Capital Improvement Program Fund

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1 Capital Improvement Program Fund The Capital Improvement Program Fund provides funding for streets, public buildings (both governmental and school facilities), land, and other capital assets. Capital Improvement Projects are projects which generally have a life of 5 years or more, cost more than $50,000, and are nonoperational in nature. City Council, in its Adopted Budget Guidelines, has set a policy to allocate an amount no less than 3% of the General Fund budget for capital improvements. The annual capital budget is part of the City's multi-year Capital Improvements Plan (CIP), which is designed to coordinate the planning, financing, and construction of capital projects. As part of the capital improvement process, it has been recognized that funding needs to be set aside for the maintenance of City facilities. Separate funding is adopted in the General Fund budget for the smaller maintenance projects, which are handled in the Facilities Repair Fund. There are several factors that must be taken into consideration during the development of the capital budget. Capital budgeting is an important part of the annual budget process, due to the aging of Charlottesville's public facilities and infrastructure, the lack of significant growth in population, and the existence of set physical boundaries of the City. For these reasons, the City must respond to the capital needs of the community with investments aimed at revitalizing and maintaining the existing facilities and infrastructure of the City. The City s CIP process is designed to coordinate and align capital projects with City priorities and strategies. As departments are preparing their CIP requests, they are asked to score their new and modified projects based upon a set of nine weighted criteria. These criteria not only help the department evaluate the type of requests they are submitting, but also serve as a key factor when the CIP Budget Development Committee discusses the projects as a whole, since requests generally far outweigh available funding. The City s five-year capital improvement process begins in August each year, when City departments start planning their requests for the upcoming five-year capital plan. The CIP submissions are received by the Budget Office, which organizes and prepares the submissions for review. The CIP Technical Review Committee then meets several times to discuss and rank the requested projects based on various criteria adopted by the City Council and the Planning Commission. The CIP Technical Review Committee consists of staff members from Neighborhood Development Services, Public Works, Budget Office, Parks and Recreation, Public Safety, Department of Finance, one member from the Planning Commission, and one member from a non CIP-requesting department, which was Human Resources for this year s process. The CIP requests and the Technical Review Committee recommendations are then forwarded to the Budget Development Committee, which reviews all projects, along with their criteria scoring, and develops a recommendation that is fiscally sound and reflects the overall priorities and needs of the City. The CIP Budget Development Committee consists of the City Manager, the COO/CFO, the Finance Director, the Director of Budget and Performance Management, the Budget and Management Analyst and one member of the Planning Commission. The final proposal from the Budget Development Committee is then presented to the Planning Commission, which makes its own set of recommendations and proposed changes to City Council. The revised five-year CIP, along with the proposed Planning Commission recommendations, are forwarded to the City Manager and City Council for inclusion in the annual budget. The Proposed CIP is formally presented to City Council as part of the overall Proposed City Operating and Capital Budget

2 FY 2015 Capital Improvement Program Revenues and Expenditures The FY Capital Improvement Program recommends the use of approximately $49.16 million in long-term debt to finance a portion of the $76.22 million multi-year program. The balance will be funded through transfers of funds from the General Fund, the revenue sharing agreement with Albemarle County, and contributions from Albemarle County and the Charlottesville City Schools. The Capital Improvement Program for FY contains bondable projects totaling $12.82 million, along with non-bondable projects totaling $4.13 million, for a total capital improvement program budget equaling $16.96 million. FY 2015 Capital Budget Revenues City Schools 1.18% Peg Fee Revenue 0.28% FY 2013 Year End Surplus 5.89% Albemarle County 1.71% General Fund Transfer 27.11% Bond Issue 63.83% FY 2015 Capital Budget Expenditures Public Safety 23.55% Neighborhood Improvements 0.28% Technology Infrastructure 0.28% Transportation and Access 31.49% Parks and Recreation 10.01% Other Govt Commitments 9.99% Facilities Management 7.93% Education 14.86% Stormwater Initiatives 0.74% Economic Development 0.88% 144

