  DU M P  TR U C K  W/ P L O W  AN D   SA N D E R $1 6 0 , 0 0 0 ST R 4 1 ST R E E T S CI T Y ‐WI D E  ST R I P I N G  DE S I G N  PL A N $5 0 , 0 0 0 ST R 4 2 ST R E E T S AS P H A L T  HO T  BO X $3 5 , 0 0 0 ST R 4 3 ST R E E T S SE L F  PR O P E L L E D ,  SE L F  LO A D I N G  AS P H A L T   MI L L I N G  MA C H I N E  WI T H  TR A I L E R $275,000 Su m m a r y  f or    St r e e t  Ma i n t e n a n c e  Di s t r i c t  (15  it e m s ) To t a l s  by  ye a r : $3 8 5 , 0 0 0 $ 2 9 1 , 0 0 0 $ 3 8 5 , 0 0 0 $525,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $225,000 $4 9 5 , 0 0 0 FY 1 8 Ci t y of Bo z e m a n 20 6 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER PW01 DEPARTMENT STREETS PROJECT NAME SHOPS FACILITY EXPANSION PLAN FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The construction of the new Vehicle Maintenance Shop at the Lower Yards on Rouse Avenue in FY10/FY11 was Phase I in expanding and improving our ability to service equipment, store vehicles, and provide work space for Public Works, Parks, and Facilitiy services. Questions remain about the long-term plan for construction, location, and expansion for: Streets, Sign & Signal, Forestry, Water/Sewer Operations, Solid Waste Collection & Recycling, Facilities, and Parks & Cemetery departments. This project would develop a master plan. In scheduling this project, we are recommending waiting until after the Vehicle Maintenance Division is relocated to its new shop and the interior improvements are made to the Shop at Rouse and Tamarack Street for the remaining divisions. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES From related divisions: General Fund 20% ($10,000), Water Fund 20% ($10,000), Wastewater Fund 20% ($10,000), Street Maintenance Fund 20% ($10,000), Solid Waste Fund 20% ($10,000). New Replacement Equipment Project FY17 $10,000 FY18 FY19 City of Bozeman 207 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR01 DEPARTMENT STREETS PROJECT NAME STREET SERVICE TRUCKS FY15 FY16 $66,000 Unscheduled DESCRIPTION OF PROJECT This item is for the scheduled replacement of service trucks within the Street Maintenance Division, including those used for Sign and Signal work. These trucks are generally used in the day-to-day operation fo the Street Maintenane Division, and will be replced with trucks that can use alternative fuels, such as Ethanol or BioDiesel. ALTERNATIVES CONSIDERED Alternatives to truck purchases include continuing to maintain and repair aging vehicles; retiring the truck without replacement; or leasing vehicles rather than purchase. ADVANTAGES OF APPROVAL New vehicles will be more reliable, fuel efficient. We would not need to budget money for major repairs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal, compared with existing vehicles. FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 FY18 $40,000 FY19 City of Bozeman 208 Capital Improvement Plan FY2015-FY2019 St r e e t S e r v i c e T r u c k s As s e t  # Cu r r e n t  Ma k e / F e a t u r e s Mo d e l  Yr Cu r r e n t   Mi l e a g e Re p l a c e m e n t  Ma k e / F e a t u r e s FY 1 5 FY 1 6 FY 1 7 Unscheduled FY 1 8 FY19 11 3 4 1  TO N ,  CH E V Y  C ‐35 0 0 19 8 8 1 1 5 , 2 4 5 3 / 4  TO N ,  FL E X  FU E L $2 6 , 0 0 0 10 9 6 C H E V Y  1  TO N  FL A T  BE D 1 9 8 6 1 0 0 , 8 8 1 1  TO N ,  FL E X  FU E L $ 4 0 , 0 0 0 30 8 1 S I G N  & SI G N A L :    1  TO N ,  2W   DR I V E ,  MA N U A L ,  FO R D  F ‐35 0 19 9 2 7 8 , 3 7 5 1  TO N ,  FL E X  FU E L $ 4 0 , 0 0 0 15 3 9 C O M P A C T  TR U C K ,  2W D  FO R D   RA N G E R 19 9 0 6 7 , 9 7 6 3 / 4  TO N ,  FL E X  FU E L $26,000.00 $26,000 $6 6 , 0 0 0 $ 4 0 , 0 0 0 To t a l s Ci t y of Bo z e m a n 20 9 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR11 DEPARTMENT STREETS PROJECT NAME MEDIAN AND BOULEVARD MAINTENANCE FY15 $25,000 FY16 $25,000 Unscheduled DESCRIPTION OF PROJECT This money would be used to repair and maintain the City’s boulevards and medians. Projects might include irrigation, seeding, planting and curbing. Money would be added to this fund yearly so as to continue to bring our medians and boulevards up to the standards our citizens expect. Increase in FY14 is for a design we can use on all our future median and boulevard improvements that would incorporate the use of water efficient natural native landscaping. Kagy Median from Willson to Highland is the next to be improved. Others include N 27th south of Baxter Lane, N 7th and S 27th in Meadow Creed subdivision area. ALTERNATIVES CONSIDERED Continue to do minimal repairs to the medians and boulevards using Street Depts. operational funds. Do nothing. Recruit volunteers, this would be used any time it is possible with the proposed funding. Take out the medians and pave them ADVANTAGES OF APPROVAL Keeping boulevards and medians maintained help keep our street edges intact. Many of our medians are in entryway corridors and are in dire need of repair. Well maintained boulevards and medians help with storm water runoff thus keeping it out of our streams. Not having to water by hand and budget for the manpower to do so. Street edges bordered by medians not having to be repaired yearly because of the curb edges breaking off. Well designed medians have been proven to help calm traffic. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED As Scheduled. FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 $25,000 FY18 $25,000 FY19 $25,000 City of Bozeman 210 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR20 DEPARTMENT STREETS PROJECT NAME BIKE PATH IMPROVEMENTS FY15 $25,000 FY16 $25,000 Unscheduled DESCRIPTION OF PROJECT This item would provide for bike-related infrastructure including (but, not limited to) racks, signs, striping, curb-cuts, and separated pathways. The Greater Bozeman Area Transportation Plan (2007 Update) Section 5.4 Recommended Bicycle Facility Improvements outlines many imrpovements. In February 2012 the Bozeman Area Bicycle Advisory Board (BABAB) gave the City their top 3 priorities: They are listed with City Engineering cost estimates: 23rd Ave - College to Main, $15,500; North 11th Ave - Mendenhall to Durston, $14,500; Willson Ave - Main Street to Kagy Blvd, $54,300. ALTERNATIVES CONSIDERED Continue with existing infrastructure. ADVANTAGES OF APPROVAL Safety will likely be improved. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional operating costs. FUNDING SOURCES 100% Street Maintenance Fund New Replacement Equipment Project FY17 $25,000 FY18 $25,000 FY19 $25,000 City of Bozeman 211 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR22 DEPARTMENT STREETS PROJECT NAME GRADER LEASE FY15 $50,000 FY16 $50,000 Unscheduled DESCRIPTION OF PROJECT This is a request to establish a 25 year replacement schedule for our graders. Currently our fleet is comprised of a 1981, 1994, 1998, 2003 and a 2007. The '81 will be replaced in FY13 and the '94 will be replaced in FY19. Although the industry standard schedules a 15 year replacement we believe with our extensive preventative maintenance schedule will allow us to get 20 to 25 years out of a grader. The old grader would be traded in. ALTERNATIVES CONSIDERED Budget 250k every 5 years to purchase. Cut back on our use of graders in the residential areas. Continue to use what we have and replace when we have complete failure. ADVANTAGES OF APPROVAL Much more reliable equipment. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Decrease in costs due to newer equipment. FUNDING SOURCES 100% Street Maintenance Revenue New Replacement Equipment Project FY17 $50,000 FY18 $50,000 FY19 $50,000 City of Bozeman 212 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR30 DEPARTMENT STREETS PROJECT NAME CONCRETE REPAIR PROGRAM FY15 $50,000 FY16 $50,000 Unscheduled DESCRIPTION OF PROJECT This is a request for money to use for concrete repairs and replacements. Repairs such as valley gutters, drainage facilities, wing walls, bridge faces, and sidewalk panels. Any unused money would go to supplement the curb replacement program. ALTERNATIVES CONSIDERED Continue to do small pieces of needed repairs with money from operations. ADVANTAGES OF APPROVAL We would have money budgeted for other concrete repairs. We would tag onto the curb bids to get the most for our money. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 $50,000 FY18 $50,000 FY19 $50,000 City of Bozeman 213 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR33 DEPARTMENT STREETS PROJECT NAME Asphalt Patch Truck FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This is a request to replace our 1991 patch truck. At the time of replacement it will be 26 years old. Before we decide on a particular model we will demo several different types to decide which is best for our operations. With advancements in emission reduction this new truck will emit less than ½ the emissions that the truck it replaces. ALTERNATIVES CONSIDERED Contract out patching. Continue to use this truck. Increase response time to pothole requests. ADVANTAGES OF APPROVAL Less emissions. More efficient operations. Decrease response time to pothole requests. Better safety systems on new unit. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No increase in costs. Decrease in costs expected, FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 $150,000 FY18 FY19 City of Bozeman 214 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR34 DEPARTMENT STREETS PROJECT NAME SWEEPERS FY15 $75,000 FY16 $75,000 Unscheduled DESCRIPTION OF PROJECT This is a request to replace a sweeper every 5 years. In the past we depended on the State for funds through the MACI program to purchase a sweeper every five years if funding was available. Funding is very sporadic. Industry standards recommend replacing municipal street sweepers every 4-5 years. We will always pursue a sweeper through the MACI program when it becomes available. Our current fleet of sweepers include a 1991, 1999, 2005 and a 2009 model. The 1991 and 1999 models will be replaced in 2012. One is through the MACI program and one will be leased. The 2005 will be replaced in 2017 if no MACI funds become available. ALTERNATIVES CONSIDERED Budget 200k every year until all sweepers are replaced. Cut back on our sweeping There are no local contractors at this time. Continue to use what we have. ADVANTAGES OF APPROVAL Much improved operations. Better air quality. Improved storm water discharge. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES 100% Street Mtc Fund. New Replacement Equipment Project FY17 $75,000 FY18 $75,000 FY19 $75,000 City of Bozeman 215 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR35 DEPARTMENT STREETS PROJECT NAME REGENERATIVE AIR SWEEPER FY15 FY16 Unscheduled $250,000 DESCRIPTION OF PROJECT This is a request for a new regenerative air (RA) sweeper. This would an addition to our sweeper fleet. RA sweepers use a blast of air to dislodge the street debris and suck it into the hopper. It reuses the air so no polluted or particulate air is released into the atmosphere. These type of sweepers help us to comply with air quality requirements (particulate matter of 2.5 microns or less) and storm water Best Management Practices. ALTERNATIVES CONSIDERED Only use mechanical sweepers which discharge dust when sweeping. ADVANTAGES OF APPROVAL We could improve our discharge into the storm water system. Spring sweeping of the winter sand would generate less dust therefore eliminating complaints from citizens and DEQ. