INTRODUCTION The 5-Year District Facilities Work Program is a very important document. The Department of Education, Legislature, Governor's Office, Division of Community Planning (growth management), local governments, and others use the work program information for various needs including funding, planning, and as the authoritative source for school facilities related information. The district's facilities work program must be a complete, balanced capital outlay plan that is financially feasible. The first year of the work program is the districts capital outlay budget. To determine if the work program is balanced and financially feasible, the "Net Available Revenue" minus the "Funded Projects Costs" should sum to zero for "Remaining Funds". If the "Remaining Funds" balance is zero, then the plan is both balanced and financially feasible. If the "Remaining Funds" balance is negative, then the plan is neither balanced nor feasible. If the "Remaining Funds" balance is greater than zero, the plan may be feasible, but it is not balanced. Summary of revenue/expenditures available for new construction and remodeling projects only. 2016-2017 Five Year Revenues Project Costs Difference (Remaining Funds) $6,070,280 $6,062,617 $6,222,708 $882,193 $1,409,365 $20,647,163 $5,881,177 $5,881,177 $6,146,177 $210,000 $205,000 $18,323,531 $189,103 $181,440 $76,531 $672,193 $1,204,365 $2,323,632 District SCHOOL DISTRICT Fiscal Year Range CERTIFICATION By submitting this electronic document, we certify that all information provided in this 5-year district facilities work program is accurate, all capital outlay resources are fully reported, and the expenditures planned represent a complete and balanced capital outlay plan for the district. The district Superintendent of Schools, Chief Financial Officer, and the School Board have approved the information contained in this 5-year district facilities work program; they certify to the Department of Education, Office of Educational Facilities, that the information contained herein is correct and accurate; they also certify that the plan has been developed in coordination with the general purpose local governments as required by 1013.35(2) F.S. We understand that any information contained in this 5-year district facilities work program is subject to audit by the Auditor General of the State of Florida. Date of School Board Adoption 10/18/2016 Work Plan Submittal Date 10/20/2016 DISTRICT SUPERINTENDENT CHIEF FINANCIAL OFFICER DISTRICT POINT-OF-CONTACT PERSON JOB TITLE Paul Dyal Ashley Valentine Dan Anderson Facilities Coordinator PHONE NUMBER 8508382500 E-MAIL ADDRESS dan.anderson@taylor.k12.fl.us Page 1 of 15
Expenditures Expenditure for Maintenance, Repair and Renovation from 1.50-Mills and PECO Annually, prior to the adoption of the district school budget, each school board must prepare a tentative district facilities work program that includes a schedule of major repair and renovation projects necessary to maintain the educational and ancillary facilities of the district. Item 2016-2017 Actual Budget HVAC $130,000 $130,000 $130,000 $130,000 $130,000 $650,000 Flooring $35,000 $35,000 $35,000 $40,000 $35,000 $180,000 Roofing $45,000 $40,000 $40,000 $35,000 $45,000 $205,000 Safety to Life $20,000 $30,000 $30,000 $30,000 $30,000 $140,000 Fencing $20,000 $20,000 $25,000 $20,000 $20,000 $105,000 Parking $20,000 $20,000 $25,000 $35,000 $30,000 $130,000 Electrical $40,000 $40,000 $40,000 $40,000 $40,000 $200,000 Fire Alarm $40,000 $40,000 $40,000 $40,000 $40,000 $200,000 Telephone/Intercom System $15,000 $15,000 $15,000 $15,000 $15,000 $75,000 Closed Circuit Television $15,000 $15,000 $15,000 $15,000 $15,000 $75,000 Paint $30,000 $30,000 $30,000 $30,000 $30,000 $150,000 Page 2 of 15