3 Description of Capital Projects Bondable Projects City Council Adopted Budget FY 2015 Education In FY 15, the City of Charlottesville allocates $2.32 million to the City schools for various capital improvements including: Burnley-Moran flooring replacement; Venable elevator upgrades; CHS Science Labs and Phase I daylighting; system wide interior painting; and proposed transfer of $110,000 to the schools small cap program. This funding also provides for the schools HVAC replacement plan and the installation of a new fire suppression system at Charlottesville High School. Facilities Capital Projects Facilities Capital Projects has been allocated $1.34 million for improvements and repairs to various City owned facilities. These include Central Library building envelope restoration work and interior finish improvements; CATEC building envelope restoration and cooling tower replacement; Gordon Avenue Library interior finishes, and Market Street Parking Garage building envelope restoration. This funding also provides for the City Facility HVAC Replacement Plan and the City Solar PV Program projects. Public Safety and Justice In FY 15 Public Safety and Justice is allocated $3.54 million for various projects including: the replacement of the Fire Department and Police Department portable radio systems; replacement of two fire trucks; replacement of the Police Mobile Video Recorder system; the City s remaining obligation for the Regional Police Firearms Range; and the first part of the City s share for the Emergency Communications Center Computer Aided Dispatch System upgrade. Transportation and Access For FY 15, a total of $3.96 million is allocated to Transportation and Access projects which include: $1,422,539 for street milling and paving; $285,000 for the design and construction of new sidewalks; $750,000 for the West Main Streetscape project; $300,000 each for Small Area Plans and SIA Immediate Implementation; and $750,000 for design work related to the Martha Jefferson Neighborhood Streetscaping project. Parks and Recreation Parks and Recreation is allocated $1.20 million in FY 15. The renovation of Tonsler Park is allocated $600,000. The renovations to this park include improvements to the existing center, installation of a spray ground, an indoor field house, trails and other amenities and expansion of programs. $450,000 is allocated for the future implementation of the McIntire Park Master Plan as well as $150,000 for the future implementation of the Meadow Creek Master Plan. Non-Bondable Projects Education $200,000 is allocated for the Charlottesville City Schools small capital improvement program, offset 100% through a contribution from the schools specifically for this program. Economic Development The Department of Economic Development is allocated $150,000 for the purpose of carrying out economic development and workforce development initiatives. These funds will be used to assist in long-term strategic improvements that grow and expand the City s tax base

4 Neighborhood Improvements $47,500 has been allocated for the Neighborhood CIP Funds project. Funds will be used for various capital projects that are either solicited by neighborhoods or determined to be needed by City Council, and that are not otherwise covered by the traffic calming, sidewalk, or drainage capital programs. Transportation and Access Transportation and Access funding includes $168,710 in grant match funds for CAT Transit bus replacement and bus related purchases; $400,000 for sidewalk repair (including ADA ramp upgrades on streets scheduled to be paved); $95,000 for citywide traffic improvements; $200,000 for bicycle infrastructure; $95,000 for the intelligent transportation system; $121,137 for State bridge and highway inspections; $200,000 for minor bridge repairs; and $95,000 for ADA improvements to sidewalks and curbs throughout the City. Total funding for this area is $1.37 million. Parks and Recreation The Parks and Recreation Department is allocated an additional $498,915 for non-bondable projects, which include: $102,812 for improvements to City and School playgrounds; $77,880 for trails and greenway development; $23,994 for urban tree preservation and planting; $95,000 for the future acquisition of parkland within the City of Charlottesville; and $200,000 for the newly created Parks and Recreation Lump Sum account which will be used to take the place of several smaller Parks and Recreation requests including: Cemetery Restoration, A.D.A. Rec. Facility Compliance, Downtown Mall Repair fund, City/County Joint Parks, Parks Bridge Repairs, Rec. Facility Technology Modernization, Picnic Shelter Repairs/Renovations, and New Bridges Projects. This will provide Parks and Recreation with the flexibility to prioritize those smaller projects in order to meet the most pressing needs. Stormwater Initiatives Stormwater Initiatives are allocated an additional $125,000 for Neighborhood Drainage projects in which the City offers drainage improvements to private property owners on a cost-share basis to improve drainage problems along the public right of way boundaries. Technology Infrastructure The Communications Technology Account/Public Access Television project is allocated $47,500 in order to allow the City to continue upgrading and improving its cable network services and programming to the citizens of Charlottesville. This item is offset 100% by PEG Fees paid to the City through the Comcast franchise agreement. Other General Government Commitments Based upon the housing goals adopted by Council in February 2010, $1.56 million of FY 2015 CIP funding has been earmarked for the Charlottesville Affordable Housing Fund. The mission of the Charlottesville Affordable Housing Fund is to meet the housing challenges facing our residents by dedicating, consolidating, and expanding financial support for the preservation and production of affordable housing in our community. Funding in the amount of $125,000 is allocated for the Home Energy Conservation Grant Program, which provides savings on utilities, enables low-income families to be able to afford energy saving measures, and reduces the usage of nonrenewable energy

