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HomeMy WebLinkAboutPW CIP FY2013-14CITY OF�
Agenda Item No
Meeting Date:
July 15, 2013
SAN RAFAEL CITY COUNCIL AGENDA REPORT
Department: Public Works
Prepared by: -'
_4d&_City Manager Approval��
Director of Public Works
SUBJECT: RESOLUTION APPROVING SA
IMPROVEMENT PROGRAM FOR
2017/2018 AND AUTHORIZING THE
PROJECTS TO SUBSEQUENT YEARS
RECOMMENDATION
File No.: 01.02.49
N RAFAEL'S 5 -YEAR CAPITAL
FISCAL YEARS 2013/14 THROUGH
REPROGRAMMING OF 21 CAPITAL
Staff recommends that the City Council adopt a resolution approving San Rafael's 5 -Year Capital
Improvement Program (CIP) for Fiscal years 2013/14 through 2017/18 and authorize the reprogramming
of 21 capital projects to subsequent years.
Ii
FXOTIT1107071
CAPITAL IMPROVEMENT PROGRAM
The Capital Improvement Program (CIP) is developed to manage new construction, repairs, and
improvements to the City's current infrastructure. The CIP consists of 4 categories:
• City Owned Property (COP)
• Drainage (D)
• Right of Way (R/W)
• Traffic (T)
The City currently is responsible for more than 23 buildings, 12 stormwater pump stations, 112 miles of
drainage system pipes, 34 miles of ditches, 175 miles of roadway, 86 traffic signals, 25 parks/mini parks
and play fields, and more than 4,400 street lights. All of these facilities require constant maintenance.
Some are more than 40 years old and are in need of significant improvements. The purpose of the CIP is
to identify deficiencies to provide policy makers with an opportunity to prioritize and allocate resources
based on City Council goals and priorities.
FOR CITY CLERK ONLY
File No.: 4i57 * q- 3— 40
Council Meeting:
Disposition:
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 2
CIP MANAGEMENT
The Capital Improvement Program is managed by the City's Department of Public Works (DPW). DPW
has 45 full time employees, 8 of whom are in the engineering division. That division is responsible for
the following 6 areas of service:
CIP Provide design and construction services for the City's Capital Improvement
Program, individual department project implementation, State and Federal Grant
management.
Traffic Manage traffic operations and on -street parking. Manage the City's 86 traffic
signals, 4,400 street lights and the City's Traffic Coordination Committee which
coordinates with Police, Fire, City Attorney's Office, Community Development
and Parking Services to address public complaints related to traffic issues. The
division utilizes traffic models and technical expertise to manage traffic
operations and perform development impact analysis.
Land Development Provide subdivision, design review and building permit review services to
identify infrastructure improvements for private development within the City.
Coordinate with Planning and Building Inspection.
Permits Provide design review, construction review and assistance to utilities, property
owners and other entities performing work within the public right-of-way.
Administer and inspect grading, in compliance with the planning process,
dredging, tideland, transportation and other permits. Manage mandated programs
such the Marin County Stormwater Pollution Prevention Program (MCSTOPPP).
Public Service Address public concerns, provide over the counter services, property
investigation, map assistance, FEMA maps and public assistance.
Administration Oversight of department goals and objectives, operational and capital budgets.
CIP FUNDING SOURCES
Capital projects are funded from local, federal and state sources and a variety of fees. Many of these
funding sources have specific deadlines and regulatory requirements. For instance, federal and state
grants associated with roadway resurfacing projects have strict guidelines obligating the City to perform
the work. In addition, some funding sources can only be utilized for specific types of projects. e.g.,
Traffic Mitigation fees are limited to specific projects identified in General Plan 2020.
The Department of Public Works has gone to great lengths to examine each of these sources and to assign
the correct funding source to each project. Table 1 (page 5) details the type of funding and estimated
allocations for fiscal year 2013/14.
In discussions with the City Manager additional allocations are recommended from the City's Building
fund as well as the General Fund for staff time in key projects such as FEMA map updates. While the
City's infrastructure continues to require significant improvements, this allocation will help to address
deterioration concerns. We recommend the allocation of $1,795,000 from the Building Fund to address
immediate concerns related to City Owned Property.
City Right -of -Way, Drainage, Traffic, and a portion of City Owned Property projects are primarily
funded by grants, City fees, Gas Tax, Measures A & B and State Propositions. We estimate that
$7,688,482 will be available from these sources. Combining this amount with the allocation from the
Building and General fund generates a total budget of $9,483,482, as detailed in Table 1.
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Paize: 3
Although federal and state grant opportunities have decreased over the last 5 years the complexity of
administering these grants has increased dramatically. This complexity equates to detailed documentation
and required paperwork that is highly staff intensive. In some cases, small grants offered to local
jurisdictions are so staff intensive that they are no longer viable. Nevertheless, the Department of Public
Works continues to seek cost effective federal and state grants to support our infrastructure needs and to
meet the City's goals and objectives.
CII' PROJECTS COMPLETED IN FY2012/13
20 capital projects were completed during fiscal year 2012/2013. Eleven (11) of the 20 were emergency
projects not originally identified in the previous year's CII' document. Table 2 (page 6) attached to this
report shows the projects completed in Fiscal Year 12/13.
As stated, 11 of these projects were emergency in nature, a trend that underscores the deterioration of our
infrastructure. Previous year's CIF's lacked the ability to allocate significant resources for repair of
City's buildings, the consequences of which are now evident. For instance, a portion of the Fire Station
Tower at Station 2 was recently repaired. This facility had deteriorated to a point where the tower could
have collapsed due to serious dry rot in the floor and walls. The fundamental purpose of the CII' is to
identify these types of repairs, allocate the funding and then repair the facility before it becomes an
emergency. Public Works recommends the initiation of an annual, ongoing inspection of City facilities to
assist in the prioritization of projects and funding.
ACTIVE CIP PROJECTS
Currently, staff is working on 32 different capital projects with a wide range of complexity prioritized by
their safety aspects, requirements or grant deadlines. Some are listed in last year's CIP as well as
previous year's CIF's. In addition, several projects of an emergency nature are being addressed
immediately. Table 3 (page 7) denotes a few projects such as the City Hall HVAC project which is
essentially complete. Other projects such as NTPP (Non -Motorized Transportation Pilot Program) Puerto
Suello Pathway require only minimal staff involvement while the plans are being reviewed by Caltrans.
However, once we do get approval to proceed the construction will require more City staff involvement,
pointing out that each of the 33 projects on the list requires a different level of attention.
As mentioned above, 9 of the 32 projects shown in Table 3 were not listed in previous CIF's. These
projects are emergency in nature and are prioritized based on safety aspects, funding availability and other
requirements.
Other active and continuing programs such as Marin County Storm Water Pollution Prevention Program
(MCSTOPPP) are shown as projects in Table 3. This is a federal program which requires the City to
comply with state and federal regulations for minimizing waterway erosion and pollution. This particular
program will change in the next year to comply with more complex and restrictive conditions and
therefore are more costly to the City in terms of funding and staff resources.
FY 2013/14 CII' PROPOSED PROJECTS
In April 2013, the Department of Public Works met with Department Directors to develop and prioritize a
listing of current needs for the City's 23 buildings. Many are in need of significant improvements based
on their age and the amount of use they receive. As a consequence, 25 new projects were added to the
City Owned Property (COP) project list. Table 4 (page 9) lists the projects Adding these new projects
to the Five Year plan brings the total number of projects in the City Owned Property section to 44. Of
these, we recommend the immediate implementation of 15 projects. Similarly, extensive maintenance
and large scale infrastructure repairs/upgrades are needed for the City's Right of Way, Drainage systems,
and Traffic systems to prevent further deterioration.
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Paize: 4
For Fiscal Year 2013/14 32 projects, representing all categories, are recognized as having the highest
priority and are recommended for funding. Table 5 (page 10) describes the recommended fiscal year
2013/14 projects. The total proposed budget for these 32 projects is $9,198,000 (Table 6, page 13).
Over the last several years, Public Works has managed the Capital Improvement Program to anticipate the
need for improvements to the City's infrastructure. Exhibit A, attached to this report, further details the
five year plan for all these projects and documents the recommended capital projects for fiscal years
2013/14 through 2017/18.
Several of the projects identified in Exhibit A are noted as unfunded. These are projects which are a
priority and, if funding becomes available during fiscal year 2013/14, will be addressed in the order listed.
However, if funding does not become available these projects will be reprogrammed to a future fiscal
year.
REPROGRAMMING
Project priorities have shifted based on the April 2013 meeting with department directors. We
recommend reprogramming a total of 21 projects listed in last year's CIP. Some projects, such as the
Albert J. Boro Community Center Synthetic Field are simply too expensive to construct at this time.
These types of projects will remain on the CIP and will be re-evaluated annually to determine if they can
be constructed once resources become available. Table 7 (Page 15) details which projects are
recommended for reprogramming. This table also references Exhibit A, which provides more detail on
project scope as well as their estimated fiscal requirements.
WORK LOADING & RESOURCES
The ambitious number of capital projects will be managed by utilizing the City's Engineering staff as well
as leveraging consultant resources. Some projects cannot be completed within one year since they involve
permitting and other time consuming regulatory requirements. Others will be combined wherever
possible to minimize the expense of administration in order to maximize funding for construction.
OPTIONS
The Council may accept the recommendation to initiate the projects listed within this document for Fiscal
Year 2013/14 Capital Improvement Program or the Council may direct staff to reprogram the list based
on different funding priorities and needs.
ACTION REQUIRED
Accept the updated 5 -Year Capital Improvement Program and authorize the reprogramming of 21
projects as noted above.
Enclosures: Table 1
— CIP — Funding Sources (Page 5)
Table 2
— FY12/13 Completed Projects (Page 6)
Table 3
— Active Projects (Page 7)
Table 4
— New Projects Added to FYI 3/14 CIP (Page 9)
Table 5
— FYI 3/14 CIP Projects/Descriptions (Page 10)
Table 6
— FYI 3/14 CIP Projects/Estimated Budget (Page 13)
Table 7
— FY13/14 Reprogrammed Projects (Page 15)
Exhibit A - 5 -Year CII' Update Document (Attached)
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Paae: 5
TABLE I (CIP - FUNDING SOURCES)
Drainage (D) Project Funding FY13/14
Description
General Fund
Storm Water Fees
Available from Previousl Anticipated Allocati
Years ($)I for 2013/14
Right of Way (R/W) Project Funding FY13/14
359,6561 725,OOC
Total Available for Drainage (D) Projects =
Estimated Tota
Available ($
230,00(
1,084,65(
1,314,65(
Description
Available from Previous
Anticipated Allocation
Estimated Total
Description
Years $
for 2013/14 $
Available $
Building Fund
307,000
1,008,000
1,315,000
Building Fund (Operational Savings)
250,000
0
250,000
Parking Services Fund
0
200,000
200,000
200,000
Parkland Dedication Funds
0
200,000
Total Available for City Owned Properties =
1,965,000
Drainage (D) Project Funding FY13/14
Description
General Fund
Storm Water Fees
Available from Previousl Anticipated Allocati
Years ($)I for 2013/14
Right of Way (R/W) Project Funding FY13/14
359,6561 725,OOC
Total Available for Drainage (D) Projects =
Estimated Tota
Available ($
230,00(
1,084,65(
1,314,65(
Description
Available from Previous
Years $
Anticipated Allocation
for 2013/14 $
Estimated Total
Available $
General Fund
Grants
City Fees - Construction Vehicle Impact
Fees, Refuse Vehicle Registration Fees
Gas Tax
Local Measures A & B _
Assessment Districts
State Proposition 1B, 42
0
0
0
2,357,109
943,600
0
2,357,109
1,079,729
2,023,329
635,079
135,079
_ 0
0
127,660
500,000
960,649
960,649
0
01
0
127,660
Total Available for Right of Way (R/W) Projects =1
6,103,826
Traffic (T) Project Funding FY13/14
Available from Previous Anticipated Allocation
Estimated Total
Description
Years $ for 2013/14 $
Available $
General Fund
0 0
0
City Fees - Construction Vehicle Impact
Fees, Refuse Vehicle Registration Fees
01 100,0001
100,000
Total Available for City Owned Properties =1
1001000
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Pa2e: 6
TABLE 2 — FY12/13 COMPLETED PROJECTS
CIP Projects (Originally Listed in Previous Year's CIP's)
#
Project Name
Description
Cost $
10
Santa Margarita Park Access
This broken and damaged driveway needed replacing.
18,400
1Improvements
Fire Station Tower Repair Station 2
Installation of an accessible ramp and parking stall
9,500
12
Parking Structure/Garage Lighting
Replace existing lighting with energy efficient lighting
42,101
2
Replacement
system within the City's parking garages
74,032
14
Corp Yard Fuel Station Lighting
This project includes installing compliant curb ramps in
2,2_7.5_
15
Albert J. Boro Community Center Attic
Cleaning
compliance with the Department of Justice Settlement
2,200
3
ADA -DOJ Curb Ramps 2012/13
agreement in areas throughout the City.
281,074
17
Citywide Street Resurfacing Curb Ramps
Prior to the Street Resurfacing 12/13 this project
18
4
2012
includes installing compliant curb ramps.
211,824
b'Vashing of existing sidewalk needed to improve safety.
Irstai,ation of new thermostat holes needed to assist
with the HVAC construction project. 1
16,380
Repair of existing hazardous paving on 3rd Street and
_
Thermostat Holes at City Hall
5
Downtown Pavement Safety Improvements
other downtown areas.
59,417
This project includes the design of a new pedestrian and
Grand Avenue Pathway Connector Project
bicycle bridge across the San Rafael Canal next to the
6
(Design)
Grand Avenue Bridge
180,684
Installation of new accessible ramps, sidewalks and
NTPP Mahon Creek Path to Transit
other improvements at Tamalpais and 2nd Street plus
7
Connector Project
striping.
130,099
Installation of new accessible ramps, sidewalks bulbouts
and other improvements on the road fronting Coleman
8
Safe Routes to School - Coleman
School
199,513
Traffic Cabinet Signal & Controller
Annual project to replace obsolete existing traffic cabinet
9
Upgrades 2011/12
controllers with updated systems to improve reliability
77,718
Subtotal Completed CIP Projects =L 1,223,862 1
Non-CIP Projects - These projects are emer enc in nature and were not identified in previous ear's CIP's
#
Project Name
Description
Cost $
10
Fire Station 5 Driveway Replacement
This broken and damaged driveway needed replacing.