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Normal sweeper maintenance costs. FUNDING SOURCES 100% Street Maintenance District New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 216 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR38 DEPARTMENT STREETS PROJECT NAME Mini Loader FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This request is for a mini loader that would mainly be used for sidewalk maintenance including plowing, removal and repairs. Currently we are using 30+ year old CJ5 Jeeps to plow the sidewalks because they fit on the 5 foot wide sidewalks. Replacing these is getting tougher because of availability. This loader would accept many attachments that we already have such as brooms, sweepers and plows. This loader would be available for use in other departments. It would be useful in tight situations where a full size loader wouldn’t fit such as when the mini excavator is being used and material needs to be moved off site. ALTERNATIVES CONSIDERED No comparable equipment is available for rent. ADVANTAGES OF APPROVAL If we are going to continue to maintain city owned sidewalks in the manner we require businesses and residents to then we need to find some sort replacement of the Jeeps for the over 2 miles of sidewalks we plow. This does not include what the Parks Department plows. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Less than what is spent on the Jeeps. FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 FY18 $70,000 FY19 City of Bozeman 217 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR39 DEPARTMENT STREETS PROJECT NAME Trailer Mounted Spray Patcher FY15 $75,000 FY16 Unscheduled DESCRIPTION OF PROJECT This is a request for a oil/aggregate trailer mounted spray patcher. This would be a worthwhile addition to our pavement preservation program. Catching minor pavement imperfections before they have to be dug out and patched is very cost effective. Alligator cracking, small indentations (birdbaths), broken radii and wide cracks could be repaired with a spray patcher. This machine can be used in colder weather when hot mix asphalt is not available. When a utility cut is made in a newly chip sealed street the repair leaves a low spot that collects water and can rapidly deteriorate into a pothole. This machine would be able to reinstall the chip seal on the repair. Premature delaminating of a chip seal can repaired before in turns into a mill and overlay saving thousand in repair costs. We have demonstrated several models and rented one this summer for one month. Both the State and Gallatin County each have one and highly recommend them for pavement repairs. ALTERNATIVES CONSIDERED Continue to dig out minor pavement failures and patch with hot mix. ADVANTAGES OF APPROVAL Prolong the need for major repairs. Save time on minor repairs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Additional aggregate (chips) and emulsion oil. Approx. $5,000.00 per season. FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 218 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR40 DEPARTMENT STREETS PROJECT NAME SINGLE AXLE DUMP TRUCK W/PLOW AND SANDER FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This request is for a single axle dump truck with a 4 yard box. A plow and sander would also be included. This will replace a 1990 underpowered gasoline engine dump truck that averages about 3 MPG when used for plowing operations. The new truck could be fueled with alternative fuels such as Biodiesel. Estimates shows that the 1990 spews over 30 tons of CO2 into the air per year and by removing this from our fleet will help us in our goal of reducing municipal greenhouse emissions 15% below 2000 levels by 2020. ALTERNATIVES CONSIDERED Continue with 1990 model. ADVANTAGES OF APPROVAL Efficiency, less emissions, safety, fuel savings and more reliable equipment. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Less than current model. FUNDING SOURCES 100% Street Maintenance District Revenue New Replacement Equipment Project FY17 FY18 $160,000 FY19 City of Bozeman 219 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR41 DEPARTMENT STREETS PROJECT NAME City-wide Striping Design Plan FY15 $50,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project would create a comprehensive striping plan for streets, bike lanes, etc. around the entire City. ALTERNATIVES CONSIDERED Do not develop the plan. ADVANTAGES OF APPROVAL We have a tool for staff to rely on to plan our street striping activities. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES 100% Street Maintenance Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 220 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR42 DEPARTMENT Streets PROJECT NAME Asphalt Hot Box FY15 $35,000 FY16 Unscheduled DESCRIPTION OF PROJECT The asphalt hot box would allow crews to continue patching in the winter. We have the ability to make recycled hot asphalt just no way to transport it and keep it warm. This would also give us the tools needed to patch any utility cuts made in the winter rather than repairing the cut on a daily basis through the winter. ALTERNATIVES CONSIDERED Continue with current operations with the ability to only patch street when the weather is warm. Only make temporary patches that must be redone until the asphalt plant opens ADVANTAGES OF APPROVAL Better for traveling public year round. Less damage to snow plows when they hit a failed repair under the snow. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal. Propane for heating the box. FUNDING SOURCES 100% Street Maintenance Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 221 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Street Maintenance District PROJECT NUMBER STR43 DEPARTMENT Streets PROJECT NAME Self Propelled, Self Loading Asphalt Milling Machine with Trailer FY15 FY16 Unscheduled $275,000 DESCRIPTION OF PROJECT This will be a milling machine to do projects larger than patching. This machine grinds off the top 2; of asphalt so that a new layer can be replaced. We would be able to pave larger areas of streets and alleys. Repairs of streets with multiple utility cuts could be done without waiting to contract it out or just let it deteriorate. ALTERNATIVES CONSIDERED Contract out or wait until street needs to be reconstructed. ADVANTAGES OF APPROVAL Savings to street budget from doing large repairs before street falls apart. Repave a single block when only the one block needs to be repaved. Mill intersections so pavement crossings can be replaced with hot tape. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Operating costs plus the additional asphalt that will be used in our expanded street repair programs. FUNDING SOURCES 100% Street Maintenance Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 222 Capital Improvement Plan FY2015-FY2019 Wa s t e w a t e r  Fu n d   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 1 , 8 9 9 , 7 2 8 $         2, 0 2 4 , 5 8 2 $                 1, 7 5 0 , 9 4 1 $         1, 8 4 6 , 1 0 6 $         1, 9 4 2 , 4 6 2 $   2,295,579 $     ‐$                     Pl u s :    Wa s t e w a t e r  Re v e n u e s  De d i c a t e d  to  CI P 1, 2 7 8 , 5 0 4 $         1, 3 1 6 , 8 5 9 $                 1, 3 5 6 , 3 6 5 $         1, 3 9 7 , 0 5 6 $         1, 4 3 8 , 9 6 7 $   1,482,137 $     ‐$                     Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (1 , 1 5 3 , 6 5 0 ) $       (1 , 5 9 0 , 5 0 0 ) $             (1 , 2 6 1 , 2 0 0 ) $       (1 , 3 0 0 , 7 0 0 ) $     (1 , 0 8 5 , 8 5 0 ) $  (1,810,050)$   (8,000,000)$     Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 2, 0 2 4 , 5 8 2 $         1, 7 5 0 , 9 4 1 $                 1, 8 4 6 , 1 0 6 $         1, 9 4 2 , 4 6 2 $         2, 2 9 5 , 5 7 9 $   1,967,666 $     (8,000,000)$     As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Wa s t e w a t e r  Re v e n u e s 6, 2 0 6 , 3 3 0 $               6, 3 9 2 , 5 2 0 $                     6, 5 8 4 , 2 9 5 $             6, 7 8 1 , 8 2 4 $             6, 9 8 5 , 2 7 9 $       7,194,837 $           Es t i m a t e d  An n u a l  In c r e a s e 3. 0 % 3% 3% 3% 3%3% To t a l  Es t i m a t e d  Re v e n u e s 6, 3 9 2 , 5 2 0 $               6, 5 8 4 , 2 9 5 $                     6, 7 8 1 , 8 2 4 $             6, 9 8 5 , 2 7 9 $             7, 1 9 4 , 8 3 7 $       7,410,683 $        Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 20 . 0 % 20 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0%    To t a l  % De d i c a t e d  to  CI P 20 . 0 % 20 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % Tt l Et i t d R Dd i t d t C I P 1 2 7 8 5 0 4 $ 1 3 1 6 8 5 9 $ 1 3 5 6 3 6 5 $ 1 3 9 7 0 5 6 $ 1 4 3 8 9 6 7 $ 1 482 137 $ Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 1, 2 7 8 , 5 0 4 $             1, 3 1 6 , 8 5 9 $                   1, 3 5 6 , 3 6 5 $             1, 3 9 7 , 0 5 6 $           1, 4 3 8 , 9 6 7 $     1,482,137 $       9, 0 0 0 , 0 0 0 8, 0 0 0 , 0 0 0 7, 0 0 0 , 0 0 0 6, 0 0 0 , 0 0 0 5, 0 0 0 , 0 0 0 4, 0 0 0 , 0 0 0 3, 0 0 0 , 0 0 0 2, 0 0 0 , 0 0 0 1, 0 0 0 , 0 0 0 0 Wa s t e w a t e r  Fu n d  Pr o j e c t s  & Eq u i p m e n t   Ci t y of Bo z e m a n 22 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Wa s t e w a t e r   Fu n d WW 3 5 PU B L I C  WO R K S GR A N I T E  XP  UP G R A D E $1 8 , 0 0 0 WW 3 6 PU B L I C  WO R K S WE B  MA P P I N G  SY S T E M  IN T E G R A T I O N $4 5 , 0 0 0 WW 2 7 WR F  PL A N T WA T E R S H E D  ST U D Y  AN D  ST R E A M   MO D E L I N G $6 0 , 0 0 0 $6 0 , 0 0 0 $6 0 , 0 0 0 $6 0 , 0 0 0 $60,000 WW 2 8 WR F  PL A N T DE S I G N  PH A S E  II  ‐   WR F  PL A N T   IM P R O V E M E N T S $5,230,000 WW 2 9 WR F  PL A N T EN E R G Y  RE C O V E R Y  (M E T H A N E  CO ‐ GE N E R A T I O N )  PR O J E C T $2,200,000 $350,000 WW 3 3 WR F  PL A N T IN S T A L L  SE C O N D  SC R E W  PR E S S  AN D   EN C L O S U R E $220,000 WW 3 5 WR F  PL A N T RE P L A C E  CO M M E R C I A L  MO W E R $1 3 , 0 0 0 WW 3 6 WR F  PL A N T UP G R A D E  TR U C K  BA R N $3 6 , 0 0 0 WW 3 7 WR F  PL A N T UP G R A D E  OL D  PL C ' S  AN D  FI R M W A R E $2 9 , 0 0 0 WW 3 8 WR F  PL A N T #3  PE R F O R A T E D  SC R E E N  & WA S H E R   CO M P A C T O R $1 4 0 , 0 0 0 WW 3 9 WR F  PL A N T SA N D L A S T  & PA I N T  OL D  CL A R I F I E R   DR I V E S ,  BE A C H E S ,  BA F F L E S  & WE I R S  (6   TO T A L ) $1 5 , 0 0 0 $1 5 , 0 0 0 $1 5 , 0 0 0 WW 4 0 WR F  PL A N T UV  BU I L D I N G  SH A D I N G  MA T E R I A L $1 5 , 0 0 0 WW 4 1 WR F  PL A N T RE P L A C E  4"  DU C T I L E  PI P E  TH R O U G H   DE W A T E R I N G  BA S E M E N T  WI T H  GL A S S   LI N E D  PI P E $1 5 , 0 0 0 WW 4 2 WR F  PL A N T PR I M A R Y  CL A R I F I E R  CO V E R S $350,000 $3 5 0 , 0 0 0 $350,000 WW 4 3 WR F  PL A N T SE A L  MI X E R  FL A N G E S  ON  DI G E S T E R  1 $2 0 , 0 0 0 WW 4 4 WR F  PL A N T MO D I F Y  FL O T A T I O N  TH I C K E N E R WW 4 5 WR F  PL A N T FI N A L  CL A R I F I E R  LA U N D E R  CO V E R S $4 0 , 0 0 0 $4 0 , 0 0 0 $4 0 , 0 0 0 $4 0 , 0 0 0 WW 4 6 WR F  PL A N T CO N C R E T E  PA D  FO R  RO L L O F F  TR U C K   CO N T A I N E R S . $1 4 , 0 0 0 Ci t y of Bo z e m a n 22 4 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 PW 0 1 WW  OP S SH O P S  FA C I L I T Y  EX P A N S I O N  PL A N $1 0 , 0 0 0 WW 0 7 WW  OP S EN G I N E E R I N G / D E S I G N  FO R  AN N U A L   WA S T E W A T E R  PI P E  RE P L A C E M E N T S $2 2 , 5 0 0 $2 2 , 5 0 0 $2 2 , 5 0 0 $2 2 , 5 0 0 $22,500 WW 0 8 ‐15 WW  OP S WA S T E W A T E R  PI P E  RE P L A C E M E N T   PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 5 $9 1 4 , 0 0 0 WW 0 8 ‐16 WW  OP S WA S T E W A T E R  PI P E  RE P L A C E M E N T   PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 6 $9 5 2 , 7 0 0 WW 0 8 ‐17 WW  OP S WA S T E W A T E R  PI P E  RE P L A C E M E N T   PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 7 $8 0 3 , 2 0 0 WW 0 8 ‐18 WW  OP S WA S T E W A T E R  PI P E  RE P L A C E M E N T   PR O G R A M  ‐   CO N S T R U C I T O N  IN  20 1 8 . $9 6 3 , 3 5 0 WW 0 8 ‐19 WW  OP S WA S T E W A T E R  PI P E  RE P L A C E M E N T   PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 9 $1,027,550 WW 2 6 WW  OP S FL U S H E R  VA C  TR U C K  RE P L A C E M E N T $3 6 5 , 0 0 0 WW I F 1 5 WW A T E R  IF FL A N D E R S  MI L L  ‐   HI D D E N  VA L L E Y  TR U N K   MA I N  AN D  LI F T  ST A T I O N Su m m a r y  f or    Wa s t e w a t e r  Fu n d  (27  it e m s ) To t a l s  by  ye a r : $1 , 5 9 0 , 5 0 0 $ 1 , 2 6 1 , 2 0 0 $ 1 , 3 0 0 , 7 0 0 $8,000,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $1,810,050 $1 , 0 8 5 , 8 5 0 FY 1 8 Ci t y of Bo z e m a n 22 5 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER PW01 DEPARTMENT WW OPS PROJECT NAME SHOPS FACILITY EXPANSION PLAN FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The construction of the new Vehicle Maintenance Shop at the Lower Yards on Rouse Avenue in FY10/FY11 was Phase I in expanding and improving our ability to service equipment, store vehicles, and provide work space for Public Works, Parks, and Facilitiy services. Questions remain about the long-term plan for construction, location, and expansion for: Streets, Sign & Signal, Forestry, Water/Sewer Operations, Solid Waste Collection & Recycling, Facilities, and Parks & Cemetery departments. This project would develop a master plan. In scheduling this project, we are recommending waiting until after the Vehicle Maintenance Division is relocated to its new shop and the interior improvements are made to the Shop at Rouse and Tamarack Street for the remaining divisions. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES From related divisions: General Fund 20% ($10,000), Water Fund 20% ($10,000), Wastewater Fund 20% ($10,000), Street Maintenance Fund 20% ($10,000), Solid Waste Fund 20% ($10,000). New Replacement Equipment Project FY17 $10,000 FY18 FY19 City of Bozeman 226 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW07 DEPARTMENT WW OPS PROJECT NAME ENGINEERING/DESIGN for ANNUAL WASTEWATER PIPE REPLACEMENTS FY15 $22,500 FY16 $22,500 Unscheduled DESCRIPTION OF PROJECT This item provides for design work to be completed every-other year, in anticipation of the Annual System Upgrades. As the Wastewater Operations Division televises (views) the existing system, maintenance projects become apparent. As annual televising continues, other more-urgent projects may be identified and designed under this project heading. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for design of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 $22,500 FY18 $22,500 FY19 $22,500 City of Bozeman 227 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW08-15 DEPARTMENT WW OPS PROJECT NAME WASTEWATER PIPE REPLACEMENT PROGRAM - Construction in 2015 FY15 $914,000 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: S. 3rd Ave: W. Olive St - W. Lincoln St S. 4th Ave: W. Babcock St - W. Olive St S. 4th Ave: W. College St - W. Lincoln St S. 5th Ave: W. Olive St - W. Lincoln St W. Babcock St: S. 6th Ave - S. Grand Ave W. Olive St: S. 6th Ave - S. 3rd Ave Alley N of Koch: S. 5th Ave - E. End. After budget approval July 1, 2014, this project would complete design, bid and begin construction in the Spring/Summer of 2015, at the end of FY15. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 228 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW08-16 DEPARTMENT WW OPS PROJECT NAME WASTEWATER PIPE REPLACEMENT PROGRAM - Construction in 2016 FY15 FY16 $952,700 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: Interstate/walmart: N. Rouse Ave - N. 3rd Ave Pea Cannery Line: N. Rouse Ave - End Juniper Street: N. Rouse Ave - E. Tamarack St N. Rouse Ave: Humane Society - Bridger Center Dr Bridger Center Main: Bridger Drive - N End of Main Industrial Dr: Trunk Main - Half way to Griffin. After budget approval July 1, 2015, this project would complete design, bid and begin construction in the Spring/Summer of 2016, at the end of FY16. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 229 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW08-17 DEPARTMENT WW OPS PROJECT NAME WASTEWATER PIPE REPLACEMENT PROGRAM - Construction in 2017 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: Alley N of Story: S 5th Ave - E. End Alley N of Dickerson: S 5th Ave - E. End, Alley N of Alderson: S 5th Ave - E. End W. College St: S 5th Ave - E. End, W. College St: S 4th Ave - S. 3rd Ave Alley N. of Harrison: S. 5th Ave - S. 4th Ave, Alley N. of Cleveland: S. 5th Ave - S. 4th Ave S. 6th Ave: W. Babcoc St - Alley N. of Olive, S. 6th Ave: W. Story St - W. Grant St S. 7th Ave: Alley N of Olive - W. Story St, S. 7th Ave: W. Story St - W. Harrison W. Olive St: S. 6th Ave - S. 7th Ave, W. Story St: S. 6th Ave - S. 7th Ave Alley btwn 7th & 8th: Alley N of Olive - Alley N. of Koch Alley btwn 7th & 8th: Alley N of Dickerson - W. Harrison St.. After budget approval July 1, 2016, this project would complete design, bid and begin construction in the Spring/Summer of 2017, at the end of FY17. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 $803,200 FY18 FY19 City of Bozeman 230 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW08-18 DEPARTMENT WW OPS PROJECT NAME WASTEWATER PIPE REPLACEMENT PROGRAM - Construciton in 2018. FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Alley N of Babcock: S. 11th Ave-Alley E. of 7th: W Babcock St: S. 11th- S. 10th Ave.: Alley N of Olive: S. 6th Ave-S 7th Ave.: Alley N Of Olive: S. 11th Ave.- Alley E of 8th: Alley btwn 8th&9th: Alley N of Olive-W. College St: S. 9th St.: W. Main St.-Alley N of Olive: Alley btwn 9th&10th: Alley N of Olive- W. College St: S. 10th Ave: W. Main St – W. Harrison St: W. Harrison St: S. 6th Ave – S 10th Ave. After budget approval July 1, 2017, this project would complete design, bid and begin construction in the Spring/Summer of 2018, at the end of FY18. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 FY18 $963,350 FY19 City of Bozeman 231 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW08-19 DEPARTMENT WW OPS PROJECT NAME WASTEWATER PIPE REPLACEMENT PROGRAM - Construction in 2019 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: Alley W of S 10th Ave: Alley N of Olive- W. Koch St. Alley W of S 10th Ave: N of Dickerson – W. Alderson St. Alley W of S 10th Ave: N of College- W. College St. W. Curtiss St: S. 10th Ave-Alley W of S. 10th. W. Curtiss St.: Alley W of S. 11th. Chequamegon Village: All internal mains. W. Koch St: Alley W of S. 10th- Alley W of S. 12th. Alley W of S 11th Ave: Alley S of Alderson – University. W. Villard St: N. 7th Ave- N. 8th Ave. N. 8th Ave: W. Villard – W. Beall St. N. 8th Ave: W. Beall St – W. Mendenhall St. Alley N of Main St: N. 9th Ave _ N. 7th Ave. Alley W of 8th Ave: W. Durston Rd – W. Villard St. W. Villard St : Alley W of N 8th – N. 9th Ave. N. 9th Ave: W. Villard St – W. Main St. W. Beall St: N. 8th Ave – N. 9th Ave. Alley W of 9th Ave: W. Durston Rd – W. Villard St. W. Villard St: Alley W of 9th Ave – N. 10th Ave. N. 10th Ave : W. Villard St- W. Main St. Alley W. of 10th Ave: W. Durston Rd – W. Mendenhall St. W. Lamme St: N. 9th Ave – N. 11th Ave. After budget approval July 1, 2018, this project would complete design, bid and begin construction in the Spring/Summer of 2019, at the end of FY18. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary sewer system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Utility Fund New Replacement Equipment Project FY17 FY18 FY19 $1,027,550 City of Bozeman 232 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW26 DEPARTMENT WW OPS PROJECT NAME FLUSHER VAC TRUCK REPLACEMENT FY15 $365,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replacement of the City’s Flusher Vac Truck. This flusher vac truck is used daily to excavate around critical infrastructure i.e. fiber optics, gas, and electric lines in addition to flushing and vacuuming sewer mains. At time of replacement, this truck will be approximately 10 years old. The existing truck will be sold at auction. ALTERNATIVES CONSIDERED Continue to use older vehicle which will be costly to maintain. ADVANTAGES OF APPROVAL Increased reliability and safety for staff and wastewater operations. This piece of equipment eliminates costly repairs because we can avoid hitting utilities with a hoe and utilize the vacuum instead. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating and Maintenance Costs: Operating and repair costs are expected to be lower than the existing vehicle. FUNDING SOURCES 100% Wastewater utility fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 233 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW27 DEPARTMENT WRF PLANT PROJECT NAME Watershed Study and Stream Modeling FY15 $60,000 FY16 $60,000 Unscheduled DESCRIPTION OF PROJECT Develop a comprehensive, multi-year watershed study and computer model for the East Gallatin River which would enable the City and DEQ to better determine stream load allocations and develop a more scientifically valid TMDL for the river segment we discharge to. This will require annual field sample collection, laboratory analytical work and detailed computer modeling using calibrated data. This multi-year study would consist of $45,000 in consulting and computer modeling fees for at least two fiscal years (FY14 and FY15) and stream sampling/lab fees of $15,000 each year. Craig recommends we should be prepared to continue this work beyond FY15 as necessary. ALTERNATIVES CONSIDERED Not undertake this work and risk having to accept the TMDL and waste load allocations the DEQ has proposed in their original draft documents. This decision could greatly limit our ability to appeal future nutrient limitations and could result in non- compliance. ADVANTAGES OF APPROVAL This watershed study will greatly enhance the City’s understand of our impact on the East Gallatin River and enable us to more successfully negotiate future permit limitations with the DEQ. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None, unless additional stream sampling is desired in subsequent years. FUNDING SOURCES 100% Wastewater Fund New Replacement Equipment Project FY17 $60,000 FY18 $60,000 FY19 $60,000 City of Bozeman 234 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW28 DEPARTMENT WRF PLANT PROJECT NAME DESIGN PHASE II - WRF PLANT IMPROVEMENTS FY15 FY16 Unscheduled $5,230,000 DESCRIPTION OF PROJECT In January 2006 Morrison & Maierle Consulting Engineers completed a comprehensive Wastewater Facilities Plan. The plan recommends the City proceed with a 3-phased project schedule that includes the construction of the new Water Reclamation Facility (WRF), capable of handling our increased flows while also reducing the amount of Total Nitrogen discharged to the East Gallatin River. Phase two is expected to include one new primary clarifier, more BNR reactor basins, clarifiers, tertiary membrane filtration, liquid sludge storage tanks, anaerobic digestion, and an effluent re-use pumping station. The capacity expanding (impact fee eligible) elements are: bioreactor basins, clarifiers, and pumping station. It is possible that this phase of the project could be further divided into phase 2A and phase 2B, if necessary. ALTERNATIVES CONSIDERED A variety of treatment technologies and alternatives are presented in the January 2006 Wastewater Facilities Plan. ADVANTAGES OF APPROVAL Major capital expansion of the Bozeman WRF will enable the City to meet its estimated demand for wastewater services and still produce a high quality effluent that is in full compliance with the City’s MPDES discharge permit. Expansion of the Bozeman WRF is consistent with the City’s long-term need to accommodate rapid growth and economic development in the Gallatin Valley. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: no estimates at this time. FUNDING SOURCES Total Design Cost: $5,230,000. We estimate the majority of the project costs are related to regulation and maintenance issues and would be borne by the Utility Fund. Half are related to capacity expansion, and would be borne by Impact Fees. 50% Wastewater Fund, 50% Wastewater Impact Fee Fund. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 235 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW29 DEPARTMENT WRF PLANT PROJECT NAME ENERGY RECOVERY (METHANE CO-GENERATION) PROJECT FY15 FY16 Unscheduled $2,200,000 DESCRIPTION OF PROJECT Consistent with the goals of the City’s Climate Action Plan &amp; Sustainability Programs, the Bozeman WRF staff and Public Works Director recommend we move forward with our proposed investigation and installation of a methane recovery and co- generation system. This system will produce an average of 175 kW of electricity and 974,000 BTU/hour of thermal output using a generator powered entirely by WRF digester gas. This project has the potential to save the City at least $180,000 in electricity costs and substantially lower the carbon footprint of the new Bozeman WRF. This project would be implemented in 3 phases including (1) a feasibility / cost effectiveness study, (2) project engineering / design and (3) the purchase and installation of appropriate technology for the co-generation of electricity at the Bozeman WRF. Year 1: Project Feasibility Study. Year 2: Project Engineering Design - $350,000. Year 3: Equipment Purchase and Installation - $2,200,000. ALTERNATIVES CONSIDERED Continue to flare our digester methane gas. Micro-turbines and fuel-cells have been analysed and continue to be possible alternative energy recovery technologies for this project. Our research to date suggests the most proven technology currently available to help us accomplish our energy recovery goals is likely to be a GE Jenbacher internal combustion engine and heat recovery system. ADVANTAGES OF APPROVAL Current plant waste gases will be captured and utilized to reduce plant operating costs. The project has an estimated net dollar savings of $230,000 per year. It supports the City's Municipal Climate Action Plan goals. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Once construction is funded, this project results in an estimated net dollar SAVINGS of $230,000/year. FUNDING SOURCES Wastewater Fund, other grants or community partners. New Replacement Equipment Project FY17 FY18 FY19 $350,000 City of Bozeman 236 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW33 DEPARTMENT WRF PLANT PROJECT NAME Install second Screw Press and Enclosure FY15 FY16 Unscheduled $220,000 DESCRIPTION OF PROJECT Engineering study and installation of screw press with or without an enclosure. ALTERNATIVES CONSIDERED Increase sludge storage to delay the problem of limited processing capacity. ADVANTAGES OF APPROVAL The second screw press would provide needed redundancy if a screw press breaks down. It would provide extra sludge processing capacity now and for future needs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED If used to increase processing capacity, the extra operating costs would include electricity, polymer use and additional cake hauling. FUNDING SOURCES Wastewater Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 237 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW35 DEPARTMENT WRF PLANT PROJECT NAME Replace Commercial Mower FY15 FY16 $13,000 Unscheduled DESCRIPTION OF PROJECT Replacement of 2001 Mower for use on the WRF grounds. ALTERNATIVES CONSIDERED Continue replacing parts as needed. ADVANTAGES OF APPROVAL Replacement parts will become more difficult to find as the mower ages. The increasing maintenance will mean less time for groundskeeping. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional operating costs. May reduce maintenance costs. FUNDING SOURCES Wastewater Funds. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 238 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW35 DEPARTMENT PUBLIC WORKS PROJECT NAME GRANITE XP UPGRADE FY15 FY16 $18,000 Unscheduled DESCRIPTION OF PROJECT We currently use a Microsoft Access based solution (GraniteXP) for storing our Sewer/Stormwater CCTV inspection records. This project will upgrade the database to a Microsoft SQL format. ALTERNATIVES CONSIDERED Keep using Microsoft Access. ADVANTAGES OF APPROVAL Microsoft SQL provides a more stable database platform for long-term storage of CCTV data. This also provides the ability to integrate with other systems as well as improved reporting capabilities. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Potential for increased annual software maintenance costs. FUNDING SOURCES General Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 239 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW36 DEPARTMENT PUBLIC WORKS PROJECT NAME WEB MAPPING SYSTEM INTEGRATION FY15 $45,000 FY16 Unscheduled DESCRIPTION OF PROJECT Database system integration throughout the organization will provide users with (read-only) access to the most current and reliable information specific to their needs within one browser. This project will integrate the following databases through customized GIS (web) views for each Department: Sungard, Cityworks, MicroPAVER, Laserfiche, Firehouse, DOR ORION, etc. ALTERNATIVES CONSIDERED Keep database systems isolated. ADVANTAGES OF APPROVAL This project will provide access to a variety of information, thus leveraging the power of individual systems in one easy-to-use format. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Maintenance (first year included) = $7,000 FUNDING SOURCES There are numerous funding sources, including the Utility Funds, General Fund, Street Assessment Fund. At budget time, the full project costs will be split among the group. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 240 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW36 DEPARTMENT WRF PLANT PROJECT NAME Upgrade Truck Barn FY15 $36,000 FY16 Unscheduled DESCRIPTION OF PROJECT Upgrade truck barn to provide storage for rolloffs; frame, insulate, sheetrock and heat 1/2 of truck barn for rolloff storage during winter months. ALTERNATIVES CONSIDERED Build a heated storage building to house rolloffs during winter months. ADVANTAGES OF APPROVAL No additional storage area would have to be built saving the structure construction costs. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional costs. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 241 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW37 DEPARTMENT WRF PLANT PROJECT NAME Upgrade Old PLC's and Firmware FY15 $29,000 FY16 Unscheduled DESCRIPTION OF PROJECT THREE PLC'S WILL HAVE THEIR PROCESSORS UPGRADED AND ALL PLC'S WILL HAVE THEIR FIRMWARE UPGRADED. A NEWER VERSION OF PROGRAMMING SOFTWARE WILL BE INSTALLED. ALTERNATIVES CONSIDERED Do nothing. ADVANTAGES OF APPROVAL THE CITY WILL BE ABLE TO HAVE A STANDARD VERSION OF FIRMWARE AND SOFTWARE THAT WILL ALLOW UPGRADING ALL PLC'S AT THE WRF IN THE FUTURE ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No new operating costs. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 242 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW38 DEPARTMENT WRF PLANT PROJECT NAME #3 Perforated Screen & Washer Compactor FY15 FY16 $140,000 Unscheduled DESCRIPTION OF PROJECT Extensive Engineering will be needed to install an additional influent huber screen in head works building because of limited space. Additional screening capacity is needed because during a storm event this summer the influent flow meter pegged out over 15 mgd. ALTERNATIVES CONSIDERED Do nothing. ADVANTAGES OF APPROVAL THE TWO EXISTING SCREENS ARE RUNNING MOST OF THE YEAR SO IF ONE GOES DOWN THERE IS NO REDUNDANCY. HAVING A THIRD SCREEN WOULD PREVENT A HIGH FLOW EVENT FROM OVER FLOWING THE BYPASS CHANNEL INFLUENT GATE. THIS UNSCREENED FLOW CONTAINS MATERIAL THAT CAN PLUS PIPING AND PUMPS CAUSING DAMAGE & EXTRA MAINTENANCE. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED IF PLACED IN A TWO SCREEN ROTATION, THE ONLY EXTRA COSTS WOULD BE AN ANNUAL INSPECTION WITH PARTS REPLACEMENT PLUS CLEANING OF THE SCREEN & CAHNEL IT IS IN. IF USED TO INCREASE CAPACITY, EXTRA ELECTRICITY WOULD BE USED BUT LESS CHANNEL CLEANING WOULD NEED TO BE PERFORMED. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 243 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW39 DEPARTMENT WRF PLANT PROJECT NAME Sandlast & Paint old clarifier drives, beaches, baffles & weirs (6 total) FY15 $15,000 FY16 $15,000 Unscheduled DESCRIPTION OF PROJECT Sandblast and paint old clarifier drives, beaches, baffles weirs. ALTERNATIVES CONSIDERED Do nothing ADVANTAGES OF APPROVAL Replace lost & chipping paint on old clarifiers to prevent deterioration of existing infrastructure. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No new operating costs. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 $15,000 FY18 FY19 City of Bozeman 244 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW40 DEPARTMENT WRF PLANT PROJECT NAME UV Building Shading Material FY15 $15,000 FY16 Unscheduled DESCRIPTION OF PROJECT Netting or covering to place over roof and sides of UV Building during the summer to reduce solar radiation heating the building. ALTERNATIVES CONSIDERED Installing a larger cooling system in the PLC compartment. ADVANTAGES OF APPROVAL LESS POWER WOULD BE USED BY THE VENTILATION SYSTEM AND THE PLC COOLING SYSTEM. KEEPING THE PLC CABINET COOLER WILL PREVENT THE UPS FROM FAULTING. THIS UPS POWER THE PLC AND THE TROJAN UV CONTROL SYSTEM. WHEN THE UV SYSTEM LOOSES POWER IT FAULTS TO A CONDITION OF ALL CHANNELS OPEN AND ALL LAMPS ON. THIS CONDITIONS IS NOT NEEDED TO REDUCE E-COLI BACTERIA AND WASTES POWER. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Man hours needed to place the shading on in the spring and take the shading off in the fall. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 245 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW41 DEPARTMENT WRF PLANT PROJECT NAME Replace 4" Ductile Pipe Through Dewatering Basement with Glass Lined Pipe FY15 $15,000 FY16 Unscheduled DESCRIPTION OF PROJECT Replace 4; Cement Lined Ductile Pipe with Glass Lined pipe in the basement of sludge de-watering building. ALTERNATIVES CONSIDERED Do nothing ADVANTAGES OF APPROVAL THIS PIPE IS INSTALLED IN THE CEILING OF THE SLUDGE DE-WATERING BUILDING BASEMENT WITH NUMEROUS ELBOWS WHICH DOES NOT ALLOW ACCESS TO FLUSHING FOR REMOVAL OF STRUVITE OR BLOCKAGES. INSTALLING GLASS LINED PIPE & FITTINGS WILL REDUCE THE POSSIBILITY OF NEEDING TO FLUSH THE PIPE. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional costs. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 246 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW42 DEPARTMENT WRF PLANT PROJECT NAME Primary Clarifier Covers FY15 FY16 Unscheduled $350,000 DESCRIPTION OF PROJECT INSTALLING A GEODESIC DOME COVER WITH 8 FOOT SIDE WALLS ON A PRIMARY CLARIFIER. THE INSTALLATION WOULD INCLUDE A DOOR, TWO SKYLIGHTS AND A VENT TUBE. ALSO CLARIFIER DRIVE MOTOR AND CONTROLS WOULD HAVE TO BE EXPLOSION PROOF. ALTERNATIVES CONSIDERED Do nothing ADVANTAGES OF APPROVAL COVERING THE PRIMARY CLARIFIERS WILL ALLOW ODOR CONTROL & ELIMINATE CLEANING & PAINTING. CLEANING & PAINTING OF ALL RAILINGS AND CATWALKS IS AN ON-GOING MAINTENANCE ISSUE TO REMOVE GREASE & DROPPINGS DEPOSITED BY BIRDS. COVERS ON PRIMARY CLARIFIERS WOULD ALLOW SOME CLARIFIERS NOT TO BE USED DURING THE WINTER ALLOWING MORE NEEDED CARBON TO ENTER THE BIO-TRAINS. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Only maintenance of odor control would be additional. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 $350,000 FY18 FY19 $350,000 City of Bozeman 247 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW43 DEPARTMENT WRF PLANT PROJECT NAME Seal Mixer Flanges on Digester 1 FY15 $20,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project replaces the concrete that has been eaten away by H2S on the mixer flanges of Digester 1, extending its useful life and improving operator safety. The mixers would have to be pulled and the concrete sealing surface under the mixer flanges rebuilt. ALTERNATIVES CONSIDERED Inject epoxy into flange area to seal flange. ADVANTAGES OF APPROVAL REPLACE CONCRETE THAT HAS BEEN EATEN AWAY BY H2S TO INSURE STRUCTURAL INTEGRITY OF THE MIXER SUPPORT AREA AND PROVIDE A TIGHT SEAL. PREVENT H2S AND METHANE GAS LEAKAGE FOR OPERATOR SAFETY. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional operating costs. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 248 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW44 DEPARTMENT WRF PLANT PROJECT NAME Modify Flotation Thickener FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Modify the existing flotation thickener to improve WRF processes. ALTERNATIVES CONSIDERED INCREASE THE BIO-TRAIN MASS, ADD MG(OH)2 AND MICRO C 2000 TO THE BIO-TRAINS TO TREAT THE INCREASED AMMONIA LOAD ADVANTAGES OF APPROVAL Treating the return side stream will reduce the load on the bio-trains and reduce chemical costs associated with these loads. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Electrical costs for compressor, mixer and pumps. FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 249 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW45 DEPARTMENT WRF PLANT PROJECT NAME Final Clarifier Launder Covers FY15 $40,000 FY16 $40,000 Unscheduled DESCRIPTION OF PROJECT To cover effluent launder of one final clarifier a year (4 total) to eliminate algal growth in the launder. THE BRUSH SYSTEM REQUIRES CONTINUAL MAINTENANCE. THERE IS RISK OF BRUSHES BREAKING OFF AND FALLING INTO THE CLARIFIER THAT MAY BLOCK THE WASTING HOPPER ALTERNATIVES CONSIDERED CURRENTLY A BRUSH SYSTEM IS USED TO REDUCE THE AMOUNT OF ALGAL GROWTH WHICH REQUIRES CONTINUAL MAINTENANCE. ADVANTAGES OF APPROVAL COVERING THE CLARIFIERS WILL ELIMINATE CURRENT MAINTENANCE AND HELP REDUCE POTENTIAL HAZZARDS. MAINTENANCE WOULD BE CUT TO TWICE A YEAR ALLOWING OPERATORS TO SPEND TIME ON OTHER DUTIES AT THE PLANT. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Reduce oeprating costs (time & materials) FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 $40,000 FY18 $40,000 FY19 City of Bozeman 250 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WW46 DEPARTMENT WRF PLANT PROJECT NAME Concrete Pad for Rolloff Truck Containers. FY15 $14,000 FY16 Unscheduled DESCRIPTION OF PROJECT Pour 20'x40' concrete pad or two tracks to support steel wheels of sludge cake hauling rolloffs in front and behind truck loading garage. ALTERNATIVES CONSIDERED Lay Steel strips anchored on asphalt to support steel wheels ADVANTAGES OF APPROVAL STEEL REINFORCED CONCRETE WOULD BE PURED WHERE THE ASPHALT HAS BEEN REMOVED, WITH A STEEL PLATE ON TOP EVEN WITH THE ASPHALT SURFACE. THIS CONFIGURATION WOULD BE STRONGER AND BE A LEVEL SURFACE THAT WILL ALLOW EASIER SNOW PLOWING ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional costs FUNDING SOURCES Wastewater Funds New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 251 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Wastewater Fund PROJECT NUMBER WWIF15 DEPARTMENT WWATER IF PROJECT NAME FLANDERS MILL - HIDDEN VALLEY TRUNK MAIN AND LIFT STATION FY15 FY16 Unscheduled DESCRIPTION OF PROJECT THIS PROJECT IS PRIMARILY AN IMPACT FEE ELIGIBLE PROJECT. How much of the project costs will be borne by the Utility is uncertain at this point in time. The project consists of the installation of large diameter sewer from Huffine Lane to the City Water Reclamation Facility along the Cottonwood-Flanders Mill- Hidden Valley alignment as identified in the Wastewater Facility Plan. It also includes a Regional Lift Station located at the north of the alignment and the installation of the force-main necessary to complete the project. $200,000 in design costs and $13,300,000 in construction costs. ALTERNATIVES CONSIDERED Limit development in the area served by this trunk sewer to that which can currently be served. ADVANTAGES OF APPROVAL This project will significantly increase the area which can be served by the City’s wastewater treatment infrastructure making development in this corridor possible. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs. Impact fees may not be used to finance those 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 (est.) = $9.3M 30% Development contribution =$4M. Some of this project could potentially be funded with Utility dollars, or a loan for the impact fee portion of the project underwritten by the Utility. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 252 Capital Improvement Plan FY2015-FY2019 Wa t e r  Fu n d Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P 2 , 4 1 8 , 9 7 9 $         2, 7 5 4 , 7 1 6 $                 1, 9 3 4 , 5 5 7 $         2, 4 1 3 , 1 6 0 $       2, 7 7 7 , 4 7 8 $   3,012,993 $    ‐$                       Pl u s :    Wa t e r  Re v e n u e s  De d i c a t e d  to  CI P 1, 3 9 2 , 4 0 2 $         1, 4 5 5 , 0 6 1 $                 1, 5 2 0 , 5 3 8 $         1, 5 8 8 , 9 6 2 $       1, 6 6 0 , 4 6 6 $   1,726,884 $    ‐$                        Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (1 , 0 5 6 , 6 6 5 ) $       (2 , 2 7 5 , 2 2 0 ) $             (1 , 0 4 1 , 9 3 5 ) $       (1 , 2 2 4 , 6 4 5 ) $   (1 , 4 2 4 , 9 5 0 ) $  (861,000)$      (50,000,000)$    Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P 2, 7 5 4 , 7 1 6 $         1, 9 3 4 , 5 5 7 $                 2, 4 1 3 , 1 6 0 $         2, 7 7 7 , 4 7 8 $       3, 0 1 2 , 9 9 3 $   3,878,878 $    (50,000,000)$    As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Wa t e r  Re v e n u e s 6, 9 6 2 , 0 1 2 $               6, 9 6 2 , 0 1 2 $                     7, 2 7 5 , 3 0 3 $             7, 6 0 2 , 6 9 1 $           7, 9 4 4 , 8 1 2 $       8,302,329 $          Es t i m a t e d  An n u a l  In c r e a s e 0. 0 % 4. 5 % 4. 5 % 4. 5 % 4 . 5 % 4.0% To t a l  Es t i m a t e d  Re v e n u e s 6, 9 6 2 , 0 1 2 $               7, 2 7 5 , 3 0 3 $                     7, 6 0 2 , 6 9 1 $             7, 9 4 4 , 8 1 2 $           8, 3 0 2 , 3 2 9 $       8,634,422 $       Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 20 . 0 % 20 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0%    To t a l  % De d i c a t e d  to  CI P 20 . 0 % 20 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % 2 0 . 0 % Tt l Et i t d R Dd i t d t C I P 1 3 9 2 4 0 2 $ 1 4 5 5 0 6 1 $ 1 5 2 0 5 3 8 $ 1 5 8 8 9 6 2 $ 1 6 6 0 4 6 6 $ 1 726 884 $ Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 1, 3 9 2 , 4 0 2 $             1, 4 5 5 , 0 6 1 $                   1, 5 2 0 , 5 3 8 $             1, 5 8 8 , 9 6 2 $         1, 6 6 0 , 4 6 6 $     1,726,884 $      50 , 0 0 0 , 0 0 0 45 , 0 0 0 , 0 0 0 40 , 0 0 0 , 0 0 0 35 , 0 0 0 , 0 0 0 30 , 0 0 0 , 0 0 0 25 , 0 0 0 , 0 0 0 20 , 0 0 0 , 0 0 0 15 , 0 0 0 , 0 0 0 10 , 0 0 0 , 0 0 0 5, 0 0 0 , 0 0 0 0 Wa t e r  Fu n d  Pr o j e c t s  & Eq u i p m e n t   Ci t y of Bo z e m a n 25 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Wa t e r  Fu n d W3 3 PU B L I C  WO R K S WA T E R  SU P P L Y  CA P I T A L  IM P R O V E M E N T S $50,000,000 W3 4 PU B L I C  WO R K S WA T E R  CO S T  OF  SE R V I C E  AN D  RA T E   ST U D Y $5 0 , 0 0 0 WI F 0 3 WA T E R  IF 5. 3 M G  CO N C R E T E  WA T E R  ST O R A G E   RE S E R V O I R PW 0 1 WA T E R  OP S SH O P S  FA C I L I T Y  EX P A N S I O N  PL A N $1 0 , 0 0 0 W0 3 WA T E R  OP S EN G I N E E R I N G / D E S I G N  FO R  AN N U A L   WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M $2 2 , 5 0 0 $2 2 , 5 0 0 $2 2 , 5 0 0 $2 2 , 5 0 0 $22,500 W0 4 ‐15 WA T E R  OP S WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 5 $1 , 1 4 7 , 7 2 0 W0 4 ‐16 WA T E R  OP S WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 6 $9 6 9 , 4 3 5 W0 4 ‐17 WA T E R  OP S WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 7 $1 , 0 9 7 , 1 4 5 W0 4 ‐18 WA T E R  OP S WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 8 $9 5 2 , 4 5 0 W0 4 ‐19 WA T E R  OP S WA T E R  PI P E  RE P L A C E M E N T  PR O G R A M  ‐   CO N S T R U C T I O N  IN  20 1 9 $838,500 W2 8 WA T E R  OP S CL ‐12  WA T E R  TA P  MA C H I N E $2 0 , 0 0 0 W2 9 WA T E R  OP S LE A K  CO R R E L A T O R $4 5 , 0 0 0 W3 2 WA T E R  OP S LI N E  18 "  PI P E  FR O M  PL A N T  TO   SO U R D O U G H  BY P A S S $1 , 0 0 0 , 0 0 0 W2 5 WA T E R  PL A N T RE P L A C E M E N T  VE H I C L E $4 5 , 0 0 0 W3 0 WA T E R  PL A N T GA U G I N G  ST A T I O N S $4 0 , 0 0 0 W3 1 WA T E R  PL A N T SO U R D O U G H  TA N K  RE P A I R $5 0 , 0 0 0 $4 5 0 , 0 0 0 Ci t y of Bo z e m a n 25 4 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Su m m a r y  f or    Wa t e r  Fu n d  (16  it e m s ) To t a l s  by  ye a r : $2 , 2 7 5 , 2 2 0 $ 1 , 0 4 1 , 9 3 5 $ 1 , 2 2 4 , 6 4 5 $50,000,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $861,000 $1 , 4 2 4 , 9 5 0 FY 1 8 Ci t y of Bo z e m a n 25 5 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER PW01 DEPARTMENT WATER OPS PROJECT NAME SHOPS FACILITY EXPANSION PLAN FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The construction of the new Vehicle Maintenance Shop at the Lower Yards on Rouse Avenue in FY10/FY11 was Phase I in expanding and improving our ability to service equipment, store vehicles, and provide work space for Public Works, Parks, and Facilitiy services. Questions remain about the long-term plan for construction, location, and expansion for: Streets, Sign & Signal, Forestry, Water/Sewer Operations, Solid Waste Collection & Recycling, Facilities, and Parks & Cemetery departments. This project would develop a master plan. In scheduling this project, we are recommending waiting until after the Vehicle Maintenance Division is relocated to its new shop and the interior improvements are made to the Shop at Rouse and Tamarack Street for the remaining divisions. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES From related divisions: General Fund 20% ($10,000), Water Fund 20% ($10,000), Wastewater Fund 20% ($10,000), Street Maintenance Fund 20% ($10,000), Solid Waste Fund 20% ($10,000). New Replacement Equipment Project FY17 $10,000 FY18 FY19 City of Bozeman 256 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W03 DEPARTMENT WATER OPS PROJECT NAME ENGINEERING/DESIGN for ANNUAL WATER PIPE REPLACEMENT PROGRAM FY15 $22,500 FY16 $22,500 Unscheduled DESCRIPTION OF PROJECT This item provides for design work to be completed every year, in anticipation of the Annual System Upgrades. As the Water Operations Division operates the existing system, maintenance projects become apparent. Given our knowledge of system conditions today, the following projects are candidates for design funding and were identified in the Facility Plan: 1. Koch: Lindley to Bozeman, 2. Lindley: Olive to Koch, 3. S. Bozeman: Olive to Story As annual operations occur, other more-urgent projects may be identified and designed under this project heading. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the design of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 $22,500 FY18 $22,500 FY19 $22,500 City of Bozeman 257 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W04-15 DEPARTMENT WATER OPS PROJECT NAME WATER PIPE REPLACEMENT PROGRAM - Construction in 2015 FY15 $1,147,720 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: S. Grand Ave: W. Garfield St - W. College St S. Grand Ave: W College St - W. Main St. N. Rouse Ave: Bond - Griffin (needs to be completed prior to MDOT Rouse project.) The timing of this project is critical to our need to mill-overlay S. Grand Ave. After budget approval July 1, 2014, these projects would complete design, bid and begin construction in the Spring/Summer of 2015, at the end of FY15. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in general maintenance costs. Current cost estimate of $12,500 per water-main mile maintained annually. FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 258 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W04-16 DEPARTMENT WATER OPS PROJECT NAME WATER PIPE REPLACEMENT PROGRAM - Construction in 2016 FY15 FY16 $969,435 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: S. Tracy Ave: W. Garfield St - E. Story St N. Willson Ave: W. Lamme St - W. Short St W. Babcock St: S. 10th Ave - S. 8th Ave N. Montana Ave: E. Tamarack St - N End of Existing. After budget approval July 1, 2015, this project would complete design, bid and begin construction in the Spring/Summer of 2016, at the end of FY16. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in general maintenance costs. Current cost estimate of $12,500 per water-main mile maintained annually. FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 259 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W04-17 DEPARTMENT WATER OPS PROJECT NAME WATER PIPE REPLACEMENT PROGRAM - Construction in 2017 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: W Olive St: S. 5th Ave - S. 3rd Ave W. Olive St: S. 6th Ave - S. 5th Ave N. Grand Ave: W. Lamme St - W. Peach St N. 5th Ave: W. Aspen St - W. Tamarack St S. 3rd Ave: W. Harrison Ave - W. Curtiss St. After budget approval July 1, 2016, this project would complete design, bid and begin construction in the Spring/Summer of 2017, at the end of FY17. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in general maintenance costs. Current cost estimate of $12,500 per water-main mile maintained annually. FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 $1,097,145 FY18 FY19 City of Bozeman 260 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W04-18 DEPARTMENT WATER OPS PROJECT NAME WATER PIPE REPLACEMENT PROGRAM - Construction in 2018 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: S 6th Ave: W. Harrison Ave- W Olive S: W. Koch St: S Grand Ave.- S. Willson Ave: S. Willson Ave.: W. College St- W. Koch St. After budget approval July 1, 2017, this project would complete design, bid and begin construction in the Spring/Summer of 2018, at the end of FY18. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 FY18 $952,450 FY19 City of Bozeman 261 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W04-19 DEPARTMENT WATER OPS PROJECT NAME WATER PIPE REPLACEMENT PROGRAM - Construction in 2019 FY15 FY16 Unscheduled DESCRIPTION OF PROJECT PROJECT AREA: S 7th Ave: W. Harrison Ave-W. Story St: W. Harrison Ave: S.8th Ave- S 7th Ave : W. Harrison Ave. S. 5th Ave.- S. 4th Ave: W. Harrison Ave. : S. 4th Ave. _ S. 3rd Ave.: S.5th Ave: W. Garfield St- W. College St. After budget approval July 1, 2018, this project would complete design, bid and begin construction in the Spring/Summer of 2019, at the end of FY18. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Provides for the construction of necessary water system maintenance work. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual Operating & Maintenance Costs: Incremental increases in general maintenance costs. Current cost estimate of $12,500 per water-main mile maintained annually. FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 FY18 FY19 $838,500 City of Bozeman 262 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W25 DEPARTMENT WATER PLANT PROJECT NAME Replacement Vehicle FY15 FY16 Unscheduled DESCRIPTION OF PROJECT Replacement 4-wheel Drive ½ Ton pick-up, replaces 1997 ¾ ton pick-up that currently has 99,400 miles ALTERNATIVES CONSIDERED Keep existing unit in service ADVANTAGES OF APPROVAL More reliable, more fuel efficient vehicle ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED none FUNDING SOURCES Water Rates New Replacement Equipment Project FY17 $45,000 FY18 FY19 City of Bozeman 263 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W28 DEPARTMENT Water Ops PROJECT NAME CL-12 Water Tap machine FY15 $20,000 FY16 Unscheduled DESCRIPTION OF PROJECT This machine enables us to make water taps on water mains ranging in size from 4” to 12” in diameter. ALTERNATIVES CONSIDERED Have a contractor contract with a contract vendor to do these taps. Currently we do all live taps. ADVANTAGES OF APPROVAL This machine is over 40 years old and has been refurbished apox. 7 years ago. It has made hundreds of taps and recently has shown signs of failure. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Water Fund. We do charge contractors for this service and expect a 5 to 7 years payback depending on growth. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 264 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W29 DEPARTMENT Water Ops PROJECT NAME Leak Correlator FY15 $45,000 FY16 Unscheduled DESCRIPTION OF PROJECT This correlator would replace the current one that is 7 years old and showing signs of aging. This piece of equipment has proven to be highly successful in finding leaks and is and will be instrumental in our water conservation program. ALTERNATIVES CONSIDERED To continue to use the old unit that has increasing down time due to repairs. Subcontract the leak detection out at a cost of $1,000.00 a day. ADVANTAGES OF APPROVAL To have a unit that will be more reliable than our current unit. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Water Utility Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 265 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W30 DEPARTMENT WATER PLANT PROJECT NAME Gauging Stations FY15 $40,000 FY16 Unscheduled DESCRIPTION OF PROJECT Per the adopted Integrated Water Resources Plan recommendation, install a new stream gauge on Sourdough Creek and replace existing gauging equipment on Lyman Creek. A suitable location stream gauge location must be identified for Sourdough Creek above the City’s intake diversion and a monitoring protocol developed. An existing gauge site exists on Lyman Creek but the equipment to operate the gauge is no longer functional and must be replaced. ALTERNATIVES CONSIDERED Do not install stream gauges. ADVANTAGES OF APPROVAL Provides monitoring data on all of City’s water sources. Data is important to monitor drought conditions and seasonal variability in supply as well as facilitate future updates to reliable yield hydrology. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional operating costs. Gauge monitoring to become standard operating procedure for water treatment plant personnel. FUNDING SOURCES Water Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 266 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W31 DEPARTMENT WATER PLANT PROJECT NAME Sourdough Tank Repair FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The Sourdough Tank leaks. It has a large crack, the dome is deteriorating. The drain and overflow pipes need replacement. ALTERNATIVES CONSIDERED Do nothing or build a new tank. ADVANTAGES OF APPROVAL Repairing the tank will extend the life of the tank and stop the wasting of water from the leak. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None FUNDING SOURCES Water Fund New Replacement Equipment Project FY17 $50,000 FY18 $450,000 FY19 City of Bozeman 267 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W32 DEPARTMENT WATER OPS PROJECT NAME Line 18" Pipe from Plant to Sourdough Bypass FY15 $1,000,000 FY16 Unscheduled DESCRIPTION OF PROJECT This project would use a lining procedure to treat the water supply pipe that comes from the Water Treatment Plant into town. There is difficulty repairing this critical pipe. ALTERNATIVES CONSIDERED Leave as is. Pursue other full replacement methods for the aging pipe. ADVANTAGES OF APPROVAL This is viewed as one of the lowest cost options to significantly manage the risks of pipe failure. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES Water Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 268 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W33 DEPARTMENT PUBLIC WORKS PROJECT NAME WATER SUPPLY CAPITAL IMPROVEMENTS FY15 FY16 Unscheduled $50,000,000 DESCRIPTION OF PROJECT The Integrated Water Resource Plan (IWRP) calls out the long term need to fund capital improvements related to the City's water supply. The current rough estimate of cost totals $50 million. While these costs will be impact fee eligible, we are uncertain how much to add the the Water Impact Fee CIP, as the current Impact Fee was adopted without a calculation for water supply costs. Actual costs will depend on community growth, conservation success and results of engineering analysis conducted as part of the water master plan update. ALTERNATIVES CONSIDERED The IWRP considers many alternatives for water supply. ADVANTAGES OF APPROVAL Improving our water supply capital will allow the City to grow into the future, with adequate water for citizens, businesses, and visitors. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Until the chosen alternative is known, operating costs can not be determined. FUNDING SOURCES Water Fund, including Cash In Lieu of Water; Water Impact Fees New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 269 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER W34 DEPARTMENT PUBLIC WORKS PROJECT NAME WATER COST OF SERVICE AND RATE STUDY FY15 FY16 $50,000 Unscheduled DESCRIPTION OF PROJECT The Implementation plan for the Integrated Water Resource Plan (IWRP) calls for an updated cost of service and rate study. This is also a best practice for Utility management, especially after a significant system upgrade, such as the Water Treatment Plant project. We expect the plan to also offer options for further water conservation pricing programs. ALTERNATIVES CONSIDERED Keep the existing rate structure and limited conservation pricing (currently, residential only, inclined block rates) ADVANTAGES OF APPROVAL Our user charges will better match the actual cost of service. Hopefully, we will be able to further incentivize water conservation. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED None. FUNDING SOURCES Water Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 270 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Water Fund PROJECT NUMBER WIF03 DEPARTMENT WATER IF PROJECT NAME 5.3MG CONCRETE WATER STORAGE RESERVOIR FY15 FY16 Unscheduled DESCRIPTION OF PROJECT THIS PROJECT IS PRIMARILY AN IMPACT FEE ELIGIBLE PROJECT. How much of the project costs will be borne by the Utility is uncertain at this point in time. According to the 2007 Water Facility Plan, a new 5.3MG partially buried concrete water storage reservoir was to be constructed by 2017. Given the recent slow-down in growth, we anticipate needing the tank some time after 2017. The proposed location of the reservoir is on City property adjacent (to the North) of the proposed new Hyalite/Sourdough water treatment plant. This reservoir is sized to meet the City’s storage needs up to 2025, assuming a 5% annual growth rate. Locating the storage reservoir at the recommended site will raise the hydraulic grade line in the City’s water system, which will increase pressure for the southern part of the City and will allow future development to occur in the south on a gravity system. ALTERNATIVES CONSIDERED The water facility plan reviewed numerous options. This is the preferred alternative of the adopted plan. 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. Some of this project could potentially be funded with Utility dollars, or a loan for the project underwritten by the Utility. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 271 Capital Improvement Plan FY2015-FY2019 Wa t e r  Im p a c t  Fe e   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P ‐ $                                 ‐ $                                       ‐ $                               12 4 , 8 9 0 $             354,277 $           875,628 $       ‐$                      Pl u s :    Im p a c t  Fe e  Re v e n u e s  De d i c a t e d  to  CI P 93 3 , 5 0 0 $               1, 0 8 3 , 2 4 2 $               1, 1 2 7 , 0 0 5 $         1, 1 4 9 , 5 4 5 $       1, 1 7 2 , 5 3 6 $     1,195,987 $    ‐$                      Pl u s :    Lo a n  fo r  WI F 0 3  ‐   5. 3 M G  St o r a g e  Re s e r v o i r 5, 0 0 0 , 0 0 0 $            Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (9 3 3 , 5 0 0 ) $             (1 , 0 8 3 , 2 4 2 ) $             (6 , 0 0 2 , 1 1 5 ) $       (9 2 0 , 1 5 8 ) $           (6 5 1 , 1 8 5 ) $         ‐$                (25,880,000)$    Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P ‐ $                                 ‐ $                                       12 4 , 8 9 0 $               35 4 , 2 7 7 $             875,628 $           2,071,615 $     As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Wa t e r  Im p a c t  Fe e  Re v e n u e s 93 3 , 5 0 0 $                     1, 0 8 3 , 2 4 2 $                       1, 1 0 4 , 9 0 7 $             1, 1 2 7 , 0 0 5 $           1, 1 4 9 , 5 4 5 $           1,172,536 $           Es t i m a t e d  An n u a l  In c r e a s e 0. 