5 Operational Impacts In the FY 2015 Capital Improvement Program (CIP), ten projects were identified as significant non-routine capital expenditures. For the purposes of this analysis, significant non-routine capital expenditures are those projects which will cost more than $250,000, are not routine maintenance, such as street and sidewalk reconstruction or facilities maintenance, and are not recurring projects. The operational impacts of these projects are discussed below. Project FY15 CIP Cost Operational Impacts Operational Increases/Savings Charlottesville High School - Fire Suppression System $ 800,000 Increase in maintenance costs, possible decrease in facility insurance premiums. Since construction of this project is to be spread over two fiscal years, no operational impact would occur until the completion in FY15. At that time it is anticipated that CHS will be added to the Schools Fire Suppression Inspection and Maintenance contract incurring an increased cost to the contract. As this is the installation of a new fire suppression system, it could possibly lead to lowered insurance premiums for the facility. Impacts on the insurance and inspection contracts will not be fully known until system specifications are completed and system is installed. New Sidewalks $ 285,000 Increase in overall annual sidewalk maintenance costs. Approximately $10 per square foot of new sidewalk constructed. West Main Streetscape $ 750,000 Increase in maintenance costs The potential exists for increased maintenance costs related to sidewalks (either new sections or being made of different materials) and maintenance of any additional features (benches, streetlights, street trees, trash collection, etc.). However, this project is currently in the conceptual design phase and any increased operational cost will not be known until the final design is completed. Small Area Plans $ 300,000 Unknown at this time. In the Comprehensive Plan twelve areas are recommended for Small Area Plans. Until the exact area to be examined is identified and plans are completed, potential operational increases/savings will not be known. Martha Jefferson Neighborhood Streetscaping $ 750,000 Increase in maintenance costs The potential exists for increased maintenance costs related to sidewalks (either new sections or being made of different materials) and maintenance of any additional features (benches, streetlights, street trees, landscaping, etc.). However, this project is currently in the design phase and any increased operational cost will not be known until the final design is completed. Regional Police Firearms Range $ 400,034 Per the agreement with Albemarle County and the University, increased utility, maintenance and equipment costs, no increase in personnel costs. Personnel savings from reduced travel and overtime. The City pays approximately $1,300 per year in membership dues per the City's current agreement with the Rivanna Rifle Range, which expires in December After that time it is estimated that overtime and travel costs for officer firearms qualification would be approximately $36,000 per year. With the new range facility the City's portion of the operating expenses is estimated at $37,600 per year. However based on the reduction in travel, lodging and overtime expenses, along with the fact that the City will no longer have to pay recurring range fees, operationally there will be little to no monetary impact

6 Project FY15 CIP Cost Operational Impacts Operational Increases/Savings Replacement Fire Trucks $ 1,768,000 Decrease in maintenance costs; increased cost for additional equipment. Funds will be to replace two 26 year old Fire Pumper Trucks. The initial outlay for all new and additional equipment required for the new truck is included as part of the capital budget. The new truck is expected to require less maintenance than the truck it is replacing. ECC Computer Aided Dispatch (CAD) System $ 1,140,877 Possible licensing costs Funds are for the upgrade of the current CAD system, and as the vendor has not yet been selected, licensing costs are unknown at this time. There is the potential for increased licensing fees, however this increase would be distributed out to the Emergency Communications Center (ECC) partners per the current operational funding formula. McIntire Park Master Plan Implementation $ 450,000 Increased maintenance costs; possible increased revenue for additional programming Parks and Recreation staff currently maintain McIntire Park. Based on the current design in the master plan, it is not anticipated to require additional staff for routine maintenance. The master plan calls for a larger redesigned skate park, once completed, there will be the potential to hold classes at the new skate park with additional program fees coming in from these classes. Tonsler Park Master Plan Implementation $ 600,000 Increased maintenance costs; increased utility costs; possible increased revenue from additional programming Parks and Recreation staff currently maintain Tonsler Park. Based on the current design in the master plan, it is not anticipated to require additional staff for routine maintenance. The master plan calls for the addition of a spray ground and a new field house. These new features would lead to increased utility costs for water and electricity to run the spray ground features, and increased utility costs for the new facility. The new field house would allow for more flexible programming to take place at the park with the potential to generate revenue from additional program and class offerings. Police Mobile Video Recorder Replacement $ 450,000 Decreased maintenance costs The exact cost of the technical support and maintaenance will not be known until the new system and vendor are choosen. Future years of technical support and maintenance would be significantly less than the $28,000 spent in FY13, and can often be purchased in advance at a reduced price