18,400
11
Fire Station Tower Repair Station 2
Emergency repair of dry rot and damaged structure.
17,416
12
B Street Community Center Emergency
Roof Repairs
Emergency repair of leaking roof and downspouts
42,101
13
City Attorney's Office Improvements
Removal and reposition of existing wall system.
16,410
14
Corp Yard Fuel Station Lighting
Replacement of existing lighting which did not provide
sufficient lighting for night fueling.
2,2_7.5_
15
Albert J. Boro Community Center Attic
Cleaning
Emergency action to repair damaged electrical and attic
systems from infestation.
2,200
16
Mission & B Street Emergency Drainage
Repairs
Vistawood Emergency Drainage Repairs
Emergency installation of a new drainage structure to
manage drainage from Boyd Park.
18,866
17
Emergency repair of separated drainage culvert that
could cause a slide in the area.
7,047
18
Downto vn Bicycle Parking Installation
Tricoor Paimting - &dewaik Washing
Immediate action to install bike racks and not lose state
grants for this work.
12,169
19
b'Vashing of existing sidewalk needed to improve safety.
Irstai,ation of new thermostat holes needed to assist
with the HVAC construction project. 1
16,380
20
_
Thermostat Holes at City Hall
8,300
Subtotal None CIP projects =1 161,564
Total Completed Projects FY12/13=1 1,385,426
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 7
TABLE 3 — ACTIVE PROJECTS
CIP Proiects (Oriainally Listed in Previous Year's CIP's)
Estimated Cost
#
Project Name
Status
Description
($)
Remove and replace the existing heating, ventilation
and air conditioning units on the 2nd and 3rd floors of
1
City Hall HVAC Project
Construction
the City Hall.
1,469,000
Install a document pass-through window at the City
2
City Clerk Pass-through
Design
Clerks office.
20,000
Replace small and obsolete existing dugout area at
3
Bernard Hoffman Dugouts
Design
Bernard Hoffman Park.
30,000
City Building Solar Upgrades
Assist with developing and implementing solar energy
4
(Study)
Design
sites at City facilities.
20,000
3rd & Cijos Parking Lot
Improve traffic circulation, lighting, access and resurface
5
Improvements
Design
the parking area.
250,000
5th Avenue & D Street Parking
Improve traffic circulation, lighting, access and resurface
6
Lot Improvements
Desig_ n
the parking area.
300,000
5th Ave. & Lootens Parking Lot
Install accessible parking and path of travel facilities and
7
Improvements
Design
resurface the existing parking lot.
160,000
Install structural improvements to this pump station to
8
400 Canal Pump Station
Design
prevent further deterioration.
60,000
Corporate Center Pump
Station Underground
Install an underground conduit and electrical system to
9
connection
Design
the pump station.
5,000
Manage and implement the City's storm water program
10
MCSTOPPP Program
Design
to prevent contaminates to the City's waters.
120,000
This project involves providing staff time to assist with
the Sonoma Marin Area Rail Transit through San
Rafael. Public Works staff plays a vital role in the
Technical Advisory Committee and other design
11
SMART
Design
aspects.
Assist the County of Marin with resurfacing Point San
Pedro Road from Union to the quarry entrance which
12
Point San Pedro Resurfacing
Design
Icrosses both County and City Jurisdiction
650,000
Resurface D Street, 5th Avenue, Bellam, in compliance
13
Citywide Street Resurfacing
Construction
with a Federal Grant related to Arterial Roadways.
1,600,000
Annual resurfacing project for the City's most severely
14
Street Resurfacing 12/13
Design
worn roadways.
1,200,000
This project includes the installation of a new pedestrian
bridge across the canal next to the Grand Avenue
Grand Avenue Pathway
bridge. The design has been completed. Construction
15
Improvements
Design
funds are not available at this time.
1,400,000
This project includes the installation of new bus pullouts
and ramps along Canal Blvd. and Kerner to provide
16
Canal Lifeline Phase 2
Design
pedestrian access to transit.
840,000
This project includes the installation of a separated bike
NTPP Puerto Suello Hill Transit
path from Mission to 4th Street along Hetherton. We
17
Center Connector
Design
are waiting for Caltrans approval to start construction.
1,300,000
This project includes installing a compliant sidewalk
Safe Routes to School
along Lindaro to improve access to Davidson School.
18
Davidson
Desi n
This project may limit parking for fronting properties.
565,000
Pt. San Pedro Median
Assessment District
This project includes the installation of landscaping in
19
Improvement Project
Construction
the Point San Pedro Medians from Union to Biscayne.
1,750,000
This project involves the widening of an existing
sidewalk along East Francisco Blvd. The project will
20
NTPP Francisco Blvd East
Design
affect fronting property parking.
2,000,000
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 8
TABLE 3 — ACTIVE PROJECTS (CONTINUED)
CIP Proiects (Oriainally Listed in Previous Year's CIP's)
rotal Estimated Active (CIP) Projects =1 $ 14,375,000 1
Non-CIP Proiects - These Proiects are emeraencv in nature and were identified in previous vear's CIP's
Estimated Cost
#
Project Name
Status
Description
($)
This project includes replacing high pressure sodium
24
Blue House Deck Repair
Construction
street lights with energy efficient Light Emitting Diode
15,000
21
LED Street Lighting
Construction
fixtures.
266,000
25
Fuel Tank Removal
Construction
This Caltrans project involves the study and design for
15,900
installing ramp metering systems on the On -Ramps to
22
Ramp Metering System
Design
highways that travel through the City.
-
2013 City Hall Interior
This project includes the replacement of obsolete traffic
26
Traffic Cabinet Controller
Construction
cabinets with up to date systems to better control traffic
650,000
23
Upgrades 12/13
Design
throughout the City.
100,000
rotal Estimated Active (CIP) Projects =1 $ 14,375,000 1
Non-CIP Proiects - These Proiects are emeraencv in nature and were identified in previous vear's CIP's
notal Estimated Active (None CIP) Projects =1 $ 943,900 1
Estimated Cost
#
Description
Status
Category($)
This project includes replacing the dilapidated entry
24
Blue House Deck Repair
Construction
deck at 1313 5th Avenue.
15,000
Fire Department Above Ground
Remove the existing above ground fuel tank at Station
25
Fuel Tank Removal
Construction
53, and 55
15,900
This project includes the installation of improvements to
the 1 st and 2nd floor of the City Hall. Carpeting,
2013 City Hall Interior
Flooring and other improvements are contemplated with
26
Improvements
Construction
this project.
650,000
27
Fair Drive Resurfacing
Design
Resurfacing of a portion of Fair Drive.
100,000
Installation of a retaining wall next to Brookdale Avenue
28
Brookdale Retaining Wall
Design
which experienced a slide several years ago.
35,000
201 D Street Driveway and
Installation of a compliant sidewalk to connect existing
29
Sidewalk Improvements
Design
sidewalks and crosswalks at D and Antoinette.
40,000
Emergency Storm Drain Repair
Replace a failed storm drain culvert and install a new
30
- Bellam
Construction
manhole to improve drainage on this roadway.
8,000
Install a new manhole to improve drainage on this
31
B St. - 1 st St Curb Ramps
Construction
roadway.
60,000
Combination Traffic Signal
This project includes replacing several traffic signal
32
Head Replacements
Design
heads with adequate reflective backing plates.
20,000
notal Estimated Active (None CIP) Projects =1 $ 943,900 1
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 9
Table 4 — NEW PROJECTS ADDED BY DEPARTMENT DIRECTORS
1
Fire Station Drill Tower Repair
2
Fire Station 1 Driveway Apron
3
Terra Linda Recreation Center Pool House
4
Fire Station Speaker System Upgrade
5
City Library Desks and Work Station Upgrades
6
B St. Community Center Siding Replacement
7
City Library Lighting Study & Replacement
8
Albert J Boro Community Center Hallway Carpeting
9
Albert J Boro Community Center Basketball Court
10
Electrical Improvements to 911 Call System
11
Audio Video Improvement - Council Chambers Phase 2
12
Fire Station 2 Parking Lot Resurfacing
13
Space Consolidation for 519 4th St.
14
Exterior Fencing PD Parking Lot
15
Library Electrical Upgrades
16
Albert J. Boro Community Center Electrical Upgrades
17
Downtown Library Public Furniture Upgrades
18
Enclose Downtown Library Computer Area
19
Repaint Downtown Library
20
Downtown Library Restroom Addition/Improvements
21
Downtown Library Book Shelving Replacement
22
Downtown Library Lobby, Circulation Desk Replacement
23
Enclose Downtown Library Children's Patio
24
113arkside Interior Painting
25
jAudio, Video Improvements Council Chambers (3)
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 10
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS
FY 13/14 Cj1y Owned Property - Proposed Project
#
Name of Project
Scope of Work
This annual project addresses emergency repairs of
existing City Owned Properties which can include
but is not limited to plumbing, roofing, and other
1
Emergency Facilities Repair
significant repairs.
Fire Station Drill Tower Repair, Phase 2
Removal and replacement of the East side exterior
2
— (Design and Construction)
siding and repair of internal dry rot.
This project examines the City's Parking Structures
Parking Structure Upgrade/Replacement
to determine if structural upgrades are required to
3
(Stud)
comply with current state and federal requirements.
This project involves replacing the driveway apron in
Fire Station 1 Driveway Apron (Design
front of Station 1 with an accessible and compliant
4
and Construction)
sidewalk and apron.
This project includes developing a design for the
Terra Linda Recreation Center Pool
Terra Linda Pool House which currently is not
5
House (Design)
sufficient for the amount of use at this facility.
Fire Station Speaker System Upgrade
Replace the existing Emergency Speaker system
6
(Design and Construction)
within all the City's Fire Stations which are obsolete.
City Library Carpeting Replacement
Replacement of the existing worn out carpeting
7
Design and Construction)
within the downtown library.
City Library Desks and Work Station
Replace the existing desks and work stations with
8
Upgrades (Design and Construction)
ergonomic work stations and accessible furniture.
B St. Community Center Flooring
Replace the original1960's era flooring in the
9
Replacement (Design and Construction)
Auditorium
B St. Community Center Siding
Replace the existing shingle siding on the exterior of
10
Replacement (Design and Construction)
the building.
Examine the existing lighting within the library and
City Library Lighting Study &
determine what modifications are necessary to
11
Replacement (Design and Construction)
provide adequate and efficient lighting.
Albert J. Boro Community Center
Replacement of the existing damaged carpeting
12
Hallway Carpet (Design and
within the main hallways.
Construction)
Provide additional electrical improvements to
Electrical Improvements to 911 Call
support the work by AT&T to improve the 911 Call
13
System (Construction)
Systems.
Installation of a new basketball court on the east side
Albert J. Boro Community Center
of the Community Center. This project is partially
14
Basketball Court (Construction)
funded by donations from the community.
Remove and replace the antiquated air mixing boxes
on the 2nd and 3rd floors of the City Hall to better
City Hall Air Supply Delivery Upgrades
improve air flow and circulation from the recently
15
(Design and Construction)
installed main HVAC units.
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Paize: 11
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS (CONTINUED)
FY 13/14 Drainage - Proposed Project
#
Name of Project
Scope of Work
Miscellaneous Storm Drain, Slide Repair
This annual project addresses routine emergency
16
Projects
repairs related to drainage issues.
This project includes the structural repair of this
older pump station which has deteriorated over the
17
Rossi Pump Station (Construction)
years.
City Bridge Repair Program (Design and
Provide staff time associated with compliance with
22
Construction)
the latest requirements from the State Regional
Marin County Storm Water Pollution
Water Quality Control Board and federal rules and
18
Prevention Program (MCSTOPP)
regulations related to the Phase 2 permit.
23
(Construction)
This project involves working with the Federal
Emergency Management Agency to update the
Street Resurfacing Curb Ramps 2013/14
Community regarding the new maps produced by
24
(Design and Construction)
FEMA in relation to the Bay Study. This project will
Street Resurfacing 2013/14 (Design and
involve community meetings and staff involvement
25
Construction)
in order to provide information to the community
19
FEMA Updates (Public Assistance)
on the map and insurance changes.
This collaborative project with the County of Marin
SMART - Quite Zones & Andersen
will study the Las Gallinas Watershed to determine
26
North San Rafael Watershed Study
environmental, navigational and other improvements
20
(Design)
for this area.
FY 13/14 Right of Way - Proposed Project
#
Name of Project
Scope of Work
Miscellaneous Right of Way Repair
This annual project addresses routine and emergency
21
Projects
projects related to City's streets.
3rd Street Bridge near Highway 101 and Southern
Heights bridge are in need of repair. Initial reviews
of these bridges indicated that further studies are
City Bridge Repair Program (Design and
needed prior to implementing repairs or possibly
22
Construction)
replacement of these facilities.
This project consists repairing a slide on Brookdale
Brookdale Avenue Retaining Wall
by installing a retaining wall along the edge of the
23
(Construction)
roadway.
This project involves the installation of new
Street Resurfacing Curb Ramps 2013/14
accessible curb ramps on the roadways that are
24
(Design and Construction)
scheduled to be resurfaced.
Street Resurfacing 2013/14 (Design and
This project involves resurfacing a portion of the 175
25
Construction)
miles of the City's road system.
This project involves assistance with Quite Zones,
Federal Rail Authority and Public Utility
SMART - Quite Zones & Andersen
Commission approval as well as analyzing the
26
Drive Crossing (Stud)
Andersen Drive crossing alternatives.
This project involves installing curb ramps
ADA -DOJ Curb Ramps 2013/14 (Design
throughout the City in compliance with the
27
and Construction)
Department of Justice settlement agreement.
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 12
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS (CONTINUED)
FY 13/14 Riaht of Way - Proposed Project Continued:
#
Name of Project
Scope of Work
32
Traffic Cabinet Controller Upgrades
2013/14 (Design and Construction)_controller
This project involves a coordinated effort with the
Point San Pedro Road Resurfacing
County of Marin to resurface Point San Pedro Road
28
(Construction)
from Union to the San Rafael Rock Quarry entrance.
This project involves improving traffic signal
Downtown Rail Readiness Project
systems and pedestrian facilities within the
29
(Design and Construction)
downtown area near the new rail station and line.
Del Presidio Blvd — Pt. San Pedro
This project consists of resurfacing Del Presidio,
Quarry to Biscayne Resurfacing (Design
from Manual Freitas to Las Gallinas, and Point San
30
and Construction)
Pedro Road from the Quarry Entrance to Biscayne.