0 % 2% 2% 2% 2%2% To t a l  Es t i m a t e d  Re v e n u e s 93 3 , 5 0 0 $                     1, 1 0 4 , 9 0 7 $                       1, 1 2 7 , 0 0 5 $             1, 1 4 9 , 5 4 5 $           1, 1 7 2 , 5 3 6 $           1,195,987 $        Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Wa t e r  Ca p a c i t y  Ex p a n s i o n  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0.0%    To t a l  % De d i c a t e d  to  CI P 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 93 3 , 5 0 0 $                     1, 1 0 4 , 9 0 7 $                       1, 1 2 7 , 0 0 5 $             1, 1 4 9 , 5 4 5 $           1, 1 7 2 , 5 3 6 $           1,195,987 $        30 , 0 0 0 , 0 0 0 25 , 0 0 0 , 0 0 0 20 , 0 0 0 , 0 0 0 15 , 0 0 0 , 0 0 0 10 , 0 0 0 , 0 0 0 5, 0 0 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Wa t e r  Im p a c t  Fe e  Pr o j e c t s   Ci t y of Bo z e m a n 27 2 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Im p a c t  Fe e s   Wa t e r W3 3 PU B L I C  WO R K S WA T E R  SU P P L Y  CA P I T A L  IM P R O V E M E N T S WI F 0 3 WA T E R  IF 5. 3 M G  CO N C R E T E  WA T E R  ST O R A G E   RE S E R V O I R $3 0 0 , 0 0 0 $5 , 0 0 0 , 0 0 0 WI F 0 5 WA T E R  IF WE S T  WA T E R  TR A N S M I S S I O N  MA I N  LO O P $21,680,000 WI F 0 7 WA T E R  IF GR A F  ST R E E T  EX T E N S I O N $1 5 0 , 0 0 0 WI F 0 8 WA T E R  IF WA T E R  TR E A T M E N T  PL A N T  DE B T  SE R V I C E   PA Y M E N T $3 8 3 , 2 4 2 $9 0 2 , 1 1 5 $9 2 0 , 1 5 8 $5 0 1 , 1 8 5 WI F 0 9 WA T E R  IF CO T T O N W O O D / S T U C K Y  TR U N K  MA I N   LO O P $4,200,000 WI F 1 0 WA T E R  IF WA T E R  MA S T E R  PL A N  UP D A T E $3 5 0 , 0 0 0 WI F 1 1 WA T E R  IF WA T E R  MA I N  EX T E N S I O N  ‐   FE R G U S O N   AV E  (D U R S T O N  TO  OA K  ST R E E T ) $1 0 0 , 0 0 0 WI F 1 2 WA T E R  IF WA T E R  MA I N  EX T E N S I O N  ‐   SO U T H  11 T H   (O P P O R T U N I T Y  TO  AR N O L D  ST R E E T ) $5 0 , 0 0 0 Su m m a r y  f or    Im p ac t  Fe e s  Wa t e r  (9  it e m s ) To t a l s  by  ye a r : $1 , 0 8 3 , 2 4 2 $ 6 , 0 0 2 , 1 1 5 $ 9 2 0 , 1 5 8 $25,880,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $6 5 1 , 1 8 5 FY 1 8 Ci t y of Bo z e m a n 27 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER W33 DEPARTMENT PUBLIC WORKS PROJECT NAME WATER SUPPLY CAPITAL IMPROVEMENTS FY15 FY16 Unscheduled DESCRIPTION OF PROJECT The Integrated Water Resource Plan (IWRP) calls out the long term need to fund capital improvements related to the City's water supply. The current rough estimate of cost totals $50 million. While these costs will be impact fee eligible, we are uncertain how much to add the the Water Impact Fee CIP, as the current Impact Fee was adopted without a calculation for water supply costs. Actual costs will depend on community growth, conservation success and results of engineering analysis conducted as part of the water master plan update. ALTERNATIVES CONSIDERED The IWRP considers many alternatives for water supply. ADVANTAGES OF APPROVAL Improving our water supply capital will allow the City to grow into the future, with adequate water for citizens, businesses, and visitors. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Until the chosen alternative is known, operating costs can not be determined. FUNDING SOURCES Water Fund, including Cash In Lieu of Water; Water Impact Fees. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 274 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF03 DEPARTMENT WATER IF PROJECT NAME 5.3MG CONCRETE WATER STORAGE RESERVOIR FY15 $300,000 FY16 $5,000,000 Unscheduled DESCRIPTION OF PROJECT According to the 2007 Water Facility Plan, a new 5.3MG partially buried concrete water storage reservoir was to be constructed by 2017. Given the recent slow-down in growth, we anticipate needing the tank some time after 2017. The proposed location of the reservoir is on City property adjacent (to the North) of the proposed new Hyalite/Sourdough water treatment plant. This reservoir is sized to meet the City’s storage needs up to 2025, assuming a 5% annual growth rate. Locating the storage reservoir at the recommended site will raise the hydraulic grade line in the City’s water system, which will increase pressure for the southern part of the City and will allow future development to occur in the south on a gravity system. ALTERNATIVES CONSIDERED The water facility plan reviewed numerous options. This is the preferred alternative of the adopted plan. 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 FY17 FY18 FY19 City of Bozeman 275 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF05 DEPARTMENT WATER IF PROJECT NAME West Water Transmission Main Loop FY15 FY16 Unscheduled $21,680,000 DESCRIPTION OF PROJECT The Water Facility Plan identifies this project as the most critical redundancy issue in the City’s water distribution system. 4,525 N/A 12" Install New 12" $ 911,335 2,636 N/A 24" Install New 24" $ 1,101,716 5,154 N/A 36" Install New 36" $ 3,481,785 17,093 N/A 48" Install New 48" $16,187,712 Total Project Cost $21,682,548 The precise location of the required mains is somewhat flexible, but in general will be from Wagonwheel road (extended) in S. 19th to Goldenstein to South 3rd to Nash Road (see exhibit 5.B.3 of the facility plan). Given the priority of the Water Treatment Plant project, the City is not currently planning to complete these projects. ALTERNATIVES CONSIDERED Do not build redundant transmission main. ADVANTAGES OF APPROVAL The city will be assured that water can be supplied even if one transmission main sustains damage and is offline for a number of days. The City receives the majority of its water from the Water Treatment Plant through an existing 30 inch concrete transmission main. If this main is off-line for any reason, the City will need to rely on storage from its three reservoirs. At 2005 water demand levels, storage reserves would be depleted in three days during the average day demand, and in 24 hours during the maximum day demand. Not only will a second transmission main provide the security of redundancy if the existing 30-inch main is 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. Current cost estimate of $12,500 per water-main mile maintained annually. FUNDING SOURCES Impact Fee eligible portions are related to improvement costs beyond an 8” line capacity. At this point in time, it is estimated that the 12” and 24” lines are most likely to be built within the next 5 years; the cost of over-sizing those lines would be eligible for impact fees and is estimated to total $1,874,886. Given the priority of the Water Treatment Plant project, it’s relative size and scope, these improvements have been moved to “unscheduled.” New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 276 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF07 DEPARTMENT WATER IF PROJECT NAME GRAF STREET EXTENSION FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This project is to extend Water Mains below Graf Street approximately ¼ mile in order to connect infrastructure east from 19th Avenue. This is an important connection for public safety purposes – allowing fire service to meet their response time requirements in areas where they currently cannot. The Water infrastructure should be installed at the same time the street connection is made. ALTERNATIVES CONSIDERED Do nothing and wait for development to connect the infrastructure. ADVANTAGES OF APPROVAL Improved traffic flow and better emergency response to the local area. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Water Impact Fee – to be recovered by developer payback. New Replacement Equipment Project FY17 FY18 $150,000 FY19 City of Bozeman 277 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF08 DEPARTMENT WATER IF PROJECT NAME WATER TREATMENT PLANT DEBT SERVICE PAYMENT FY15 $383,242 FY16 $902,115 Unscheduled DESCRIPTION OF PROJECT Total adjusted project price for the Water Treatment Plant (WTP) construction of phase one is estimated at $40.7 Million. Of that amount, $13.3 Million is for capacity expanding costs of construction. The impact fee account will not have enough cash on hand to pay the costs of construction when the facility is built. As such, impact fee revenues will be dedicated to pay the outstanding debt in future years, as fee revenues are collected. At this point, approximately $5 Million of impact fee eligible costs will be paid with a long-term loan (20 years, 4%) through the State’s Revolving Loan Fund. A debt schedule will be updated semi- annually with the amount of impact fee dollars that have been dedicated to debt payments until the full amount owed is paid. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Major capital expansion of the Bozeman Water Treatment Plant (WTP) will enable the City to meet its ever growing demand for water services. Expansion of the Bozeman WTP is consistent with the City’s long-term need to accommodate growth and economic development in the Gallatin Valley. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES FY08 Pilot Testing: $200,000. FY09,FY10, FY11 Design and Membrane equipment deposit, construction $7,267,000. FY12 $16,460,000. FY13 $16,460,000. Of this total, approximately 33% is eligible for payment via impact fees. New Replacement Equipment Project FY17 $920,158 FY18 $501,185 FY19 City of Bozeman 278 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF09 DEPARTMENT WATER IF PROJECT NAME COTTONWOOD/STUCKY TRUNK MAIN LOOP FY15 FY16 Unscheduled $4,200,000 DESCRIPTION OF PROJECT Installation of a trunk water main loop from the intersection of Cottonwood and Huffine Lane south to Stucky Road then east to South 19th Avenue. ALTERNATIVES CONSIDERED Postpone installation to some future time. It is unlikely that such an ambitious and expensive project could or would be installed by the concerted effort of private developers. Even if that were to happen, the City would be asked to participate in the oversizing of these mains, all of which exceed the local 8” diameter requirement. ADVANTAGES OF APPROVAL Provides the water main backbone which will support future growth In a large area of the City. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Incremental increase in the cost of operation and maintenance FUNDING SOURCES Impact fees, developer contribution for local equivalent share. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 279 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF10 DEPARTMENT Water IF PROJECT NAME Water Master Plan Update FY15 $350,000 FY16 Unscheduled DESCRIPTION OF PROJECT The last water facility plan update was initiated in 2005 and completed in 2007. The City generally endeavors to update its water facility plans on a 5-year cycle to ensure the plan remains relevant as Bozeman grows and infrastructure needs change. This water facility plan will update the existing and proposed distribution system hydraulic models, and include detailed engineering investigations for adopted Integrated Water Resources Plan (IWRP) new capital alternatives. Detailed engineering investigations are proposed to gather sufficient construction details and cost estimates to expand the Lyman Creek source, identify and develop a suitable groundwater source, and site and develop a storage impoundment in Sourdough Canyon above the water treatment plant. The sourdough impoundment investigation may be contracted separately as it does not connect to the distribution system directly and has no effect upon distribution system modeling. ALTERNATIVES CONSIDERED Do not update the plan and continue improving infrastructure based on the existing 2005 Water Facility Plan. ADVANTAGES OF APPROVAL Improving infrastructure is costly and as Bozeman grows, infrastructure needs change. Updating the water facility plan will allow future improvements to the water system to be based on current data. By including detailed engineering investigations for adopted IWRP new capital alternatives, the effect of the addition of these sources to the distribution network can be analyzed concurrently. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED No additional costs. FUNDING SOURCES Water Impact Fees New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 280 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF11 DEPARTMENT WATER IF PROJECT NAME WATER MAIN EXTENSION - FERGUSON AVE (DURSTON TO OAK STREET) FY15 FY16 $100,000 Unscheduled DESCRIPTION OF PROJECT Installation of a Water Main along Ferguson Avenue, from Durston to Oak Street. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Expanded water service in this area of town. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Minimal FUNDING SOURCES Water Impact Fees, Developer contribution. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 281 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Water PROJECT NUMBER WIF12 DEPARTMENT Water IF PROJECT NAME WATER MAIN EXTENSION - SOUTH 11TH (Opportunity to Arnold Street) FY15 $50,000 FY16 Unscheduled DESCRIPTION OF PROJECT Extension of the water main on South 11th, from Opportunity to Arnold Street. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Expanded water service in this area of town. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED minimal. FUNDING SOURCES Water Impact Fees, Developer contriubtion. New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 282 Capital Improvement Plan FY2015-FY2019 Wa s t e w a t e r  Im p a c t  Fe e   Ca p i t a l  Im p r o v e m e n t  Pl a n Fi n a n c i a l  Su m m a r y Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 F Y 1 7 F Y 1 8 F Y 1 9 Unscheduled Pr o j e c t e d  Be g i n n i n g  Re s e r v e  Ba l a n c e  De d i c a t e d  to  CI P ‐ $                                 ‐ $                                       15 2 , 0 8 3 $               30 7 , 2 0 7 $               (0) $                               269 $             ‐$                      Pl u s :    Im p a c t  Fe e  Re v e n u e s  De d i c a t e d  to  CI P 82 0 , 0 0 0 $               1, 0 0 5 , 2 9 5 $               1, 0 2 5 , 4 0 1 $         1, 0 4 5 , 9 0 9 $       1, 0 6 6 , 8 2 7 $   1,088,163 $  ‐$                      Pl u s :    Lo a n  fo r  WW I F 1 5  ‐   Fl a n d e r s  Mi l l  Tr u n k  an d  Li f t  St n . 13 , 3 0 0 , 0 0 0 $        Le s s :    Sc h e d u l e d  CI P  Pr o j e c t  Co s t s (8 2 0 , 0 0 0 ) $             (8 5 3 , 2 1 2 ) $                   (1 4 , 1 7 0 , 2 7 6 ) $   (1 , 3 5 3 , 1 1 6 ) $     (1 , 0 6 6 , 5 5 8 ) $  (1,085,000)$ (3,862,000)$      Pr o j e c t e d  Ye a r ‐En d  Ca s h  De d i c a t e d  to  CI P ‐ $                                 15 2 , 0 8 3 $                       30 7 , 2 0 7 $               (0 ) $                                     269 $                         3,432 $           As s u m p t i o n s  Ma d e  fo r  Re v e n u e  Es t i m a t e s : Cu r r e n t  Ye a r FY 1 4 FY 1 5 FY 1 6 FY 1 7 F Y 1 8 F Y 1 9 Es t i m a t e d  An n u a l  Wa s t e w a t e r  Im p a c t  Fe e  Re v e n u e s 82 0 , 0 0 0 $                     98 5 , 5 8 3 $                             1, 0 0 5 , 2 9 5 $             1, 0 2 5 , 4 0 1 $             1, 0 4 5 , 9 0 9 $         1,066,827 $         Es t i m a t e d  An n u a l  In c r e a s e 0. 0 % 2% 2% 2% 2%2% To t a l  Es t i m a t e d  Re v e n u e s 82 0 , 0 0 0 $                     1, 0 0 5 , 2 9 5 $                       1, 0 2 5 , 4 0 1 $             1, 0 4 5 , 9 0 9 $             1, 0 6 6 , 8 2 7 $         1,088,163 $      Cu r r e n t  Re v e n u e s  De d i c a t e d  to  CI P  % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 %    Pl u s :    In c r e a s e  De d i c a t e d  to  Wa s t e w a t e r  Ca p a c i t y  Ex p a n s i o n  CI P 0. 0 % 0. 0 % 0. 0 % 0. 0 % 0 . 0 % 0 . 0 %    To t a l  % De d i c a t e d  to  CI P 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 10 0 . 0 % 1 0 0 . 0 % 1 0 0 . 0 % Pr o j e c t e d Pr o j e c t e d To t a l  Es t i m a t e d  Re v e n u e s  De d i c a t e d  to  CI P 82 0 , 0 0 0 $                     1, 0 0 5 , 2 9 5 $                       1, 0 2 5 , 4 0 1 $             1, 0 4 5 , 9 0 9 $             1, 0 6 6 , 8 2 7 $         1,088,163 $      16 , 0 0 0 , 0 0 0 14 , 0 0 0 , 0 0 0 12 , 0 0 0 , 0 0 0 10 , 0 0 0 , 0 0 0 8, 0 0 0 , 0 0 0 6, 0 0 0 , 0 0 0 4, 0 0 0 , 0 0 0 2, 0 0 0 , 0 0 0 0 FY 1 5 F Y 1 6 F Y 1 7 F Y 1 8 F Y 1 9 U n s c h e d u l e d Wa s t e w a t e r  Im p a c t  Fe e  Pr o j e c t s   Ci t y of Bo z e m a n 28 3 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CI P  PR O J E C T  FU PR O J . DE P A R T M E N T PR O J E C T  NA M E FY 1 6 Unscheduled FY 1 5 FY 1 7 FY 1 8 FY19 Im p a c t  Fe e s   Wa s t e w a t e r WW I F 0 5 WW A T E R  IF HO S P I T A L  TR U N K  LI N E :    HA G G E R T Y  TO   KA G Y $1,062,000 WW I F 1 1 WW A T E R  IF RE P L A C E  FR O N T  ST R E E T :   TA M A R A C K / R O U S E $1,800,000 WW I F 1 2 WW A T E R  IF GR A F  ST R E E T  EX T E N S I O N $5 0 , 0 0 0 WW I F 1 4 WW A T E R  IF WR F  PH A S E  I  DE B T  RE T I R E M E N T $6 5 3 , 2 1 2 $8 7 0 , 2 7 6 $8 8 7 , 6 8 1 $8 9 6 , 5 5 8 $600,000 WW I F 1 5 WW A T E R  IF FL A N D E R S  MI L L  ‐   HI D D E N  VA L L E Y  TR U N K   MA I N  AN D  LI F T  ST A T I O N $2 0 0 , 0 0 0 $1 3 , 3 0 0 , 0 0 0 WW I F 1 6 WW A T E R  IF FL A N D E R S  MI L L  ‐   HI D D E N  VA L L E Y  TR U N K   MA I N  DE B T  RE T I R E M E N T $4 6 5 , 4 3 5 $1 2 0 , 0 0 0 $485,000 WW I F 1 7 WW A T E R  IF IN S T A L L  FO U R T H  DI G E S T E R $1,000,000 Su m m a r y  f or    Im p ac t  Fe e s  Wa s t e w a t e r  (7  it e m s ) To t a l s  by  ye a r : $8 5 3 , 2 1 2 $14 , 1 7 0 , 2 7 6 $ 1 , 3 5 3 , 1 1 6 $3,862,000 FY 1 5 FY 1 6 FY 1 7 Unscheduled FY19 $1,085,000 $1 , 0 6 6 , 5 5 8 FY 1 8 Ci t y of Bo z e m a n 28 4 Ca p i t a l Im p r o v e m e n t Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF05 DEPARTMENT WWATER IF PROJECT NAME HOSPITAL TRUNK LINE: HAGGERTY TO KAGY FY15 FY16 Unscheduled $1,062,000 DESCRIPTION OF PROJECT Construct ~7,900 LF of 12" and 15" sewer collector from manhole C0507 to 1E22. 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 70% Wastewater Impact Fees = $743,400 30% Developer Contribution = $318,600 New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 285 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF11 DEPARTMENT WWATER IF PROJECT NAME REPLACE FRONT STREET: TAMARACK/ROUSE FY15 FY16 Unscheduled $1,800,000 DESCRIPTION OF PROJECT This project consists of construction of ~11,000 LF 18", 21" & 24" sewer pipe from manhole F0330 to C0507. The lower portion of the existing sewer is at capacity. Additional capacity is needed to serve the future Bozeman Deaconess Hospital development and lands to the south. 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 developer contribution or other source. At this time, the City’s Wastewater Utility does not have a need to replace the existing facility; as such, no utility dollars are scheduled to be spent. ALTERNATIVES CONSIDERED Limit development to only that capacity of the existing sewer. ADVANTAGES OF APPROVAL This project will significantly increase the service area and capacity of the trunk sewer. 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 = $1,260,000 30% Developer Contribution = $540,000 New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 286 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF12 DEPARTMENT WWATER IF PROJECT NAME GRAF STREET EXTENSION FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This project is to extend Wastewater Mains below Graf Street approximately ¼ mile in order to connect infrastructure east from 19th Avenue. This is an important connection for public safety purposes – allowing fire service to meet their response time requirements in areas where they currently cannot. The Wastewater infrastructure should be installed at the same time the street connection is made. ALTERNATIVES CONSIDERED Do nothing and wait for development to connect the infrastructure. ADVANTAGES OF APPROVAL Improved traffic flow and better emergency response to the local area. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES 100% Wastewater Impact Fee – to be recovered by developer payback. New Replacement Equipment Project FY17 FY18 $50,000 FY19 City of Bozeman 287 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF14 DEPARTMENT WWATER IF PROJECT NAME WRF PHASE I DEBT RETIREMENT FY15 $653,212 FY16 $870,276 Unscheduled DESCRIPTION OF PROJECT Total adjusted project price for the Water Reclamation Facility (WRF) construction of phase one is estimated at $53.8 Million. Of that amount, $17.9 Million is for capacity expanding costs of construction. The impact fee account will not have enough cash on hand to pay the costs of construction when the facility is built. As such, impact fee revenues will be dedicated to pay the outstanding debt in future years, as fee revenues are collected. At this point, approximately $4.87 Million of impact fee eligible costs will be paid with a long-term loan (20 years, 3.75%) through the State’s Revolving Loan Fund. A debt schedule will be updated semi-annually with the amount of impact fee dollars that have been dedicated to debt payments until the full amount owed is paid. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL Major capital expansion of the Bozeman WRF will enable the City to meet its ever growing demand for wastewater services and still produce a high quality effluent that is in full compliance with the City’s MPDES discharge permit. Expansion of the Bozeman WRF is consistent with the City’s long-term need to accommodate rapid growth and economic development in the Gallatin Valley. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES *We anticipate having a minimum of $13.1 Million available from Impact Fees through the end of the construction period. Impact fee collections during the construction period will be dedicated to the project. The remainder of eligible construction costs would be dedicated to debt service on the Utility Revenue Bonds, as it is collected in the Impact Fee Fund. New Replacement Equipment Project FY17 $887,681 FY18 $896,558 FY19 $600,000 City of Bozeman 288 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF15 DEPARTMENT WWATER IF PROJECT NAME FLANDERS MILL - HIDDEN VALLEY TRUNK MAIN AND LIFT STATION FY15 $200,000 FY16 $13,300,000 Unscheduled DESCRIPTION OF PROJECT This project consists of the installation of large diameter sewer from Huffine Lane to the City Water Reclamation Facility along the Cottonwood-Flanders Mill- Hidden Valley alignment as identified in the Wastewater Facility Plan. It also includes a Regional Lift Station located at the north of the alignment and the installation of the force-main necessary to complete the project. $200,000 in design costs and $13,300,000 in construction costs ALTERNATIVES CONSIDERED Limit development in the area served by this trunk sewer to that which can currently be served. ADVANTAGES OF APPROVAL This project will significantly increase the area which can be served by the City’s wastewater treatment infrastructure making development in this corridor possible. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Annual operating and maintenance costs. Impact fees may not be used to finance those 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 (est.) = $9.3M 30% Development contribution =$4M New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 289 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF16 DEPARTMENT WWATER IF PROJECT NAME FLANDERS MILL - HIDDEN VALLEY TRUNK MAIN DEBT RETIREMENT FY15 FY16 Unscheduled DESCRIPTION OF PROJECT This items reflects the amount of Impact Fee dollars that are estimated to be available for retirement on the debt used to financine the Flanders Mill - Hidden Valley sewer trunk main and lift station. ALTERNATIVES CONSIDERED ADVANTAGES OF APPROVAL ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED FUNDING SOURCES New Replacement Equipment Project FY17 $465,435 FY18 $120,000 FY19 $485,000 City of Bozeman 290 Capital Improvement Plan FY2015-FY2019 CIP Project Fund Impact Fees Wastewater PROJECT NUMBER WWIF17 DEPARTMENT WWATER IF PROJECT NAME Install Fourth Digester FY15 FY16 Unscheduled $1,000,000 DESCRIPTION OF PROJECT Fund the design and construction of a fourth anaerobic digester. ALTERNATIVES CONSIDERED Do nothing. ADVANTAGES OF APPROVAL Additional Capacity for wastewater treatment. ADDITIONAL OPERATING COSTS IN THE FUTURE, IF FUNDED Not known at this time. FUNDING SOURCES Wastewater Impact Fee Fund New Replacement Equipment Project FY17 FY18 FY19 City of Bozeman 291 Capital Improvement Plan FY2015-FY2019