7 FY Capital Improvement Program Adopted FY15 Projected FY16 Projected FY17 Projected FY18 Projected FY19 5 Year Total Revenues Transfer from General Fund 4,599,086 4,696,500 4,743,465 4,790,900 4,838,809 23,668,760 FY 2013 Year End Surplus 1,000, ,000,000 Contribution from Albemarle County (CATEC) 60, ,000 81,500 75, , ,500 Contribution from Albemarle County (Central Library) 230, ,000 75, ,500 Contribution from Schools (Small Cap Program) 200, , , , ,000 1,000,000 PEG Fee Revenue 47,500 47,500 47,500 47,500 47, ,500 CY 2015 Bond Issue 10,829, ,829,155 CY 2016 Bond Issue 0 11,869, ,869,515 CY 2017 Bond Issue ,750, ,750,629 CY 2018 Bond Issue ,693, ,693,044 CY 2019 Bond Issue ,019,594 6,019,594 TOTAL AVAILABLE REVENUES $16,966,241 $17,273,515 $15,898,094 $14,806,444 $11,275,903 $76,220,197 Expenditures BONDABLE PROJECTS EDUCATION Adopted Projected Projected Projected Projected 5 Year Lump Sum to Schools (City Contribution) 1,045,491 1,045,491 1,045,491 1,045,491 1,045,491 5,227,455 City Schools HVAC Replacement 475, , , , ,000 2,375,000 Charlottesville High School - Fire Suppression System 800, ,000 Middle School Reconfiguration Design , ,000 SUBTOTAL 2,320,491 1,520,491 1,520,491 1,520,491 2,270,491 $9,152,455 FACILITIES CAPITAL PROJECTS Adopted Projected Projected Projected Projected 5 Year Lump Sum to Facilities Capital Projects 1,045,491 1,045,491 1,045,491 1,045,491 1,045,492 5,227,456 City Facility HVAC Replacement 200, , , , ,000 1,000,000 City Solar PV Program 100, , , , , ,000 SUBTOTAL $1,345,491 $1,345,491 $1,345,491 $1,345,491 $1,345,492 $6,727,456 PUBLIC SAFETY AND JUSTICE Adopted Projected Projected Projected Projected 5 Year Circuit Court Renovation ,000 4,000, ,500,000 Regional Police Firearms Range 400, ,034 Police Mobile Radio Replacement 111, , , ,000 Police Mobile Video Recorder Replacement 450, ,000 Fire Portable Radio Replacement 125, ,000 Replacement Fire Trucks 1,768, , ,724, MHz Radio System Upgrade (ECC) 2,196,275 2,196, ,392,550 ECC Computer Aided Dispatch (CAD) System 1,140,877 1,140, ,281,754 SUBTOTAL $3,994,911 $3,448,152 $3,763,410 $4,000,000 $0 $15,206,473 TRANSPORTATION AND ACCESS Adopted Projected Projected Projected Projected 5 Year Undergrounding Utilities 95,000 95,000 95,000 95,000 95, ,000 New Sidewalks 285, , , , ,000 1,425,000 West Main Streetscape 750, , , ,250,000 SIA Immediate Implementation 300,000 1,000,000 1,000,000 1,000,000 1,000,000 4,300,000 Small Area Plans 300, , , , ,000 1,100,000 Street Milling and Paving 1,487,264 1,502,137 1,517,158 1,532,330 1,547,653 7,586,542 Martha Jefferson Neighborhood Streetscaping 750, ,000 SUBTOTAL $3,967,264 $3,832,137 $3,847,158 $3,112,330 $3,127,653 $17,886,542 PARKS AND RECREATION Adopted Projected Projected Projected Projected 5 Year McIntire Park Master Plan Implementation 450,000 1,000,000 1,000, , ,950,000 Tonsler Park Master Plan Implementation 600,000 1,500, , ,350,000 Meadow Creek Valley Master Plan Implementation 150, , ,000 SUBTOTAL $1,200,000 $2,650,000 $1,250,000 $500,000 $0 $5,600,000 TOTAL BONDABLE EXPENDITURES $12,828,157 $12,796,271 $11,726,550 $10,478,312 $6,743,636 $54,572,