This project involves replacing a failed drainage
system within H Street and then resurfacing the
H Street Roadway Improvements
roadway from Forbes to 4`b Street. Additional utility
31
(Design and Construction)
relocations may be necessary.
FY 13/14 Traffic - Proposed Project
#
Name of Project
--7-scope of Work
32
Traffic Cabinet Controller Upgrades
2013/14 (Design and Construction)_controller
This project consists of upgrading older traffic
equipment to meet current standards.
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 13
TABLE 6 - FY13/14 CIP PROJECT ESTIMATED BUDGET
City Owned Buildings
Miscellaneous Storm Drain, Slide Repair Projects
Building
Fund $
Grant & Other
Funding $
Total $)
1 Emergency Facilities Repair
Design &
Construction
125,000
0
125,000
2 Fire Station Drill Tower Repair
Construction
40,000
0
40,000
3 Parking Structure Upgrade/Replacement Study
Study
0
200,000
200,000
4 Fire Station 1 Driveway Apron
Construction
60,000
0
60,000
5 Terra Linda Recreation Center Pool House
Design
0
200,000
200,000
6 Fire Station Speaker System Upgrade
Construction
200,000
0
200,000
7 City Library Carpeting Replacement
Construction
230,000
0
230,000
8 City Library Desks and Work Station Upgrades
Construction
90,000
0
90,000
9 B St. Community Center Flooring Replacement
Construction
60,000
40,000
100,000
101 B St. Community Center Siding Replacement
Construction
200,000
0
200,000
11 1 City Library Lighting Study & Replacement
Design &
Construction
35,000
0
35,000
12 Albert J. Boro Community Center Hallway Carpet
Construction
45,000
0
45,000
13 Electrical Improvements to 911 Call System
Construction
35,000
0
35,000
14 Albert J. Boro Community Center Basketball Court
Construction
51,000
49,000
100,000
15 City Hall Air Supply Delivery Upgrades
Construction
200,000
01
200,000
Subtotal COP =
1,371,000
489,000
1,860,000
Drainaae Proiects
16
Miscellaneous Storm Drain, Slide Repair Projects
Design &
Construction
17
Rossi Pump Station
Construction
18
Marin County Storm Water Pollution Protection Program
(MCSTOPPP)
Public
Assistance
19
- -----
FEMA Updates
Public
Assistance
201
_
North San Rafael Watershed Studv
Studv
Subtotal D =
General
Fund $
Grant & Other
Funding $
Total $
0
100,00_0
100,000
_
0
850,000
850,000
120,000
0
120,000
60,000
0
60,000
50,0001
01
50,000
230,000
950,000
1,180,000
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Pale: 14
TABLE 6 — FY13/14 CIP PROJECT ESTIMATED BUDGET (CONTINUED)
Jaht of Wav Proiects
21
Miscellaneous Right of Way
Design &
Construction
22
City Bridge Repair Program
Design &
Construction
23
Brookdale Avenue Retaining Wall
Construction
24
Street Resurfacing Curb Ramps 2013/14
Design &
Construction
25
Street Resurfacing 2013/14
Design &
Construction
26
SMART - Quite Zones & Andersen Dr Crossing
Study
27
ADA -DOJ Curb Ramps 2013/14
Design &
Construction
28
Point San Pedro Road Resurfacing
Construction
29
Downtown Rail Readiness Project
Design &
Construction
30
Del Presidio Blvd - Pt San Pedro Resurfacing
Design &
Construction
31
H Street Roadway Improvements
1 Design
Subtotal R/W =
Traffic
Design &
32 Traffic Cabinet Controller Upgrades 2013/14 Construction
Subtotal T =
Total FY13/14 CIP =
General
Fund $
Grant & Other
Funding $
Total $
0
100,000
100,000
0
295,000
295,000
0
250,000
250,000
0
80,000
80,000
0
1, 500,000
1,500,000
0
80,000
80,000
0
300,000
300,000
0
625,000
625,000
0
2,118,000
2,118,000
0
_ 510,000
510,000
01
200,000
200,000
0
6,058,000
6,058,000
1,601,000 7,597,000 9,198,000
General
Grant & Other
Fund $
Funding $
Total $
0
100,000
100,000
01
100,0001
100, 000
1,601,000 7,597,000 9,198,000
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 15
TABLE 7 — FY13/14 REPROGRAMMED PROJECTS
Project Name
Cate o
Current
Schedule
Reprogrammed
To
"Exhibit A" 5 -
year CIP
Update Page #
1
Menzies Parking Lot
COP
13/14
14/15
65
2
5th and Garden Resurfacing
COP
13/14
15/16
66
3
Shoen Park Improvements
COP
13/14
15/16
67
4
Santa Margarita Park - Court Reconstruction
COP
_
13/14
15/16
68
5
Albert J Boro Community Center Synthetic Field
Construction
COP
13/14
15/16
69
6
Victor Jones Park Path of travel Improvements
COP
14/15
15/16
70
7
Gerstle Park Playground Improvements
COP
72
8
Boyd Park Accessibility Improvements
COP
15/16
16/17
71
9
TLCC Play Area & Access Improvements
COP
15/16
16/17
73
10
Bernard Hoffman Drainage & Irrigation
Improvements
COP
15/16
16/17
74
11
Peacock Gap Playground Upgrades
COP
15/16
16/17
75
12
City Building Lock System
COP
15/16
17/18
50
13
Fire Station Generator
COP
13/14
14/15
62
14
City Hall/Library Landscaping and Irrigation
Improvements
COP
13/14
14/15
57
15
Storm Drain CMP Replacement/Upgrades
D
13/14
14/15
85
16
Sea Level Rise Study
D
13/14
14/15
86
17
City Levee Study
D
12/13
14/15
87
18
Parks Pathways Resurfacing
R/W
13/14
14/15
107
19
Bungalow Ave. Reconstruction
R/W
13/14
14/15
108
20
Mahon Path Landscaping
R/W
15/16
16/17
109
21
Freitas Las Gallinas Intersection Improvements
T
13/14
14/15
115
RESOLUTION NO. 13575
A RESOLUTION APPROVING SAN RAFAEL'S 5 -YEAR CAPITAL IMPROVEMENT
PROGRAM FOR FISCAL YEARS 2013/14 THROUGH 2017/2018 AND AUTHORIZING
THE REPROGRAMMING OF 21 CAPITAL PROJECTS TO SUBSEQUENT YEARS
WHEREAS, the Public Works Director has submitted to the San
Rafael City Council a document entitled "CITY OF SAN RAFAEL CAPITAL
IMPROVEMENT PROGRAM (CIP) FISCAL YEAR 2013/14 TO 2017/18"; and
WHEREAS, the document describes a wide range of capital projects,
consistent with current Council priorities, required to maintain and/or upgrade the
City's assets, including but not limited to City Owned Property, City Right of Way,
Drainage, Traffic which include but are not limited to maintain roads, pedestrian and
bicyclist facilities, traffic control networks, drainage systems, buildings, parks, and
parking facilities; and
WHEREAS, the document further describes project cost estimates
that may be utilized for said projects, recognizing that such estimates are based on
currently available information that is subject to change over the next five years; and
WHEREAS, the Capital Improvement Program may be modified and
amended by the Council as priorities and funding sources and amounts change over
the five year life of the document; and
WHEREAS, it is the intention of this Council to adopt said "CITY OF
SAN RAFAEL 5 -YEAR CAPITAL IMPROVEMENT PROJECT LIST" as submitted
by the Public Works Director.
NOW, THEREFORE, BE IT RESOLVED by the San Rafael City
Council that the City Council approves the document entitled "CITY OF SAN
RAFAEL CAPITAL IMPROVEMENT PROGRAM (CIP) FISCAL YEAR 2013/14
TO 2017/18", which is on file with the City Clerk.
I, ESTHER C. BEIRNE, Clerk of the City of San Rafael, hereby certify that
the foregoing resolution was duly and regularly introduced and adopted at a regular meeting
of the Council of said City on the 15th day of July, 2013, by the following vote, to wit:
AYES: COUNCILMEMBERS: Colin, Connolly, Heller, McCullough & Mayor Phillips
NOES: COUNCILMEMBERS: None
ABSENT: COUNCILMEMBERS: None
ESTHER C. BEIRNE, City Clerk
File No.: 01.02.49
ZA0l Administration\01.02 Budget\01.02.49 Capital Improvement\CIP 5 -year plan 2013 RESOLUTION.doc
EXHIBIT A
Department of Public Works
CITY OF SAN RAFAEL
CAPITAL IMPROVEMENT PROGRAM
(CIP)
FISCAL YEAR 2013/14 TO 2017/18
Prepared by the Department of Public Works
July 15, 2013
CAPITAL IMPROVEMENT PROGRAM
(CIP)
FISCAL YEAR 2013/14 TO 2017/18
Table of Contents
INDEX
Table of Contents
PAGE
2
City of San Rafael Council Report & Resolution 3
Pictures of Completed Projects (Portion) 20
Capital Improvement Program Summary 25
City Owned Property (COP) 26
List of City Owned Buildings 76
Drainage 77
List of Pump Stations 88
Road Right of Way (R/W) 89
Traffic 111
vw
CITY OF
u v SAN L CITY CO
Department. Public Wor
Prepared b:
Agenda Item No:
Meeting Dater
App
my 15, 2013
Director of Public Works
x i,
File No 01 02 49
P•rk?. a .+` c"P.
(dLLTTION APPROVING �ANv. ,,PAL's-YEARA'ITAL
PROVEMENT PROGRAM FOR FISCAL YEARS 2013/14 THROUGH
7/2018 AND AUTHORIZING THE REPRO - 21 +
DJECTS TO SUBSEQUENT YEARS..
RECOMMENDA)i"
A,�, 3 < � >..,.. V. "' .,... ,.r�..z . ,.w�. n �., • F > � � �._ err _ .. ,.. ,
Staff recommends that the City Council adopt a resolution approving San Rafael's 5 -Year Capital
Improvement Program (CIP) for Fiscal years 2013/14 through 2017/18 axed aptlorize the repro,&rammmg
of 21 capital projects to subsequent years
..
The Capital Improv ent Progrdr (CIP) t "d am fig'- ge bev .. t Ii rt; repairs
FOR CITY CLERK ONLY
File No.:
Council Meeting:
Disposition:
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 2
CIP MANAGEMENT
The Capital Improvement Program is managed by the City's Department of Public Works (DPW). DPW
has 45 full time employees, 8 of whom are in the engineering division. That division is responsible for
the following 6 areas of service:
CIP Provide design and construction services for the City's Capital Improvement
Program, individual department project implementation, State and Federal Grant
management.
Traffic
Manage traffic operations and on -street parking. Manage the City's 86 traffic
signals, 4,400 street lights and the City's Traffic Coordination Committee which
coordinates with Police, Fire, City Attorney's Office, Community Development
and Parking Services to address public complaints related to traffic issues. The
division utilizes traffic models and technical expertise to manage traffic
operations and perform development impact analysis.
Land Development
Provide subdivision, design review and building permit review services to
identify infrastructure improvements for private development within the City.
Coordinate with Planning and Building Inspection.
Permits
Provide design review, construction review and assistance to utilities, property
owners and other entities performing work within the public right-of-way.
Administer and inspect grading, in compliance with the planning process,
dredging, tideland, transportation and other permits. Manage mandated programs
such the Marin County Stormwater Pollution Prevention Program (MCSTOPPP).
Public Service
Address public concerns, provide over the counter services, property
investigation, map assistance, FEMA maps and public assistance.
Administration Oversight of department goals and objectives, operational and capital budgets.
CIP FUNDING SOURCES
Capital projects are funded from local, federal and state sources and a variety of fees. Many of these
funding sources have specific deadlines and regulatory requirements. For instance, federal and state
grants associated with roadway resurfacing projects have strict guidelines obligating the City to perform
the work. In addition, some funding sources can only be utilized for specific types of projects. e.g.,
Traffic Mitigation fees are limited to specific projects identified in General Plan 2020.
The Department of Public Works has gone to great lengths to examine each of these sources and to assign
the correct funding source to each project. Table 1 (page 5) details the type of funding and estimated
allocations for fiscal year 2013/14.
In discussions with the City Manager additional allocations are recommended from the City's Building
fund as well as the General Fund for staff time in key projects such as FEMA map updates. While the
City's infrastructure continues to require significant improvements, this allocation will help to address
deterioration concerns. We recommend the allocation of $1,795,000 from the Building Fund to address
immediate concerns related to City Owned Property.
City Right -of -Way, Drainage, Traffic, and a portion of City Owned Property projects are primarily
funded by grants, City fees, Gas Tax, Measures A & B and State Propositions. We estimate that
$7,688,482 will be available from these sources. Combining this amount with the allocation from the
Building and General fund generates a total budget of $9,483,482, as detailed in Table 1.
Page 4 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 3
Although federal and state grant opportunities have decreased over the last 5 years the complexity of
administering these grants has increased dramatically. This complexity equates to detailed documentation
and required paperwork that is highly staff intensive. In some cases, small grants offered to local
jurisdictions are so staff intensive that they are no longer viable. Nevertheless, the Department of Public
Works continues to seek cost effective federal and state grants to support our infrastructure needs and to
meet the City's goals and objectives.
CIP PROJECTS COMPLETED IN FY2012/13
20 capital projects were completed during fiscal year 2012/2013. Eleven (11) of the 20 were emergency
projects not originally identified in the previous year's CIP document. Table 2 (page 6) attached to this
report shows the projects completed in Fiscal Year 12/13.
As stated, 11 of these projects were emergency in nature, a trend that underscores the deterioration of our
infrastructure. Previous year's CIP's lacked the ability to allocate significant resources for repair of
City's buildings, the consequences of which are now evident. For instance, a portion of the Fire Station
Tower at Station 2 was recently repaired. This facility had deteriorated to a point where the tower could
have collapsed due to serious dry rot in the floor and walls. The fundamental purpose of the CIP is to
identify these types of repairs, allocate the funding and then repair the facility before it becomes an
emergency. Public Works recommends the initiation of an annual, ongoing inspection of City facilities to
assist in the prioritization of projects and funding.