Maintenance/Repair $130,000 $130,000 $30,000 $130,000 $130,000 $550,000 Sub : $540,000 $545,000 $455,000 $560,000 $560,000 $2,660,000 PECO Maintenance Expenditures $134,291 $134,291 $134,291 $137,894 $140,534 $681,301 1.50 Mill Sub : $505,709 $510,709 $420,709 $522,106 $519,466 $2,478,699 Other Items 2016-2017 Actual Budget Furniture and Instructional Equipment $100,000 $100,000 $100,000 $100,000 $100,000 $500,000 Locations ADMINISTRATION & ALTERNATIVE CENTER, FINANCE CENTER, PERRY PRIMARY, STEINHATCHEE SCHOOL, : $640,000 $645,000 $555,000 $660,000 $660,000 $3,160,000 Local 1.50 Mill Expenditure For Maintenance, Repair and Renovation Anticipated expenditures expected from local funding sources over the years covered by the current work plan. Item 2016-2017 Actual Budget Remaining Maint and Repair from 1.5 Mills $505,709 $510,709 $420,709 $522,106 $519,466 $2,478,699 Maintenance/Repair Salaries $170,000 $180,000 $180,000 $180,000 $0 $710,000 School Bus Purchases $0 $0 $0 $500,000 $500,000 $1,000,000 Other Vehicle Purchases $0 $35,000 $0 $0 $0 $35,000 Capital Outlay Equipment $125,000 $120,000 $120,000 $150,000 $150,000 $665,000 Rent/Lease Payments COP Debt Service Rent/Lease Relocatables Environmental Problems s.1011.14 Debt Service Special Facilities Construction Account Premiums for Property Casualty Insurance - 1011.71 (4a,b) $95,000 $95,000 $95,000 $95,000 $0 $380,000 Qualified School Construction Bonds (QSCB) Qualified Zone Academy Bonds (QZAB) Technology upgrades districtwide $180,000 $180,000 $180,000 $180,000 $0 $720,000 Local Expenditure s: $1,075,709 $1,120,709 $995,709 $1,627,106 $1,169,466 $5,988,699 Page 3 of 15
Revenue 1.50 Mill Revenue Source Schedule of Estimated Capital Outlay Revenue from each currently approved source which is estimated to be available for expenditures on the projects included in the tentative district facilities work program. All amounts are NET after considering carryover balances, interest earned, new COP's, 1011.14 and 1011.15 loans, etc. Districts cannot use 1.5-Mill funds for salaries except for those explicitly associated with maintenance/repair projects. (1011.71 (5), F.S.) (1) Non-exempt property assessed valuation Item Fund 2016-2017 Actual Value (2) The Millage projected for discretionary capital outlay per s.1011.71 (3) Full value of the 1.50-Mill discretionary capital outlay per s.1011.71 (4) Value of the portion of the 1.50 -Mill ACTUALLY levied $1,432,195,725 $1,484,052,221 $1,532,795,624 $1,580,324,792 $1,628,611,319 $7,657,979,681 0.75 0.75 0.75 1.50 1.50 $2,406,089 $2,493,208 $2,575,097 $2,654,946 $2,736,067 $12,865,407 370 $1,031,181 $1,068,518 $1,103,613 $2,275,668 $2,345,200 $7,824,180 (5) Difference of lines (3) and (4) $1,374,908 $1,424,690 $1,471,484 $379,278 $390,867 $5,041,227 PECO Revenue Source The figure in the row designated "PECO Maintenance" will be subtracted from funds available for new construction because PECO maintenance dollars cannot be used for new construction. Item Fund 2016-2017 Actual Budget PECO New Construction 340 PECO Maintenance Expenditures $134,291 $134,291 $134,291 $137,894 $140,534 $681,301 $134,291 $134,291 $134,291 $137,894 $140,534 $681,301 CO & DS Revenue Source Revenue from Capital Outlay and Debt Service funds. CO & DS Cash Flow-through Distributed CO & DS Interest on Undistributed CO Item Fund 2016-2017 Actual Budget 360 $102,799 $102,799 $102,799 $102,799 $102,799 $513,995 360 $832 $832 $832 $832 $832 $4,160 $103,631 $103,631 $103,631 $103,631 $103,631 $518,155 Fair Share Revenue Source All legally binding commitments for proportionate fair-share mitigation for impacts on public school facilities must be included in the 5-year district work program. Page 4 of 15
Sales Surtax Referendum Specific information about any referendum for a 1-cent or ½-cent surtax referendum during the previous year. Did the school district hold a surtax referendum during the past fiscal year 2015-2016? No Additional Revenue Source Any additional revenue sources Proceeds from a s.1011.14/15 F.S. Loans District Bonds - Voted local bond referendum proceeds per s.9, Art VII State Constitution Proceeds from Special Act Bonds Estimated Revenue from CO & DS Bond Sale Proceeds from Voted Capital Improvements millage Federal Grants Proportionate share mitigation (actual cash revenue only, not in kind donations) Impact fees received Private donations Grants from local governments or not-forprofit organizations Other Revenue for Other Capital Projects Proceeds from 1/2 cent sales surtax authorized by school board Proceeds from local governmental infrastructure sales surtax Proceeds from Certificates of Participation (COP's) Sale Item 2016-2017 Actual Value First Bond proceeds amount authorized in FY 1997-98 for Kids $130,000 $130,000 $130,000 $130,000 $130,000 $650,000 District Equity Recognition Interest, Including Profit On Investment Revenue from Bonds pledging proceeds from 1 cent or 1/2 cent Sales Surtax Page 5 of 15