8 NONBONDABLE PROJECTS EDUCATION Adopted Projected Projected Projected Projected 5 Year School Small Capital Improvements Program 200, , , , ,000 1,000,000 SUBTOTAL $200,000 $200,000 $200,000 $200,000 $200,000 $1,000,000 ECONOMIC DEVELOPMENT Adopted Projected Projected Projected Projected 5 Year Economic Development (Strategic) Initiatives 150, , , , , ,000 SUBTOTAL $150,000 $150,000 $150,000 $150,000 $150,000 $750,000 NEIGHBORHOOD IMPROVEMENTS Adopted Projected Projected Projected Projected 5 Year Neighborhood CIP Funds 47,500 47,500 47,500 47,500 47, ,500 SUBTOTAL $47,500 $47,500 $47,500 $47,500 $47,500 $237,500 TRANSPORTATION & ACCESS Adopted Projected Projected Projected Projected 5 Year Sidewalk Repair 400, , , , ,241 2,040,401 State Bridge and Highway Inspections 121, , , , , ,918 Minor Bridge Repairs 200, , , , ,121 1,020,201 CAT Transit Bus Replacement Match 168, ,169 46, , , ,378 Intelligent Transportation System 95,000 95,000 95,000 95,000 95, ,000 City Wide Traffic Improvements 95,000 95,000 95,000 95,000 95, ,000 Citywide ADA Improvements - Sidewalks and Curbs 95,000 95,000 95,000 95,000 95, ,000 Bicycle Infrastructure 200, , , , ,000 1,000,000 SUBTOTAL $1,374,847 $1,318,517 $1,267,080 $1,376,737 $1,532,717 $6,869,898 PARKS & RECREATION Adopted Projected Projected Projected Projected 5 Year Parks and Recreation Lump Sum Account 200, , , , ,000 1,000,000 Parks and Schools Playground Renovations 102, , , , , ,443 Trails and Greenway Development 77,109 77,880 78,659 79,446 80, ,334 Urban Tree Preservation and Planting 23,994 50,407 50,911 51,420 51, ,666 Parkland Acquisition 95,000 95,000 95,000 95,000 95, ,000 Public Art Fund 0 25,000 25,000 25,000 25, ,000 SUBTOTAL $498,915 $552,127 $554,448 $556,793 $559,160 $2,721,443 STORMWATER INITIATIVES Adopted Projected Projected Projected Projected 5 Year Neighborhood Drainage Projects 125, , , , , ,000 SUBTOTAL $125,000 $125,000 $125,000 $125,000 $125,000 $625,000 TECHNOLOGY INFRASTRUCTURE Adopted Projected Projected Projected Projected 5 Year Communications Technology Account/Public Access 47,500 47,500 47,500 47,500 47, ,500 SUBTOTAL $47,500 $47,500 $47,500 $47,500 $47,500 $237,500 OTHER GOVERNMENTAL COMMITMENTS Adopted Projected Projected Projected Projected 5 Year Charlottesville Affordable Housing Fund 1,569,322 1,611,600 1,655,016 1,699,602 1,745,390 8,280,930 Home Energy Conservation Grant Program 125, , , , , ,000 Voting System Replacement 0 300, ,000 SUBTOTAL $1,694,322 $2,036,600 $1,780,016 $1,824,602 $1,870,390 $9,205,930 TOTAL NONBONDABLE EXPENDITURES $4,138,084 $4,477,244 $4,171,544 $4,328,132 $4,532,267 $21,647,271 TOTAL PROJECT EXPENDITURES $16,966,241 $17,273,515 $15,898,094 $14,806,444 $11,275,903 $76,220,

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