ACTIVE CIP PROJECTS
Currently, staff is working on 32 different capital projects with a wide range of complexity prioritized by
their safety aspects, requirements or grant deadlines. Some are listed in last year's CIP as well as
previous year's CIP's. In addition, several projects of an emergency nature are being addressed
immediately. Table 3 (page 7) denotes a few projects such as the City Hall HVAC project which is
essentially complete. Other projects such as NTPP (Non -Motorized Transportation Pilot Program) Puerto
Suello Pathway require only minimal staff involvement while the plans are being reviewed by Caltrans.
However, once we do get approval to proceed the construction will require more City staff involvement,
pointing out that each of the 33 projects on the list requires a different level of attention.
As mentioned above, 9 of the 32 projects shown in Table 3 were not listed in previous CIP's. These
projects are emergency in nature and are prioritized based on safety aspects, funding availability and other
requirements.
Other active and continuing programs such as Marin County Storm Water Pollution Prevention Program
(MCSTOPPP) are shown as projects in Table 3. This is a federal program which requires the City to
comply with state and federal regulations for minimizing waterway erosion and pollution. This particular
program will change in the next year to comply with more complex and restrictive conditions and
therefore are more costly to the City in terms of funding and staff resources.
FY 2013/14 CIP PROPOSED PROJECTS
In April 2013, the Department of Public Works met with Department Directors to develop and prioritize a
listing of current needs for the City's 23 buildings. Many are in need of significant improvements based
on their age and the amount of use they receive. As a consequence, 25 new projects were added to the
City Owned Property (COP) project list. Table 4 (page 9) lists the projects Adding these new projects
to the Five Year plan brings the total number of projects in the City Owned Property section to 44. Of
these, we recommend the immediate implementation of 15 projects. Similarly, extensive maintenance
and large scale infrastructure repairs/upgrades are needed for the City's Right of Way, Drainage systems,
and Traffic systems to prevent further deterioration.
Page 5 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 4
For Fiscal Year 2013/14 32 projects, representing all categories, are recognized as having the highest
priority and are recommended for funding. Table 5 (page 10) describes the recommended fiscal year
2013/14 projects. The total proposed budget for these 32 projects is $9,198,000 (Table 6, page 13).
Over the last several years, Public Works has managed the Capital Improvement Program to anticipate the
need for improvements to the City's infrastructure. Exhibit A, attached to this report, further details the
five year plan for all these projects and documents the recommended capital projects for fiscal years
2013/14 through 2017/18.
Several of the projects identified in Exhibit A are noted as unfunded. These are projects which are a
priority and, if funding becomes available during fiscal year 2013/14, will be addressed in the order listed.
However, if funding does not become available these projects will be reprogrammed to a future fiscal
year.
REPROGRAMMING
Project priorities have shifted based on the April 2013 meeting with department directors. We
recommend reprogramming a total of 21 projects listed in last year's CIP. Some projects, such as the
Albert J. Boro Community Center Synthetic Field are simply too expensive to construct at this time.
These types of projects will remain on the CIP and will be re-evaluated annually to determine if they can
be constructed once resources become available. Table 7 (Page 15) details which projects are
recommended for reprogramming. This table also references Exhibit A, which provides more detail on
project scope as well as their estimated fiscal requirements.
WORK LOADING & RESOURCES
The ambitious number of capital projects will be managed by utilizing the City's Engineering staff as well
as leveraging consultant resources. Some projects cannot be completed within one year since they involve
permitting and other time consuming regulatory requirements. Others will be combined wherever
possible to minimize the expense of administration in order to maximize funding for construction.
OPTIONS
The Council may accept the recommendation to initiate the projects listed within this document for Fiscal
Year 2013/14 Capital Improvement Program or the Council may direct staff to reprogram the list based
on different funding priorities and needs.
ACTION REQUIRED
Accept the updated 5 -Year Capital Improvement Program and authorize the reprogramming of 21
projects as noted above.
Enclosures: Table I — CIP — Funding Sources (Page 5)
Table 2 — FY12/13 Completed Projects (Page 6)
Table 3 — Active Projects (Page 7)
Table 4 — New Projects Added to FYI 3/14 CIP (Page 9)
Table 5 — FYI 3/14 CIP Projects/Descriptions (Page 10)
Table 6 — FYI 3;' 14 CIP Projects/Estimated Budget (Page 13)
Table 7 — FYIi 14 Reprogrammed Projects (Page 15)
Exhibit A - 5 -Year CIP Update Document (Attached)
Page 6 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Pa2e: 5
TABLE 1 (CIP - FUNDING SOURCES)
Drainage (D) Project Funding FY13/14
Available from Previous
Anticipated Allocation
Estimated Total
Description
Years $
for 2013/14 $
Available $
Building Fund
307,000
1,008,000
1,315,000
Building Fund (Operational Savings)
250,000
0
250,000
Parking Services Fund
b[
200,000
200,000
Parkland Dedication Funds
0
200,000
200,000
Total Available for City Owned Properties =
1,965,000
Drainage (D) Project Funding FY13/14
Right of Way (R/W) Project Funding FY13/14
Description
Available from Previous
Anticipated Allocation
Estimated Total
Description
Years $
for 2013/14 $
Available $
General Fund
0
230,000
230,000
Storm Water Fees
359,656
725,000
1,084,656
Total Available for Drainage (D) Projects =1
1,314,656
Right of Way (R/W) Project Funding FY13/14
Description
Available from Previous
Years $
Anticipated Allocation
for 2013/14 $
Estimated Total
Available $
General Fund
0
0
0
Grants
0
2,357,109
2,357,109
City Fees - Construction Vehicle Impact
Fees, Refuse Vehicle Registration Fee_ s
1_,079,729
943,600
2,023,329
Gas Tax
135,079
500,000
635.079
Local Measures A & B
0
960,649
960,649
Assessment Districts
0
0
0
State Proposition 1 B, 42
127,660
01
127,660
Total Available for Right of Way (R/W) Projects =1
6,103,826
Traffic (T) Prosect Funding FY13/14
Available from Previous
Anticipated Allocation
Estimated Total
Description
Years $
for 2013114 $
Available $
General Fund
0
0
0
City Fees - Construction Vehicle Impact
Fees, Refuse Vehicle Registration Fees
01
100,0001
100,000
Total Available for City Owned Properties =L100.0001
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page:__6
TABLE 2 — FY12/13 COMPLETED PROJECTS
CIP Pro'ects (Crioinally Listed in Previous Year's IP's
#
Project Name
Description
Cost $
10
Santa Margarita Park Access
This broken and damaged driveway needed replacing.
18,400
1
Improvements
Parking Structure/Garage Lighting
Installation of an accessible ramp and parking stall
Replace existing lighting with energy efficient lighting
9,500
12
B Street Community Center Emergency
Roof Repairs
City Attorney's Office Improvements
Corp Yard Fuel Station Lighting
2
Replacement
system within the City's parking garages
74,032
16,410
14
This project includes installing compliant curb ramps in
2,275
15
Albert J. Boro Community Center Attic
Cleaning
compliance with the Department of Justice Settlement
2,200
3
ADA -DOJ Curb Ramps 2012/13
agreement in areas throughout the City.
281,074
17
Citywide Street Resurfacing Curb Ramps
Prior to the Street Resurfacing 12/13 this project
7,047
4
2012
includes installing compliant curb ramps.
211,824
19
16,380
Repair of existing hazardous paving on 3rd Street and
8,300
5
Downtown Pavement Safety Improvements
other downtown areas.
59,417
This project includes the design of a new pedestrian and
Grand Avenue Pathway Connector Project
bicycle bridge across the San Rafael Canal next to the
6
(Design)
Grand Avenue Bride
180,684
Installation of new accessible ramps, sidewalks and
NTPP Mahon Creek Path to Transit
other improvements at Tamalpais and 2nd Street plus
7
Connector Project
striping.
130,099
Installation of new accessible ramps, sidewalks bulbouts
and other improvements on the road fronting Coleman
8
Safe Routes to School - Coleman
School
199,513
lTraffic Cabinet Signal & Controller
Annual project to replace obsolete existing traffic cabinet
9
Upgrades 2011/12
controllers with updated systems to improve reliability
77,718
Subtotal Gompleted GIF Nrojects =1 1,223,862
Non-CIP Protects - These projects are emer enc in nature and were not identified in previous ear's CIP's
# I
Project Name
Description
Cost $
10
Fire Station 5 Driveway Replacement
This broken and damaged driveway needed replacing.
18,400
11
113
Fire Station Tower Repair Station 2
Emergency repair of dry rot and damaged structure.
17,416
12
B Street Community Center Emergency
Roof Repairs
City Attorney's Office Improvements
Corp Yard Fuel Station Lighting
Emergency repair of leaking roof and downspouts
42,101
Removal and reposition of existing wall system.
16,410
14
Replacement of existing lighting which did not provide
sufficient lighting for night fueling.
2,275
15
Albert J. Boro Community Center Attic
Cleaning
Emergency action to repair damaged electrical and attic
systems from infestation.
2,200
16
Mission & B Street Emergency Drainage
Repairs
Emergency installation of a new drainage structure to
manage drainage from Boyd Park.
18,866_
17
Vistawood Emergency Drainage Repairs
Emergency repair of separated drainage culvert that
could cause a slide in the area.
7,047
18
E3 r-ycle Park.nc r .rr' ifion
Tric- nor Painting-Sidew.i k'+'J.ah ^g
Ther-ostat Holes at Crty Hai;
Immediate action to install bike racks and not lose state
grants for t1 --is work.
Vi�ish ng of ex,sting sidewalk reeded to .—orove safety.
'rsa 3t,or o` new thermostat o'es rEeded to piss;st
w th the HVAC constnuct:on project
12,169
19
16,380
20
8,300
Subtotal None CIP projects =1 161,564
Total Corroleted Projects FYI 2/13 =1 1,385,426
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 7
TABLE 3 — ACTIVE PROJECTS
-J- _
___ _ _ _
_
Estimated Cost
#
Project Name
Status
Description
$
Remove and replace the existing heating, ventilation
and air conditioning units on the 2nd and 3rd floors of
1
City Hall HVAC Project
Construction
the City Hall.
1,469,000
Install a document pass-through window at the City
2
City Clerk Pass-through
Design
Clerks office.
20,000
Replace small and obsolete existing dugout area at
3
Bernard Hoffman Dugouts
Desi n
Bernard Hoffman Park.
30,000
City Building Solar Upgrades
Assist with developing and implementing solar energy
4
(Study)
Design
sites at City facilities.
20,000
3rd & Cijos Parking Lot
Improve traffic circulation, lighting, access and resurface
5
Improvements
Design
the parking area.
250,000
5th Avenue & D Street Parking
Improve traffic circulation, lighting, access and resurface
6
Lot Improvements
Design
the parking area.
300,000
5th Ave. & Lootens Parking Lot
Install accessible parking and path of travel facilities and
7
Improvements
Design
resurface the existing parking lot.
160,000
Install structural improvements to this pump station to
8
400 Canal Pump Station
Design
prevent further deterioration.
60,000
Corporate Center Pump
Station Underground
Install an underground conduit and electrical system to
9
connection
Design
the pump station.
5,000
Manage and implement the City s storm water program
10
MCSTOPPP Program
Design
to prevent contaminates to the City's waters.
120,000
This project involves providing staff time to assist with
the Sonoma Marin Area Rail Transit through San
Rafael. Public Works staff plays a vital role in the
Technical Advisory Committee and other design
11
SMART
Design
aspects.
- -
Assist the County of Marin with resurfacing Point San
Pedro Road from Union to the quarry entrance which
San Pedro Resurfacing
Design
crosses both County and City Jurisdiction
650,000
Resurface D Street, 5th Avenue, Bellam, in compliance
Citywide Street Resurfacing
Construction
with a Federal Grant related to Arterial Roadways.
1,600,000
Annual resurfacing project for the City's most severely
[12Point
Street Resurfacing 12/13
Desi n
worn roadways.
1,200,000
This project includes the installation of a new pedestrian
bridge across the canal next to the Grand Avenue
Grand Avenue Pathway
bridge. The design has been completed. Construction
Improvements
Desi n
funds are not available at this time.
1,400,000
This project includes the installation of new bus pullouts
and ramps along Canal Blvd. and Kerner to provide
16
Canal Lifeline Phase 2
Design
pedestrian access to transit.
840,000
This project includes the installation of a separated bike
NTPP Puerto Suello Hill Transit
path from Mission to 4th Street along Netherton. We
17
Center Connector
Design
are Ivaitir,g for Caltrans approval to start construction.
=
-hisp: ,,ert Ir:rludes nista iin i a compitant sidewalk
1,300,000
-
Safe Ro,a'es to Scheel
along L:ndarc, to reprove access to Ziavidsor School.
18
Davidscn
Pt. sae "led ir,
Design
This project_ may limit parking for fronting prcper'..ies.
565,000
Assessment district
This project includes the installation of landscaping rn
19
Improvement Project
Construction
the Pcint San Pedro Medians fromnon tc B scayne
--p - -- ---- - --
This roject invol es the �rr�dening of an exls'ng
1,750,000
sidewalk along East Francisco Blvd. The project will
20
NTPP Francisco Blvd East
Desi
af`ect fru Step crecer*y parking_ _
2,000,000
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Pne: 8
TABLE 3 - ACTIVE PROJECTS (CONTINUED)
CIP Prnicrtc 10rin;nally 1 icted in PrPvinns Year's CIP'.sl
i otas Estimated Active (ar) Prolecis =1 y i4,3 15,000 1
Ah„ -1,110 Prn;a&c - These nrniarts am amernenry in nature and were identified in previous year's CIP's
Estimated Cost
#
Project Name
Status
Description
$
This project includes replacing high pressure sodium
24
Blue House Deck Repair
Construction
street lights with energy efficient Light Emitting Diode
15,000
21
LED Street Lighting
Construction
fixtures.
26.6,00_0
25
Fuel Tank Removal
Construction
This Caltrans project involves the study and design for
15,900
installing ramp metering systems on the On -Ramps to
22
Ramp Metering System
Design
highways that travel through the City.
-
------------
2013 City Hall Interior
This project includes the replacement of obsolete traffic
26
Traffic Cabinet Controller
Construction
cabinets with up to date systems to better control traffic
650,000
23
Upgrades 12/13
Design
throughout the City.
100,000
i otas Estimated Active (ar) Prolecis =1 y i4,3 15,000 1
Ah„ -1,110 Prn;a&c - These nrniarts am amernenry in nature and were identified in previous year's CIP's
notal Estimated Active (None art Projects =L 943,900 i
Estimated Cost
#
Description
Status
Category
W
This project includes replacing the dilapidated entry
24
Blue House Deck Repair
Construction
deck at 1313 5th Avenue.