Fund Balance Carried Forward General Capital Outlay Obligated Fund Balance Carried Forward From Fund Balance Carried Forward One Cent - 1/2 Cent Sales Surtax Debt Service From Fund Balance Carried Forward Capital Outlay Projects Funds Balance Carried Forward From Fund Balance Carried Forward Special Facilities Construction Account $5,881,177 $5,881,177 $5,881,173 $0 $0 $17,643,527 Subtotal $6,011,177 $6,011,177 $6,011,173 $130,000 $130,000 $18,293,527 Revenue Summary Item Name 2016-2017 Budget Local 1.5 Mill Discretionary Capital Outlay Revenue Five Year $1,031,181 $1,068,518 $1,103,613 $2,275,668 $2,345,200 $7,824,180 PECO and 1.5 Mill Maint and Other 1.5 Mill Expenditures ($1,075,709) ($1,120,709) ($995,709) ($1,627,106) ($1,169,466) ($5,988,699) PECO Maintenance Revenue $134,291 $134,291 $134,291 $137,894 $140,534 $681,301 Available 1.50 Mill for New Construction ($44,528) ($52,191) $107,904 $648,562 $1,175,734 $1,835,481 Item Name 2016-2017 Budget Five Year CO & DS Revenue $103,631 $103,631 $103,631 $103,631 $103,631 $518,155 PECO New Construction Revenue Other/Additional Revenue $6,011,177 $6,011,177 $6,011,173 $130,000 $130,000 $18,293,527 Additional Revenue $6,114,808 $6,114,808 $6,114,804 $233,631 $233,631 $18,811,682 Available Revenue $6,070,280 $6,062,617 $6,222,708 $882,193 $1,409,365 $20,647,163 Project Schedules Capacity Project Schedules A schedule of capital outlay projects necessary to ensure the availability of satisfactory classrooms for the projected student enrollment in K-12 programs. Page 6 of 15
Planned Cost: Student Stations: : Gross Sq Ft: Other Project Schedules Major renovations, remodeling, and additions of capital outlay projects that do not add capacity to schools. purchase of new computers for all teachers Replace fire alarm system Fence TTI Project Description Location 2016-2017 Actual Budget tech refresher new covered walkways for pick up area Install new computers Add new control system for the Daiken units add control system to Daiken HVAC system replace HVAC system in technology HIGH Yes MIDDLE TAYLOR TECHNICAL INSTITUTE MIDDLE MIDDLE TAYLOR TECHNICAL INSTITUTE HEADSTART/PREK/ESE CENTER MIDDLE $0 $0 $0 $0 $40,000 $40,000 Yes $0 $0 $0 $0 $100,000 $100,000 Yes HIGH $0 $0 $75,000 $0 $0 $75,000 Yes $0 $0 $0 $180,000 $0 $180,000 Yes $0 $0 $0 $30,000 $0 $30,000 Yes $0 $0 $25,000 $0 $0 $25,000 Yes $0 $0 $25,000 $0 $0 $25,000 Yes $0 $0 $50,000 $0 $0 $50,000 Yes replace turf grass for PE field HIGH $0 $0 $0 $0 $30,000 $30,000 Yes Purchace new student furniture HIGH $0 $0 $90,000 $0 $0 $90,000 Yes Funded replace existing roof panels replace foodservice equipment replace air handlers and condenser units in auditorium TRANSPORTATION TERMINAL MIDDLE MIDDLE $0 $0 $0 $0 $35,000 $35,000 Yes Yes $130,000 $0 $0 $0 $0 $130,000 No $130,000 $0 $265,000 $210,000 $205,000 $810,000 Page 7 of 15
Additional Project Schedules Any projects that are not identified in the last approved educational plant survey. Project Description Location Num Classroom s construct new Perry Primary School 2016-2017 Actual Budget PERRY PRIMARY 50 $5,881,177 $5,881,177 $5,881,177 $0 $0 $17,643,531 Yes 50 $5,881,177 $5,881,177 $5,881,177 $0 $0 $17,643,531 Funded Non Funded Growth Management Project Schedules Schedule indicating which projects, due to planned development, that CANNOT be funded from current revenues projected over the next five years. Page 8 of 15