15,000
Fire Department Above Ground
Remove the existing above ground fuel tank at Station
25
Fuel Tank Removal
Construction
53, and 55
15,900
This project includes the installation of improvements to
the 1 st and 2nd floor of the City Hall. Carpeting,
2013 City Hall Interior
Flooring and other improvements are contemplated with
26
Improvements
Construction
this project.
650,000
27
Fair Drive Resurfacing
Design
Resurfacing of a portion of Fair Drive.
100,000
Installation of a retaining wall next to Brookdale Avenue
28
1 Brookdale Retaining Wall
Design
which experienced a slide several years ago.
35,000
201 D Street Driveway and
Installation of a compliant sidewalk to connect existing
29
Sidewalk Improvements
Design
sidewalks and crosswalks at D and Antoinette.
40,000
Emergency Storm Drain Repair
Replace a failed storm drain culvert and install a new
30
- Bellam
Construction
manhole to improve drainage on this roadway.
8,000
-
Install a new manhole to improve drainage on this
31
B St. - 1 st St Curb Ramps
Construction
roadway.
60,000
_
Combination Traffic Signal
This project includes replacing several traffic signal
32
Head Replacements
Design
heads with adequate reflective backing plates.
20,000
notal Estimated Active (None art Projects =L 943,900 i
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 9
Table 4 — NEW PROJECTS ADDED BY DEPARTMENT DIRECTORS
1
Fire Station Drill Tower Repair
2
Fire Station 1 Driveway Apron
3
Terra Linda Recreation Center Pool House
4
Fire Station Speaker System Upgrade
5
City Library Desks and Work Station Upgrades
6
B St. Community Center Siding Replacement
7
City U rary Lighting Study & Replacement
8
Albert J Boro Community Center Hallway Carpeting
9
Albert J Boro Community Center Basketball Court
10
Electrical Improvements to 911 Call System
11
Audio Video Improvement - Council Chambers Phase 2
12
Fire Station 2 Parking Lot Resurfacing
13
Space Consolidation for 519 4th St.
14
Exterior Fencing PD Parking Lot
15
Libra Electrical Upgrades
16
Albert J. Boro Community Center Electrical Upgrades
17
Downtown Library Public Furniture Upgrades
18
Enclose Downtown Library Computer Area
19
Repaint Downtown Library
20
1 Downtown Library Restroom Addition/Improvements
21
Downtown Library Book Shelving Replacement
22
Downtown Library Lobby, Circulation Desk Replacement
23
Enclose Downtown Library_ Children's Patio
24
Parkside Interior Painting
25
lAudio, Video Improvements Council Chambers 3
Page 11 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 10
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS
FY 13/14 City Owned Property - Proposed Project
#
Name of Project
Scope of Work
This annual project addresses emergency repairs of
existing City Owned Properties which can include
but is not limited to plumbing, roofing, and other
1
Emergency Facilities Repair
significant repairs.
Fire Station Drill Tower Repair, Phase 2
Removal and replacement of the East side exterior
2
— (Design and Construction
siding and repair of internal dry rot.
This project examines the City's Parking Structures
Parking Structure Upgrade/Replacement
to determine if structural upgrades are required to
3
Stud
comply with current state and federal requirements.
This project involves replacing the driveway apron in
Fire Station 1 Driveway Apron (Design
front of Station 1 with an accessible and compliant
4
and Construction)
sidewalk and apron.
This project includes developing a design for the
Terra Linda Recreation Center Pool
Terra Linda Pool House which currently is not
5
House Desi
sufficient for the amount of use at this facility.
Fire Station Speaker System Upgrade
Replace the existing Emergency Speaker system
6
(Design and Construction
within all the City's Fire Stations which are obsolete.
City Library Carpeting Replacement
Replacement of the existing worn out carpeting
7
(Design and Construction
within the downtown library.
City Library Desks and Work Station
Replace the existing desks and work stations with
8
Upgrades (Design and Construction
ergonomic work stations and accessible furniture.
B St. Community Center Flooring
Replace the original1960's era flooring in the
9
Replacement (Design and Construction
Auditorium
B St. Community Center Siding
Replace the existing shingle siding on the exterior of
10
Replacement (Design and Construction
the building.
Examine the existing lighting within the library and
City Library Lighting Study &
determine what modifications are necessary to
11
Replacement (Design and Constructionprovide
adequate and efficient lighting.
Albert J. Boro Community Center
Replacement of the existing damaged carpeting
12
Hallway Carpet (Design and
within the main hallways.
Construction)
Provide additional electrical improvements to
Electrical Improvements to 911 Call
support the work by AT&T to improve the 911 Call
13
System Construction
Systems.
_
Installation of a new basketball court on the east side
Albert J. Boro Community Center
of the Community Center. This project is partially
14
Basketball Court Construction
funded b donations from the community.
T Remove and replace the antiquated air mixing boxes
on the 2nd and Yd floors of the City Hall to better
City Hall Air Supply Delivery Upgrades improve air flow and circulation from the recently
15
, (Design and Construction installed main HVAC units.
Page 12 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Paye: 11
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS (CONTINUED)
FY 13/14 Drainage - Proposed Project
#
Name of Project
Scope of Work
Miscellaneous Storm Drain, Slide Repair
This annual project addresses routine emergency
16
Projects
repairs related to drainage issues.
This project includes the structural repair of this
older pump station which has deteriorated over the
17
Rossi Pump Station Construction
ears.
City Bridge Repair Program (Design and
Provide staff time associated with compliance with
22
Construction)
the latest requirements from the State Regional
Marin County Storm Water Pollution
Water Quality Control Board and federal rules and
18
Prevention Program MCSTOPP
regulations related to the Phase 2 permit.
23
Construction
This project involves working with the Federal
Emergency Management Agency to update the
Street Resurfacing Curb Ramps 2013/14
Community regarding the new maps produced by
24
(Design and Construction)
FEMA in relation to the Bay Study. This project will
Street Resurfacing 2013/14 (Design and
involve community meetings and staff involvement
25
Construction)
in order to provide information to the community
19
FEMA Updates Public Assistance
on the map and insurance changes.
This collaborative project with the County of Marin
SMART - Quite Zones & Andersen
will study the Las Gallinas Watershed to determine
26
North San Rafael Watershed Study
environmental, navigational and other improvements
20
(Design)
for this area.
FY 13/14 Right of Way - Proposed Proiect
#
Name of Project
Scope of Work
Miscellaneous Right of Way Repair
This annual project addresses routine and emergency
21
Projects
projects related to City's streets.
3` Street Bridge near Highway 101 and Southern
Heights bridge are in need of repair. Initial reviews
of these bridges indicated that further studies are
City Bridge Repair Program (Design and
needed prior to implementing repairs or possibly
22
Construction)
replacement of these facilities.
This project consists repairing a slide on Brookdale
Brookdale Avenue Retaining Wall
by installing a retaining wall along the edge of the
23
Construction
roadway.
This project involves the installation of new
Street Resurfacing Curb Ramps 2013/14
accessible curb ramps on the roadways that are
24
(Design and Construction)
scheduled to be resurfaced.
Street Resurfacing 2013/14 (Design and
This project involves resurfacing a portion of the 175
25
Construction)
miles of the City's road system.
This project involves assistance with Quite Zones,
Federal Rail Authority and Public Utility
SMART - Quite Zones & Andersen
Commission approval as well as analyzing the
26
Drive Crossing (Stud)
Andersen Drive crossing alternatives.
This project involves installing curb ramps
ADA -DOJ Curb Ramps 2013/14 (Design
throughout the City in compliance with the
27
and Construction)
Department of Justice settlement agreement.
Page 13 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Pase: 12
TABLE 5 — PROPOSED FY13/14 CIP PROJECTS (CONTINUED)
FY 13/14 Riaht of Way - Proposed Proiect Continued:
#
Name of Project
Scope of Work
This project consists of upgrading older traffic
controller equipment to meet current standards.
This project involves a coordinated effort with the
Point San Pedro Road Resurfacing
County of Marin to resurface Point San Pedro Road
28
Construction
from Union to the San Rafael Rock Quarry entrance.
This project involves improving traffic signal
Downtown Rail Readiness Project
systems and pedestrian facilities within the
29
(Design and Construction
downtown area near the new rail station and line.
Del Presidio Blvd — Pt. San Pedro
This project consists of resurfacing Del Presidio,
Quarry to Biscayne Resurfacing (Design
from Manual Freitas to Las Gallinas, and Point San
30
and Construction)
Pedro Road from the Quarry Entrance to Biscayne.
This project involves replacing a failed drainage
system within H Street and then resurfacing the
H Street Roadway Improvements
roadway from Forbes to 4`h Street. Additional utility
31
(Design and Construction
relocations mav be necessar .
FY 13/14 Traffic - Proposed Proiect
# Name of Project
Scope of Work
Traffic Cabinet Controller Upgrades
32 2013/14 (DesiE2 and Construction
This project consists of upgrading older traffic
controller equipment to meet current standards.
Page 14 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 13
TABLE 6 - FY13/14 CIP PROJECT ESTIMATED BUDGET
City Owned Buildings
Grant & Other
Funding $
Building
Fund $
Grant & Other
Funding $
Total $
1 Emergency Facilities Repair _
Design &
Construction
125,000
0
125,000
2 Fire Station Drill Tower Repair
Construction
40,000
0
40,000
3 Parking Structure Upgrade/Replacement Study
Study
0
200,000
200,000
4 Fire Station 1 Driveway Apron
Construction
60,000
0
60,000
5 Terra Linda Recreation Center Pool House
Design
-
0
200,000
200,000
6 Fire Station Speaker System Upgrade
Construction
-
200,000
0
200,000
7 City Library Carpeting Replacement
Construction
230,000
0
230,000
8 City Library Desks and Work Station Upgrades
Construction
90,000
0
90,000
9 B St. Community Center Flooring Replacement
Construction
60,000
40,000
100,000
10 B St. Community Center Siding Replacement
Construction
200,000
0
200,000
11 City Libra Lighting Study & Replacement
Design &
Construction
35,000
0
35,000
12 Albert J. Boro Community Center Hallway Carpet
Construction
45,000
0
45,000
13 Electrical Improvements to 911 Call System
Construction
35,000
0
35,000
14 Albert J. Boro Community Center Basketball Court
Construction
511,000
49,000
100,000
15 City Hall Air Supply Delivery Upgrades
Construction
200,000
0
200,000
Subtotal COP =
1 371,000
489,0001
1,860,000
Dra
Miscellaneous Storm Drain, Slide
Rossi Pump Station
Marin County Storm Water Polluti
18
191FEMA Updates
201 North San Rafael Watershed
Protection Program jPublic
ME
General
Fund $
Grant & Other
Funding $
Total $
0
100,000
100,000
0
850,000
850,000
120,000
0
120,000
60,000
0
60,000
50,000 101
50,000
230,0001
950,0001
1,180,000
Page 15 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 14
TABLE 6 — FY13/14 CIP PROJECT ESTIMATED BUDGET (CONTINUED)
,i ht of Way Projects
21 1 Miscellaneous Riqht of
22 City Bridge Repair Program
— —
23 Brookdale Avenue Retaining Wall
24 Street Resurfacing Curb Ramps 2013/14
25 Street Resurfacing 2013/14
26 SMART - Quite Zones & Andersen Dr Crossi
27 ADA -DOJ Curb Ramps 2013/14
28 Point San Pedro Road Resurfacing
29 Downtown Rail Readiness Project
30 Del Presidio Blvd - Pt San Pedro Resurfacinc
31 H Street Roadway Improvements
Traffic
321Traffic Cabinet Controller Upgrades 201
Design &
Construction
—-- _
Design &
Construction
Construction
Design &
Construction_
Design &
Construction
Design
Design &
Construction
Design &
Construction
Design
Subtotal RM
General
Fund $
Grant & Other
Funding $
Total $
0
100,000
_ 295,000
100,000
295,000
0
0
250,000
250,000
0
0
80,000
1,500,000
80,000
1,500,000
0
80,000
80,000
_0
0
300,000
625,000
300,000
625,000
02,118,0002,118,000
0
01
510,000
200,000
510,000
200,000
0
6,058,000
6,058,000
Design &
Construction
Subtotal T =
Total FYI 3/14 CIP =
1,601,000 7,597,000 9,198,000
Page 16 of 115
General
Grant & Other
Fund $
Funding $
Total $
0
100,000
100,000
0
100, 000
100,000
1,601,000 7,597,000 9,198,000
Page 16 of 115
SAN RAFAEL CITY COUNCIL AGENDA REPORT / Page: 15
TABLE 7 — FY13/14 REPROGRAMMED PROJECTS
Page 17 of 115
Project Name
Category
Current
Schedule
Reprogrammed
To
"Exhibit A" 5 -
year CIP
Update Page #
1
Menzies Parking Lot
COP
13/14
14/15
65
2
5th and Garden Resurfacing
COP
13/14
15/16
66
3
Shoen Park Improvements
COP
13/14
15/16
67
4
Santa Margarita Park - Court Reconstruction
COP
13/14
15/16
68
5
Albert J Boro Community Center Synthetic Field
Construction
COP
13/14
15/16
69
6
Victor Jones Park Path of travel Improvements
COP
14/15
15/16
70
7
Gerstle Park Playground Improvements
COP
72
8
9
Boyd Park Accessibility Improvements
TLCC Play Area & Access Improvements
COP
COP
15/16
15/16
16/17
16/17
71
73
10
Bernard Hoffman Drainage & Irrigation
Improvements
COP
15/16
16/17
74
11
Peacock Gap Playground Upgrades
COP
15/16
16/17
75
12
City Building Lock System
COP
15/16
17/18
50
13
Fire Station Generator
COP
13/14
14/15
62
14
City Hall/Library Landscaping and Irrigation
Improvements
COP
13/14
14/15
57
15
Storm Drain CMP Replacement/Upgrades
D
13/14
14/15
85
16
Sea Level Rise Study
D
13/14
14/15
86
17
City Levee Study
D
12/13
14/15
87
18
Parks Pathways Resurfacing
RAN
13/14
14/15
107
19
Bungalow Ave. Reconstruction
RM/
13/14
14/15
108
20
1Mahon Path Landscaping
RAN
15/16
16/17
109
21
lFreitas Las Gallinas Intersection Improvements
T
13/14
14/15
115
Page 17 of 115
RESOLUTION NO. 13575
A RESOLUTION APPROVING SAN RAFAEL'S 5 -YEAR CAPITAL IMPROVEMENT
PROGRAM FOR FISCAL YEARS 2013/14 THROUGH 2017/2018 AND AUTHORIZING
THE REPROGRAMMING OF 21 CAPITAL PROJECTS TO SUBSEQUENT YEARS
WHEREAS, the Public Works Director has submitted to the San
Rafael City Council a document entitled "CITY OF SAN RAFAEL CAPITAL
IMPROVEMENT PROGRAM (CIP) FISCAL YEAR 2013/14 TO 2017/18"; and
WHEREAS, the document describes a wide range of capital projects,
consistent with current Council priorities, required to maintain and/or upgrade the
City's assets, including but not limited to City Owned Property, City Right of Way,
Drainage, Traffic which include but are not limited to maintain roads, pedestrian and
bicyclist facilities, traffic control networks, drainage systems, buildings, parks, and
parking facilities; and
WHEREAS, the document further describes project cost estimates
that may be utilized for said projects, recognizing that such estimates are based on
currently available information that is subject to change over the next five years; and
WHEREAS, the Capital Improvement Program may be modified and
amended by the Council as priorities and funding sources and amounts change over
the five year life of the document; and
WHEREAS, it is the intention of this Council to adopt said "CITY OF
SAN RAFAEL 5 -YEAR CAPITAL IMPROVEMENT PROJECT LIST" as submitted
by the Public Works Director.