Tracking Capacity Tracking STEINHATCHEE SCHOOL Location 2016-2017 Satis. Stu. Sta. MIDDLE HEADSTART/PREK/ESE CENTER TAYLOR TECHNICAL INSTITUTE Actual 2016-2017 FISH Capacity Actual 2015-2016 COFTE # Class Rooms Actual Average 2016-2017 Class Size Actual 2016-2017 Utilization New Stu. Capacity New Rooms to be Added/Re moved 2020-2021 COFTE 2020-2021 Utilization 2020-2021 Class Size 1,001 900 560 44 13 62.00 % 0 0 520 58.00 % 12 401 401 31 23 1 8.00 % 0 0 300 75.00 % 13 206 206 66 10 7 32.00 % 0 0 50 24.00 % 5 261 313 76 16 5 24.00 % 0 0 0 0.00 % 0 PERRY PRIMARY 670 670 719 13 55 107.00 % 0 0 621 93.00 % 48 HIGH 911 774 629 40 16 81.00 % 0 0 531 69.00 % 13 ELEMENTARY 932 932 608 47 13 65.00 % 0 0 550 59.00 % 12 4,382 4,196 2,687 193 14 64.05 % 0 0 2,572 61.30 % 13 The COFTE (2,572) for must match the Official Forecasted COFTE (2,572 ) for before this section can be completed. In the event that the COFTE does not match the Official forecasted COFTE, then the Balanced COFTE Table should be used to balance COFTE. COFTE for Elementary (PK-3) 855 Grade Level Type Balanced COFTE for Middle (4-8) 1,069 High (9-12) 648 2,572 Elementary (PK-3) 0 Middle (4-8) 0 High (9-12) 0 2,572 Relocatable Replacement Number of relocatable classrooms clearly identified and scheduled for replacement in the school board adopted financially feasible 5-year district work program. Location 2016-2017 Year 5 PERRY PRIMARY 0 0 12 0 0 12 Relocatable Replacements: 0 0 12 0 0 12 Page 9 of 15
Charter Schools Tracking Information regarding the use of charter schools. Special Purpose Tracking The number of classrooms that will be used for certain special purposes in the current year, by facility and type of classroom, that the district will, 1), not use for educational purposes, and 2), the co-teaching classrooms that are not open plan classrooms and will be used for educational purposes. School School Type # of Elementary K-3 # of Middle 4-8 # of High 9-12 # of ESE # of Combo Educational : 0 0 0 0 0 0 School School Type # of Elementary K-3 # of Middle 4-8 # of High 9-12 # of ESE # of Combo Co-Teaching : 0 0 0 0 0 0 Infrastructure Tracking Necessary offsite infrastructure requirements resulting from expansions or new schools. This section should include infrastructure information related to capacity project schedules and other project schedules (Section 4). Site work at new Perry Primary School. Proposed location of planned facilities, whether those locations are consistent with the comprehensive plans of all affected local governments, and recommendations for infrastructure and other improvements to land adjacent to existing facilities. Provisions of 1013.33(12), (13) and (14) and 1013.36 must be addressed for new facilities planned within the 1st three years of the plan (Section 5). Not Specified Consistent with Comp Plan? No Net New The number of classrooms, by grade level and type of construction, that were added during the last fiscal year. List the net new classrooms added in the 2015-2016 fiscal year. "" is defined as capacity carrying classrooms that are added to increase capacity to enable the district to meet the Class Size Amendment. List the net new classrooms to be added in the 2016-2017 fiscal year. s for fiscal year 2016-2017 should match totals in Section 15A. Location 2015-2016 # Permanent 2015-2016 # Modular 2015-2016 # Relocatable 2015-2016 2016-2017 # Permanent 2016-2017 # Modular 2016-2017 # Relocatable 2016-2017 Elementary (PK-3) 0 0 0 0 0 0 0 0 Page 10 of 15
Middle (4-8) 0 0 0 0 0 0 0 0 High (9-12) 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Relocatable Student Stations Number of students that will be educated in relocatable units, by school, in the current year, and the projected number of students for each of the years in the workplan. ELEMENTARY 0 0 0 0 0 0 MIDDLE 22 12 12 0 0 9 HEADSTART/PREK/ESE CENTER Site 2016-2017 5 Year Average 0 0 0 0 0 0 STEINHATCHEE SCHOOL 0 0 0 0 0 0 TAYLOR TECHNICAL INSTITUTE 0 0 0 0 0 0 PERRY PRIMARY 36 120 0 0 0 31 HIGH 0 0 0 0 0 0 s for SCHOOL DISTRICT students in relocatables by year. 58 132 12 0 0 40 number of COFTE students projected by year. 2,670 2,665 2,625 2,595 2,572 2,625 Percent in relocatables by year. 2 % 5 % 0 % 0 % 0 % 2 % Leased Facilities Tracking Exising leased facilities and plans for the acquisition of leased facilities, including the number of classrooms and student stations, as reported in the educational plant survey, that are planned in that location at the end of the five year workplan. Location # of Leased 2016-2017 FISH Student Stations Owner # of Leased 2020-2021 FISH Student Stations MIDDLE 0 0 0 0 HEADSTART/PREK/ESE CENTER 0 0 0 0 STEINHATCHEE SCHOOL 0 0 0 0 TAYLOR TECHNICAL INSTITUTE 0 0 0 0 PERRY PRIMARY 0 0 0 0 HIGH 0 0 0 0 ELEMENTARY 0 0 0 0 0 0 0 0 Page 11 of 15
Failed Standard Relocatable Tracking Relocatable units currently reported by school, from FISH, and the number of relocatable units identified as Failed Standards. Planning Class Size Reduction Planning Plans approved by the school board that reduce the need for permanent student stations such as acceptable school capacity levels, redistricting, busing, year-round schools, charter schools, magnet schools, public-private partnerships, multitrack scheduling, grade level organization, block scheduling, or other alternatives. The Taylor County School Board has discussed the possibility of building a K-2 school that would replace the existing k-2 school. School Closure Planning Plans for the closure of any school, including plans for disposition of the facility or usage of facility space, and anticipated revenues. In the event that the district builds a replacement school for Perry Primary, the existing school will be demolished. Page 12 of 15
Long Range Planning Ten-Year Maintenance District projects and locations regarding the projected need for major renovation, repair, and maintenance projects within the district in years 6-10 beyond the projects plans detailed in the five years covered by the work plan. Ten-Year Capacity Schedule of capital outlay projects projected to ensure the availability of satisfactory student stations for the projected student enrollment in K-12 programs for the future 5 years beyond the 5-year district facilities work program. Ten-Year Planned Utilization Schedule of planned capital outlay projects identifying the standard grade groupings, capacities, and planned utilization rates of future educational facilities of the district for both permanent and relocatable facilities. Grade Level Projections FISH Student Stations Elementary - District s Actual 2015-2016 FISH Capacity Actual 2015-2016 COFTE Actual 2015-2016 Utilization Actual 2016-2017 / 2025-2026 new Student Capacity to be added/removed 2025-2026 COFTE 2025-2026 Utilization 2,209 2,209 1,423.13 64.42 % 0 0 0.00 % Middle - District s 1,001 900 559.57 62.22 % 0 0 0.00 % High - District s 911 774 629.04 81.27 % 0 0 0.00 % Other - ESE, etc 428 313 75.62 24.28 % 0 0 0.00 % 4,549 4,196 2,687.36 64.05 % 0 0 0.00 % Combination schools are included with the middle schools for student stations, capacity, COFTE and utilization purposes because these facilities all have a 90% utilization factor. Use this space to explain or define the grade groupings for combination schools. No comments to report. Page 13 of 15
Ten-Year Infrastructure Planning Twenty-Year Maintenance District projects and locations regarding the projected need for major renovation, repair, and maintenance projects within the district in years 11-20 beyond the projects plans detailed in the five years covered by the work plan. Twenty-Year Capacity Schedule of capital outlay projects projected to ensure the availability of satisfactory student stations for the projected student enrollment in K-12 programs for the future 11-20 years beyond the 5-year district facilities work program. Twenty-Year Planned Utilization Schedule of planned capital outlay projects identifying the standard grade groupings, capacities, and planned utilization rates of future educational facilities of the district for both permanent and relocatable facilities. Grade Level Projections FISH Student Stations Elementary - District s Actual 2015-2016 FISH Capacity Actual 2015-2016 COFTE Actual 2015-2016 Utilization Actual 2016-2017 / 2035-2036 new Student Capacity to be added/removed 2035-2036 COFTE 2035-2036 Utilization 2,209 2,209 1,423.13 64.42 % 0 0 0.00 % Middle - District s 1,001 900 559.57 62.22 % 0 0 0.00 % High - District s 911 774 629.04 81.27 % 0 0 0.00 % Other - ESE, etc 428 313 75.62 24.28 % 0 0 0.00 % 4,549 4,196 2,687.36 64.05 % 0 0 0.00 % Page 14 of 15
Combination schools are included with the middle schools for student stations, capacity, COFTE and utilization purposes because these facilities all have a 90% utilization factor. Use this space to explain or define the grade groupings for combination schools. No comments to report. Twenty-Year Infrastructure Planning Page 15 of 15