NOW, THEREFORE, BE IT RESOLVED by the San Rafael City
Council that the City Council approves the document entitled "CITY OF SAN
RAFAEL CAPITAL IMPROVEMENT PROGRAM (CIP) FISCAL YEAR 2013/14
TO 2017/18", which is on file with the City Clerk.
I, ESTHER C. BEIRNE, Clerk of the City of San Rafael, hereby certify that
the foregoing resolution was duly and regularly introduced and adopted at a regular meeting
of the Council of said City on the 15th day of July, 2013, by the following vote, to wit:
AYES: COUNCILMEMBERS: Colin, Connolly, Heller, McCullough & Mayor Phillips
NOES: COUNCILMEMBERS: None
ABSENT: COUNCILMEMBERS: None
ESTHER C. BEIRNE, City Clerk
File No.: 01.02.49
Z:\OI Administration\01.02 Budget\01.02.49 Capital Improvement\CIP 5 -year plan 2013 RESOLUTION.doc
Capital Improvement Program
Fiscal Year 2012/13
Pictures of Completed Projects (Portion)
Citywide Street Resurfacing
Mission Ave at E St Looking East
The project included removing deteriorated asphalt and installing new asphalt pavement with
striping on 5t' Ave (H St to B St), Mission Ave (H St to Lincoln Ave; Hetherton St to Irwin St), D
St (Second St to Antonette Ave), and Bellam Blvd (Woodland Ave to I-580; Kerner Blvd to
Windward Way). This project was federally funded.
Page 20 of 115
ADA—DOJ Curb Ramps 2012/13
Curb Ramp on Northwest Corner of C St at Treanor St
This project included construction of 23 curb ramps at various locations throughout the City,
including two curb ramps at Mission Ave and Mary St which were paid for by Marin Transit.
B Street Community Center Roof Repair
In the winter and spring of FYI 2/13 the downspouts from the roof at the B Street Community
Center were noticed to be leaking storm water into the building. After close examination of the
roof and downspouts the replacement of the roof above the auditorium was found to be needed.
This project included removing the existing roof as well as the damaged base material
Page 21 of 115
Downtown Bicycle Parking Installations
This project consisted of installation of bicycle lockers/racks at various locations throughout the
City, including the Terra Linda Recreation Center, Albert Park, Downtown Business District, and
Public Works.
Downtown Pavement Safety Improvements.
Southbound Approach of Second St at Lindaro St
Work included removal and replacement of asphalt pavement, which had become a safety hazard
to pedestrians and motorists, at various locations on Second and Third Streets in Downto�kn San
Rafael.
Page 22 of 115
Safe Routes to School — Coleman
Belle Ave at Coleman Elementary Driveway Looking North
This project included construction of sidewalk bulbouts with 10 curb ramps, safety lighting,
storm drainage improvements, and new roadside signs with striping. This project was funded by
the State of California through its Safe Routes to School program.
Fire Station Tower Repair — Station 2
In the spring of 2013, Fire Department personnel found loose and moving floor member in the
City's Fire Tower located at Station 2. After closer examination of this structure the entire South
face of the building was replaced due to dry -rot exterior and interior support members.
Additional work will be needed on subsequent sides of this structure for it to be safely utilized by
fire department personnel.
Page 23 of 115
Santa Margarita Park Access Improvements
The Santa Margarita Park, located in Terra Linda is an older park which had no accessible
parking or access to the park. This project involved the installation of an accessible ramp and
associated striping for the park.
Page 24 of 115
CITY OF SAN RAFAEL
DEPARTMENT OF PUBLIC WORKS
CAPITAL IMPROVEMENT PROGRAM
2013/14 - 2017/18
REVENUE AVAILABLE PER CATEGORY
CITY OWNED PROPERTY (COP)
DRAINAGE (D,
RIGHT-OF-WAY (RNV)
TRAFFIC (T)
Total Revenue FY13/14
RECOMMENDED EXPENDITURES PER CATEGORY
Catego
Fiscal Year 2013/14
13/14
Builing & General
Fund Allocation
($)
Grants and other
Funding $)
Total $)
1,565,000
400,000
1,965,000
230,000
1,084,656
1,314,656
-
6,103,826
6_,_103,826
-
1 100,000
100,000
1,795,000
1 7,688,482
9,483,482
RECOMMENDED EXPENDITURES PER CATEGORY
Catego
Fund T e
13/14
14/15
15/16
16/17
17/18
City OwnedPro a
GF
1,371,000
512,500
125,000
125,000
125,000
Other 489,000 100,000 - -
40,000 , 1,233,750 4,580,OQ0 730,000.
Total 11900,000 1,846,250 4,705,000 855,000
-
800,000
925,000
- -- _
Drainage
GF 230,000 180,000 120,000 180,000 180,000
Other 950,000 100,000 300,000 300,000 300,000
2,360,000 2,000,000 2t;t140a 2,t30flfi000
Total 1,180,000 2,640,000 2,420,000 2,480,000 2,480,000
Roads Riaht�of-W
GF
-
-
-
-
-
Other 6,058,000 3,775,000 2,050,000 7,800,000
2,050,000
Total 6,058,000 3,775,000 2,050,000 7,800,000
2,050,000
Traffic
GF
-
-
-
-
-
Other 100,000 1,600,000 100,000 100,000
100,000
Unfunded, .75,00O
4.
Total 175,000 1,600,000 109,000 100,000
100,000
General Fund Total (CIP) =
Unfunded Expenditure (CIP) =
Other Funding Total (CIP) =
1,6AOO 692,500
;b9350° 6
7,5 5,575,000 2
245,005
M�1
E0i � l
eerM
���
Total Expenditure (CIP) = 9,313,000 9,861,250 1 9,275,000 1 11,235.000 1 5,555,000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 25 of 115
DEPARTMENT OF PUBLIC WORKS
CITY OWNED PROPERTY (COP)
The objective of projects listed in the "City Owned Properties" category is to provide safe,
accessible and workable facilities for the City Staff and members of the public. The City has
more than 24 buildings which occupy more than 200,000 square feet of space. These facilities
require consistent attention. Projects identified in this area are intended to maintain and improve
current infrastructure that facilitates the best level of service possible to City employees and the
General Public. Projects listed herein also include parking structures and parking lots.
_�� PROJECTS COMPLETE
The following projects related to City Owned Property were completed in the last Fiscal Year.
Project noted as "Unanticipated" are projects of an emergency nature that were addressed during
the Fiscal Year
Santa Margarita Park Access Improvements
City Clerk Pass thru Project
Parking Structure/Garage Lighting Replacement
City Building Solar Upgrades (Study)
Fire Station 5 Driveway Replacement
Unanticipated
Fire Station Tower Repair Station 2
Unanticipated
B Street Community Center Emergency Roof Repairs
Unanticipated
City Attorney's Office Improvements
Unanticipated
_
Corp Yard Fuel Station Lighting
Unanticipated
--- ---------
Albert J. Boro Community Center Attic Cleaning
Unanticipated
Thermostat Holes at CRy Hall
Unanticipated
ACTIVE PROJECTS
The following projects are currently active projects related to City Owned Property.
City Hall HVAC Project
City Clerk Pass thru Project
Bernard Dugout Improvements
City Building Solar Upgrades (Study)
3rd St. & Cijos Parking Lot Reconstruction -
5th St. & D St. Parking Lot Improvements
5th St. & Lootens Parking Lot Improvements
Sea Way Bridge Replacement (Unfunded)
Blue House Deck Repair
Unanticipated
Fire Department Above Ground Fuel Tank Removal
Unanticipated
2013 City Hall Interior Improvements
Unanticipated
This Budget is supported by the following revenue sources:
Description
Available from Anticipated Allocation for
Previous Years $ 2013/14 $
Estimated Total Available
$
Building Fund
307,000 1,008,000
250,000 0
1,315,000
Building Fund Salary Savin s
250,000
Parking Services Fund
0 200,000
0 200,000
200,000
Parkland Dedication Funds
200,000
Total Available for City Owned Properties =
$ 1,965,000
Page 26 of 115
Summary of Proposed 2013/18 City Owned Property (COP) Projects Expenditures
# j
Project Description Status Fund Type 1 13114 4115 5i1 6 16117 1 17/18
I I I I L_ I I
1
Emergency Facilities Repair
Design &
Construction
GF 125,000 125,000 125,000125,000 125,000
Other
funded` n-ded— , 4,
Total 125,000 125,0001 125,000 125,000 125,000
2
Fire Station Drill Tower
Repair
Design &
Construction
GF
40,000
Other *
Unfunded
Total
TG TF
Other
U - fu
Unfunded
T"
- Total
200,000
79-
2-
200,000
40,000
3
Parking Structure
Upgrade/Replacement
Study
Design &
Construction
GF
-
Other
Unfunded
Total
TG TF
Other
U - fu
Unfunded
T"
- Total
200,000
79-
2-
200,000
200,000
B St. Community Center
Design &
4
Fire Station I Driveway
Apron
Design &
Construction
GF
90(
0
0',600
Other
Unfunded
Total
Other
Unfunded'
Total
Other -
200,000
B St. Community Center
Design &
60,000
1 0
GF - 387,500
Other 200,000 100,000
Terra Linda Recreation Design & - Unfundg�
5 Center Pool House Construction Total 200,000 487,500
6
Fire Station Speaker
System Upgrade
Design &
construction
GF
200,000
Other
Unfunded
Total
Total
Other -
200,000
7
City Library Carpeting
Replacement
Design &
Construction
GF - --- ---
MOW
Other
Unfunded
Total J
Total
Other -
230,000
8
City Library Desks and
Work Station Upgrades
GF 90,000
Other * -
Design & Unfunded -
Construction Total 90,000
- - - -
GF 200,000
35,000
12
Albert J. Boro Community
Center Hallway Carpet
Design &
construction
GF 200,000
35,000
Other
Total
Other -
Design &
B St. Community Center
Design &
Unfunded
1 0
Siding Replacement
Construction
Total 200,000
12
Albert J. Boro Community
Center Hallway Carpet
Design &
construction
GF
35,000
Other
Total
City Library Lighting Study
Design &
11
& Replacern nt_
Construction
Total 35,0001
12
Albert J. Boro Community
Center Hallway Carpet
Design &
construction
GF 45,000
Other -
'f Unfunded
Total
13
Electrical Improvements to
911 Cali System
Design &
Construction
GF 35,
Other_'W_ -
�: `� "-'- "V1,11"",", !"11,11 :=:=i, ::,,
Total �35,000 —7- " _ -
Albert,J
14 Cente r
Page 27 of 115
Summary of Proposed 2013118 City Owned Property (COP) Projects Expenditures
I # I Project Description I Status I Fund Type 1 131-14 1 14115 1 19LIL/1-7 I 17118
15
City Hall Air Supply Delivery
Upgrades
Design &
Construction
GIF 200,000
Other
Other * --
..
- -
75M
Total 2001006
Total 60,0001
City Owned Property (COP) General Fund Subtotal =rJ;3::f1--6G6J 512,5001 125,0001 125,0001 125,0"0
City Owned Property (COP) Other Fund Subtotal =1 489:0001 100,0001 - I -
City Owned Property (COP) Unfund Subtotal
City Owned Property (COP) Total 612,5001 125,0001 125,060 125,000
Summary of Proposed 2013118 City Owned Property (COP) Projects Expenditures
I # I Project Description I Status I Fund Type I 13/14 1 14_/_15 I 15—/16 I 16117 17/18
6ncil
Audio Video Improvement-
Audio
Council Chambers Phase 2
Design &
Construction
GF
Other
Other
Total - - - 45,000
75M
Other
LInfuncleal �, 40,000
1-b—
Total 40,000
Total 60,0001
Total
500
777-777T
77, —",
62,500
7777----7�
-
17
Fire Station 2 Parking Lot
Resurfacing
Design &
Construction
GIF
Other
Other
Total - - - 45,000
75M
Total
Total 60,0001
Total
18
Space Consolidation for
519 4th St.
Design &
Construction
GIF
Other
Jfund6T
Total - - - 45,000
19
City Building Lock System
Upgrade
Design &
Construction
GIF
Other
U!*rtdd, 77 777-7 7 T 7777-77:7
Total 75,000
20
Exterior Fencing PID
Parking Lot
Design &
Construction
GIF
Other
U n f u n d eF Mom,"
Other
Unfundo
Other
�U
75M
Total
75,000
21
Library Electrical Upgrades
Design &
I Construction
GIF
Other
U n f u n d eF Mom,"
Total 40,006F
Other
�U
Other
Unfunded
Total
50,000
—
Total
500
62,500
22
Albert J. Boro Community
Center Electrical Upgrades
Design &
Construction
GIF
Other
U n f u n d eF Mom,"
Total 40,006F
23
Library Public Furniture
Upgrades
Design &
Construction
GIF
Other
7-77777777Z14,t
Other
�U
—7 46,066
40,000
50,000
—
Total
24
Enclose Library Computer
Area
Design &
Construction
GIF
Other
7-77777777Z14,t
Total - 140,000 -
25
Repaint Downtown Library
Design &
Construction
GF
Other
�% LL�� 1
Other
Unfunded
Total
LIJ$7,800
Total 187.500
50,000
26
City Halt/Library
Landscaping & Irrigation
Improvements
Design &
Construction
GIF
Other
�% LL�� 1
Total 100,000
27
Library Restroom Addition
Design &
Construction
GF
Other
LIJ$7,800
Total 187.500
—
Page 28 of I I b
Summary of Proposed 2013/18 City Owned Property (COP) Projects Expenditures
# Project Description Status I Fund Type 1 11/1_4 1 14/15 1 15116 1 16/17 1Z U1
GF
Other
Library Book Shelving Design & Unfund[ed-
28 Replacement Construction-- Total 43,750
29
Library Lobby, Circulation
Desk Replacement
Design &
Construction
GF
Other" ---
nd ed
Total 28,750
30
Enclose Library Children's
Patio
Design &'."'774
Construction
GF
Other
Other
�560
-
Other
60,000
Total 56,250
Unfundsd
31
1 Fire Station Generator
Design &
Construction
GF
Other
Other
Other
60,000
Unfundsd
777'-�
Total
60,0001
1
34
Menzies Resurfac
Design &
Construction
GIF-
Other
Other
-
Other
Audio, Video Improvements
Design &
130,0001-1
7-7—
33
Council Chambers (3)
Construction
Total 25,000
34
Menzies Resurfac
Design &
Construction
GF
Other
Other
-
U nfq44j4L
r�Total
80,000
- 120,000
35
5th & Garden Resurfacing
Design &
Construction
GF
Other
Unfunded -
Total 50,000
36
Schoen Park Improvements
Design &
Construction
GF
Other
Other
Other
Unfunded
- Total
',UR �— ed
Total
80,000
37
Santa Margarita Park
Court Reconstruction
Design &
Construction
GF
Other
Total 1,000
Other
Unfunded
- Total
= X00,000'
C Play Area & Access
100,000
130,0001-1
7-7—
38
Albert J. Boro Community
Center Synthetic Field
Construction
Design &7-U
Construction
GIF
Other
Total 1,000
Other
n n
fu ded -Lobb,obb
Other
C Play Area & Access
Total 4,000,000
130,0001-1
7-7—
39
Victor Jones Park Path of
[Travel Improvements
Design &
Construction
GF
Other
Total 1,000
GIF
Other
Gerstle Park Playground t Design & F
0
41
Improvements Construction Total 100.000
Page 29 of 115
GF
Other
C Play Area & Access
Design &
130,0001-1
7-7—
42
ITRTyqTents
Construction
Total 130,000
Page 29 of 115
Summary of Proposed 2013/18 City Owned Property (COP) Projects Expenditures
# I Prniect Descrintion I Status I Fund Tvoe 1 13/14 1 14116 1 15116 1 16/17 1 17/18
43
GF
Other
Bernard Hoffman Drainage Design & ~Unfunded
and Irrigation Improvements Construction Total
- - - -
- - - -
. '°. '•;, = .." ,'=�-
- - - 250,000 -
44
Peacock Gap Playground
Upgrades
Design &
Construction
GF
Other
-
Unft/nd!'
8,000
Total - - -
- 800,000
City Owned Property (COP) General Fund Subtotal =
City Owned Property (COP) Other Funds Subtotal FA
City Owned Property (COP) Unfund Subtotal =L 40,b001 1;233,750 ,580;000[ 730,000[ 800,0001
City Owned Property (COP) Total =F- 40,000 1,233,750 4 580,000 730,000 800,000
City Owned Property (COP) General Fund Total =1 1,371,000 512,500 125,000 1 125,0001 125,000
City Owned Property (COP) Other Funds Total =1 489,000 100,000 - - -
City Owned Property (COP) Unfund Total =[ 4qO00 00 '`;233,750 [ 4,S fi 0001_ 800,000'
City Owned Property (COP) Total 1,900,0001 1,846,2501-4-,-705,0001 855,0001 925,000
Jn
F General Fund Contribution
er Funding from other sources - Grants. Refer to attached backup information
ed' Currently Unfunded
Page 30 of 115
Emergency Facilities Repair
COP 1
1. Proiect Description and Background
This annual project addresses emergency repairs of existing City Owned Properties which can
include but is not limited to plumbing, roofing, and other significant repairs.
2. Proiect Objectives
Maintain the existing City Owned Property to provide services to the community.
3. Cost Estimate
Funded annually through the General Fund = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other `
Unfunded
125,000
-
-
125,000
125,000
125,000
125,000
--- ---
-
-
-
-
-
-
-
Project Total =
125,000
1 125,000
125,000
125,000
125,000
Annual amount set aside for emergency building/property repairs.
Page 31 of 115
Fire Station Drill Tower Repair
COP 2
1. Project Description and Background
This project consists of the removal and replacement of the East side exterior siding and repair of
internal dry rot.
2. Project Obiectives
Provide safe and functional training structure for San Rafael Fire Department.
3. Cost Estimate
Recommended Funding = $ 40,000
4. Basis of Estimate
Staff Estimated
Portions of the south side of this training tower were repaired last year and portions of dry rot areas
were discovered and repaired. Additional dry rot repair should be expected on the east side of the
building.
Page 32 of 115
Parking Structure Upgrade/Replacement Study
COP 3
1. Project Description and Background
TThis project examines the City's Parking Structures to determine if structural upgrades are required to
comply with current state and federal requirements.
2. Project Objectives
Provide safe and accessible parking facility.
3. Cost Estimate
Recommended Funding = $ 200,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other"
Unfunded
-
200,000
-
_
_
_
-
-
-
-
-
-
-
-
Project Total=
200,000
-
-
-
-
Parking Services funds are utilized for this project
Page 33 of 115
Page 34 of 115
Fire Station 1 Driveway Apron
COP 4
1. Project Description and Background
This project involves replacing the driveway apron in front of Station 1 with an accessible and compliant
sidewalk and apron.
2. Project Objectives
Provide a safer driveway approach for the fire department.
3. Cost Estimate
Recommended Funding = $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other *
Unfunded
60,000
-
-
-
-- — --
-
Project Total =
60,000
-
-
-
-
This particular project will need coordination to make sure the driveway can be installed while the station is
still functional.
Page 35 of 115
Terra Linda Recreation Center Pool House
COP 5
1. Proiect Description and Background
This project includes developing a design for the Terra Linda Pool House which currently is not
sufficient for the amount of use at this facility
2. Proiect Objectives
Provide facilities that function to serve their uses.
3. Cost Estimate
Community Services Funding (Grant) $ 300,000
Recommended Funding FY14/15 = $ 387,500
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
387,500
-
-
-
Other *
Unfunded
200,000
-
100.000
-
-
-
-
-
-
Project Total =
200,000
487,500
-
-
-
Community Services has partial funding for this project ($300,000). This Pool House is the origianl structure
built in the 1950's and is need of upgrades to facilitate the needs of the community.
Page 36 of 115
Fire Station Speaker System Upgrade
COP 6
1. Project Description and Background
This project involves replace the existing Emergency Speaker system within all the City's Fire Stations
which are obsolete and needs to be functional for Fire Fighters to respond to emergencies.
2. Proiect Obiectives
Provide functioning emergency service equipment to provide adequate response for Fire Fighters.
3. Cost Estimate
Recommended Funding = $ 200,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
200,000
-
-
Project Total =
200,000
-
-
-
-
Existing station have and old speaker systems which sometimes does not work in certain rooms of the fires
stations. This project is intended to upgrade this facility.
Page 37 of 115
City Library Carpeting Replacement
COP 7
1. Project Description and Background
This project consists of replacing the existing worn out carpeting within the downtown library.
2. Project Objectives
Provide accessible, safe and compliant public facilities.
3. Cost Estimate
Recommended Annual Funding = $ 230,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
230,000
-
-
-
-
-
Other
Unfunded
-
-
Project Total =
230,000
-
-
-
-
This carpeting is significantly worn such that it is becoming a tripping hazard for patrons. All areas will be
examined to determine what measures are neecessary for replacement.
Page 38 of 115
City Library Desks and Work Station Upgrades
COP 8
1. Project Description and Background
This project involves replacing the existing desks and work stations with ergonomic work stations and
accessible furniture.
2. Project Obiectives
Provide a safe facility for the public.
3. Cost Estimate
Recommended Funding = $ 90,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
90,000
-
-
-------._..._.------
-
-
-
-
-
-
Project Total =
90,000
-
-
-
-
The existing furniture and counters are in need of replacement. Some are damaged and some are not
compliant with current accessibility requirements.
Page 39 of 115
B St. Community Center Flooring Replacement
3�
1. Project Description and Backaround
This project includes replacing the original 1960's era flooring in the Auditorium.
2. Project Obiectives
Provide safe and accessible public facilities.
3. Cost Estimate
Community Services Funding (Grant) $ 40,000
Recommended Funding = $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
60,000
40,000
-
-
-
-
-
-
-
-
-
-
Other *
Unfunded
Project Total =
100,000
-
-
-
-
The current flooring within the community center is damaged, warped and in need replacing. Grant funds in the
amount of $40,000 are available for this project.
Page 40 of 115
B St. Community Center Siding Replacement
COP 10
1. Project Description and Background
This project includes replacing the existing shingle siding on the exterior of the building.
2. Project Objectives
Provide safe and accessible public facilities.
3. Cost Estimate
Recommended Funding = $ 200,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
200,000
-
-
-
-
Other
Unfunded
_
}
Project Total =
200,000
-
-
-
-
The current siding on the exterior of the building is many years old and needs replacement before water
infiltration and other damages occur to the internal supports, electrical and interior functions of the building.
Page 41 of 115
City Library Lighting Study & Replacement
COP 11
1. Project Description and Background
This project includes examining the existing lighting within the library and determine what modifications
are necessary to provide adequate and efficient lighting.
2. Proiect Obiectives
Provide safe and accessible public facilities.
3. Cost Estimate
Recommended Funding = $ 35,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
35,000
-
-
-
-
-
-
-
-
Project Total =
35,000
-
-
-
-
Specific areas of the Downtown Library, such as the computer area, require very little lighting while other areas
require more light for reading and research. The Downtown Library utilizes old circuits such that upgrades are
needed to facilitate the existing uses in the building.
Page 42 of 115
Albert J. Boro Community Center Hallway Carpet
COP 12
1. Project Description and Background
This project includes replacement of the existing damaged carpeting within the main hallways.
2. Project Objectives
Provide safe and accessible public facilities.
3. Cost Estimate
Recommended Funding = $ 45,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
45,000
-
-
-
-
Other
Unfunded
_
_
_ .
Project Total =
45,000
-
-
-
-
The main hallways are showing significant signs of deterioration due to the amount of use.
Page 43 of 115
Electrical Improvements to 911 Call System
COP 13
1. Project Description and Background
This project includes providing additional electrical improvements to support the work by AT&T to
improve the 911 Call Systems.
2. Project Objectives
Provide adequate emergency services equipment to respond to emergency's from the public.
3. Cost Estimate
Recommended Funding = $ 35,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
35,000
-
-
-
-
-
-
-
Project Total =
35,000
-
-
-
-
This work includes abatement of existing wall material within the City Hall and the installation of additional
outlets to facilitate dispatch and the Police Department needs.
Page 44 of 115
Albert J. Boro Community Center Basketball Court
COP 14
1. Proiect Description and Background
This project includes the installation of a new basketball court on the east side of the Community
Center. This project is partially funded by donations from the community.
2. Proiect Objectives
Provide safe and accessible public facilities for the community.
3. Cost Estimate
Donations and Community Volunteers = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
51,000
-
-_
-
-
Other *
Unfunded
49,000
-
_ _
_ -
-
Project Total =
100,000
-
-
-
-
This project is a cooperative project between the community and the City to install a new basketball court on the
east side of the Albert J. Boro Community Center where there is currently a dirt parking lot. Donations and
volunteers as well as City participation is included in this project.
Page 45 of 115
City Hall Air Supply Delivery Upgrades
COP 15
1. Project Description and Background
This project includeds the removal and replace of the antiquated air mixing boxes on the 2nd and 3rd
floors of the City Hall to better improve air flow and circulation from the recently installed main HVAC
units
2. Project Objectives
Improve the existing heating and cooling systems within the City Hall to service the employees and
public.
3. Cost Estimate
Recommended Funding = $ 200,000
4. Basis of Estimate
Rough estimate to replace 50 mixing boxes on two floors.
Funding Source 13/14 14/15 15/16 16/17 17/18
General Fund 200,000 - - - -
Other * - - - - -
` Unfunded _ -
Project Total = 200,000 - - - -
The existing boxes located in the ceiling of the 2nd and 3rd floors of the City Hall were originally installed
when the building was constructed and do not function sufficiently to project adequate air circulation.
Replacing these boxes is needed to provide adequate air circulation.
Page 46 of 115
Audio Video Improvement - Council Chambers Phase 2
COP 16
1. Project Description and Background
This project includes improving the furniture and audio video cabinetry in the City Hall council
chambers.
2. Project Objectives
Provide adequate improvements to the Council Chambers to allow the general public to actively see
and hear the public meeting held by the City Council.
3. Cost Estimate
Recommended Funding = $ 40,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
Unfunded
40,000
-
-
-
-
Project Total =
40,000
-
-
-
-
The existing cabinetry is not sufficient to utilize the new electronic equiment needed for broadcasting Council
meeting and needs to be modified to better house the equipment and provide staff furniture for the area.
Page 47 of 115
Fire Station 2 Parking Lot Resurfacing
1. Project Description and Background
This project consists of resurfacing the parking and training area at Fire Station 2.
2. Project Objectives
Provide a safe and traversable parking and training facility for City Fire staff.
3. Cost Estimate
Recommended Annual Funding = $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other *
Unfunded
-
-
-
60,000
_
-
_
-
-
-
Project Total =
-
60,000
-
-
-
Funding for this project has not been identified at this time.
COP 17
Page 48 of 115
Space Consolidation for 519 4th St.
COP 18
1. Project Description and Background
This project involves examining the building at 519 4th Street which is currently utilized as a storage
facility for many departments. The intent of the project is to make a recommendation of improvements
necessary to maintain the building as a functioning storage facility.
2. Project Objectives
Provide safe City Facilities for staff.
3. Cost Estimate
Recommended Annual Funding = $
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
45,000
-
-
-
s
Project Total =
-
45,000
-
-
-
Funding for this project has not been identified at this time.
Page 49 of 115
City Building Lock System Upgrade
COP 19
1. Project Description and Background
This project involves updating the City's lock systems to a proximity lock system for the City Hall and
other public buildings.
2. Project Objectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 75,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
Unfunded
_ -_
75,000
-
Project Total =
-
75,000
-
-
-
Funding for this project has not been identified at this time.
Page 50 of 115
Exterior Fencing PD Parking Lot
COP 20
1. Project Description and Background
This project involves installing a new fence around the lower parking lot at City Hall as well as installing
an automatic gate and security wiring in the parking area.
2. Proiect Objectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 75,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
75,000
-
-
_
Project Total =
-
75,000
Funding for this project has not been identified at this time.
Page 51 of 115
Library Electrical Upgrades
COP 21
1. Project Description and Background
The downtown Library building utilizes a very old electrical system which needs to be updated. Existing
fuses for light switches to be switched out to a standard switch electrical system.
2. Proiect Obiectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 62,500
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other *
Unfunded
-
-
62,500
-
-
-
ProjectTotal=1
62,500
1-
-
-
Funding for this project has not been identified at this time.
Page 52 of 115
Albert J. Boro Community Center Electrical Upgrades
COP 22
1. Project Description and Background
The Albert J. Boro Community Center has experienced electrical problem over the last few years and
needs to have its systems analyzed and repaired to meet the needs of the facility.
2. Project Obiectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 40,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded _
-
_-
-
40,000
-
--
-
-
-
- -
Project Total =
-
40,000
-
-
-
Funding for this project has not been identified at this time.
Page 53 of 115
Library Public Furniture Upgrades
COP 23
1. Project Description and Background
The City's Libraries utilize furniture that is old and does not function for the current library patrons. This
project includes examining and replacing current furniture that does not serve the public or the current
uses of Library patrons.
2. Project Objectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 40,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other-
Unfunded
-
-
-
-
40.000
_
-
_
-
_
Project Total =
-
40,000
-
-
-
Funding for this project has not been identified at this time.
Page 54 of 115
Enclose Library Computer Area
COP 24
1. Proiect Description and Background
The downtown library provides computer access for its patrons. This use requires an atmosphere that
utilizes less light than the typical library area. This project involves examining the current library and
installing a computer area for its patrons.
2. Proiect Objectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 140,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
140,000
-
-
-
-
Project Total =
-
140,000
-
-
-
Funding for this project has not been identified at this time.
Page 55 of 115
Repaint Downtown Library
1. Pro*ect Description and Background
This project involves repainting the downtown library exterior.
2. Project Obiectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 50,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
_
_
-
_
-
Other'
Unfunded
50.000
- _
--
Project Total =
-
50,000
-
-
-
Funding for this project has not been identified at this time.
COP 25
Page 56 of 115
City Hall/Library Landscaping & Irrigation Improvements
1. Proiect Description and Background
This project involves re -landscaping the entryway and exterior of the downtown library.
2. Project Obiectives
Provide safe and secure public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded _
-
-
100,000
-
-
-
Project Total =
-
100,000
-
-
-
Funding for this project has not been identified at this time.
COP 26
Page 57 of 115
Library Restroom Addition
1. Project Description and Background
COP 27
The downtown library has only one restroom for its patrons which is not sufficient for this buildings use.
This project includes examining the downtown library, design, and construction of expansion of the
existing restrooms to be larger and accessible.
2. Project Objectives
Provide safe, secure, and accessible public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 187,500
4. Basis of Estimate
Staff Estimated
Funding for this project has not been identified at this time.
Page 58 of 115
Library Book Shelving Replacement
COP 28
1. Project Description and Background
The downtown library shelving is antiquated and has had problems over the last few years. This project
involves replacing the existing shelves with standard shelves that are accessible to the public.
2. Project Obiectives
Provide safe, secure, and accessible public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 43,750
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
----------------
Other
Unfunded
-
-
_ 43,750
-
-
-
-
Project Total =
-
43,750
-
-
-
Funding for this project has not been identified at this time.
Page 59 of 115
Library Lobby, Circulation Desk Replacement
COP 29
1. Project Description and Background
The downtown library circulation counter is need of replacement to meet current standards. This
project involves the replacement of the existing circulation desk to meet current needs and accessibility
requirements.
2. Project Objectives
Provide safe, secure, and accessible public buildings.
3. Cost Estimate
Recommended Annual Funding = $ 28,750
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
-_
Unfunded
28,750
-
-
-
Project Total =
-
28,750
-
-
-
Funding for this project has not been identified at this time.
Page 60 of 115
Enclose Library Children's Patio
COP 30
1. Project Description and Background
The downtown library children's area is currently not enclosed. Having an enclosed area within the
library would provide a more viable and appealing area for children's reading programs. This project
includes enclosing a space within the library for these services.
2. Project Objectives
Provide safe, secure, accessible and viable areas in the library for the use of the public.
3. Cost Estimate
Recommended Annual Funding = $ 56,250
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other"
Unfunded
56,250
_
Project Total =
-
56,250
-
-
-
Funding for this project has not been identified at this time.
Page 61 of 115
Fire Station Generator
1. Project Description and Background
This project consists of replacing the generator system at Fire Station 1 which is obsolete.
2. Project Objectives
Provide alternative power source for essential services during an emergency.
3. Cost Estimate
Recommended Annual Funding = $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
OtherUnfunded
-
-
60, 000
-
-
_
Project Total =
-
60,000 1
-
i -
I -
Funding for this project has not been identified at this time.
COP 31
Page 62 of 115
Parkside Interior Painting
1. Proiect Description and Background
This project involves painting the interior of the Parkside Children's Center.
2. Project Objectives
Provide safe and secure public facilities.
3. Cost Estimate
Recommended Annual Funding = $ 25,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
Unfunded
25,000
-
Project Total =
--T
25,000
-
-
-
Funding for this project has not been identified at this time.
COP 32
Page 63 of 115
Audio, Video Improvements Council Chambers (3)
COP 33
1. Project Description and Background
This project involves making additional wiring, acoustical and some cabinetry upgrades to the City
Council chambers
2. Pr-olect Obiectives
Provide facilities and equipment that provide additional access for the public to observe public
meetings.
3. Cost Estimate
Recommended Annual Funding = $ 25,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
25,000
-
-
-
Other
Unfunded
Project Total =
-
25,000
-
-
-
Funding for this project has not been identified at this time.
Page 64 of 115
Menzies Resurfacing
1. Project Description and Background
This project consists of resurfacing and improving the referenced parking facility
2. Project Objectives
Provide safe and accessible parking facility.
3. Cost Estimate
Recommended Funding = $ 120,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other"
-
Unfunded
-
-
-
120,000
-
-
_ -
-
-
-----
-
Project Total =
-
120,000
-
-
-
Parking Services funds are utilized for this project
COP 34
Page 65 of 115
5th & Garden Resurfacing
1. Project Description and Background
Provide improvements to accessibility for the referenced parking lot.
2. Project Objectives
Provide safe and accessible parking facility.
3. Cost Estimate
Recommended Funding = $ 50,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other "
Unfunded
-
_-
- 50,000
___ —
- -
Project Total =
-
-
50,000
-
-
Parking Services funds are utilized for this project
COP 35
Page 66 of 115
Schoen Park Improvements
COP 36
1. Project Description and Background
This project involves improvements to Schoen Park. Accessibility and access improvements should be
considered.
2. Project Objectives
Improve the City's Parks and replace old and antiquated p►ay equipment.
3. Cost Estimate
Recommended Annual Funding = $ 80,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17 17/18
General Fund
Other
Unfunded _
-
-
-
80,000
- -
Project Total =
-
-
80,000
- -
Currently unfunded.
Page 67 of 115
Santa Margarita Park - Court Reconstruction
1. Project Description and Background
This project involves the reconstruction of the tennis courts and providing additional access
improvement within the park.
2. Project Objectives
Improve Park access and increase usage.
3. Cost Estimate
Recommended Funding = $ 100,000
4. Basis of Estimate
Staff Estimated Previously bid.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
-
-
-
100,000
-
-
-
-
Project Total =
-
-
100,000
-
-
Funding has not been identified for this improvement.
COP 37
Page 68 of 115
Albert J. Boro Community Center Synthetic Field Construction
COP 38
1. Project Description and Background
This project includes the installation of a synthetic field and various improvements to the field area at
the Albert J. Boro Community Center. Plans for the field have been completed and the project is waiting
funding.
2. Project Obiectives
Provide a safe and new playing field.
3. Cost Estimate
Design Completed in 2010- Design Cost= $ 110,000
Recommended Annual Funding = $ 4,000,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded _
-
{
-
_
-
_
4,000,000
Project Total =
-
-
4,000,000
-
-
Supplemental grant funds have not been identified at this time; however staff will continue to aggressively
pursue grant funding.
Page 69 of 115
Victor Jones Park Path of Travel Improvements
COP 39
1. Proiect Description and Background
Provide accessibility improvements to Victor Jones Park.
2. Project Objectives
Improve the City's Parks and provide compliant paths of travel for the public.
3. Cost Estimate
Recommended Funding = $ 350,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other *
Unfunded
_
-
-
-
_ 350,000
-
Project Total =
-
-
350,000
-
-
Supplemental grant funds have not been identified at this time-, however staff will continue to aggressively
pursue grant funding.
Page ?G of 115
Boyd Park Accessibility Improvements
COP 40
1. Project Description and Background
Accessibility and other improvements are necessary at Boyd Park. This project scheduled for 2014/15
addresses these concerns
2. Project Objectives
Provide accessible public facilities.
3. Cost Estimate
Recommended Funding = $ 250,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
250,000
-
Project Total =
-
-
-
250,000
-
Supplemental grant funds have not been identified at this time; however staff will continue to aggressively
pursue grant funding.
Page 71 of 1 15
Gerstle Park Playground Improvements
COP 41
1. Project Description and Background
This project involves improvements to Gerstle Park Playground Equipment
2. Project Objectives
Improve the City's Parks and replace old and antiquated play equipment.
3. Cost Estimate
Recommended Annual Funding = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
Other "
Unfunded
_
_
_
100,000
Project Total =
-
-
-
100,000
-
Supplemental grant funds have not been identified at this time; however staff will continue to aggressively
pursue grant funding.
Page 72 of 115
TLCC Play Area & Access Improvements
COP 42
1. Proiect Description and Background
Access to the Terra Linda Community Center currently does not meet current code requirements. This
project would address a portion of these concerns.
2. Proiect Objectives
Improve access for the general public.
3. Cost Estimate
Recommended Funding = $ 130,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
-
130,000
Project Total =
-
-
-
130,000
-
Supplemental grant funds have not been identified at this time,- however staff will continue to aggressively
pursue grant funding.
Page 73 of 1' 5
Bernard Hoffman Drainage and Irrigation Improvements
COP 43
1. Project Description and Background
Bernard Hoffman Park located in Terra Linda has several drainage and irrigation issues. This project
will identify the issues and implement modification to the park.
2. Project Objectives
Minimize flooding and drainage issues as well and improve the existing drainage system.
3. Cost Estimate
Recommended Funding = $ 250,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
_
-
-
-
--
Other *
Unfunded
-
-
-
-
-
-
-
250,000
-
-
Project Total =
-
-
-
250,000
-
Supplemental grant funds have not been identified at this time; however staff will continue to aggressively
pursue grant funding.
Page 74 o" 115
Peacock Gap Playground Upgrades
COP 44
1. Project Description and Background
Peacock Gap Park's playground equipment is old and is in need of replacement. This upgrade project
will address modifications and accessibility issues.
2. Project Objectives
Provide updated play equipment for the community.
3. Cost Estimate
Recommended Funding = $ 800,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other----
Unfunded
-
-
-
-
-
-
_
-
-
-
_
800,000...
Project Total =
-
-
-
-
800,000
Supplemental grant funds have not been identified at this time-, however staff will continue to aggressively
pursue grant funding.
Paqe 75 of 115
City of San Rafael
List of City Owned Buildings
Name jAddress
General
1
San Rafael City Hall
1400 5th Avenue
2
Corporation Yard
111 Moprphew Street
3
Parking Services
5th andD Street
4
Blue House
1313 D Street
5
519 4th Street
955 Point San Pedro
Parkinn Structures
6
5th and C Parking Structure Corner of 5th and C Streets
7
3rd and Lootens (West of Lootens)
8
3rd & A Street
9
3rd & C Streets
Fire Stations
10
Station 1
1039 C Street
11
Station 2
210 3rd Street
12
Station 3
30 Joseph Ct
13
Station 4
46 Castro Street
14
Station 5
955 Point San Pedro
15
Station 6
650 Del Ganado
16
Station 7
3530 Civic Center Drive
Library
17 1 Downtown Library
18 jAlbert J. Boro Library
t;ornmunity services
19 B Street Community Center
20 Terra Linda Community Center & Pool
20 Albert J. Boro Community Center (Pickleweed)
21 Falkirk Cultural Center
21 Coleman Child Care Center
22 Dixie Child Care Center
22 Mary Silveira Child Care Center
23 Parkside Child Care Center
23 Sun Valley Child Care Center
24 Venetia Valley Child Care Center
Parkinn I nts
25
26
5th and D Street
3rd and Lootens (East of Lootens)
27
3rd and Cijos
28
5th and Lootens
29
2nd between D and E Streets 1412 2nd Street
30
5th & Garden
31
Mission & E (Menzies)
Redevelopment Agency Property
Childcare Facility on Leased School Property.
Page 76 of 115
DEPARTMENT OF PUBLIC WORKS
DRAINAGE (D)
The objective of projects listed in the "Drainage" category is to provide safe and adequate drainage systems for the
City of San Rafael. The City has 12 Storm Water Pump Stations and extensive network of drainage culverts and
open channel facilities to control storm water. Projects identified in this area are intended to maintain and improve
current infrastructure that facilitates the best level of service possible and minimize flooding.
ECTS COMPLETED
Mission & B street Emergency Drainage Repairs Unanticpated Project
JVistawood Emergency Draiange Repairs Unanticpated Project
uE PROJEC
Jewell & Broadview Drainage Improvements Unantic ated Proje 1 $ 28,000
Cor orate Center Pump Station Underground Connection
Design &
Construction
400 Canal Pump Station (Design)
-
This Budget is supported by the following revenue sources:
Available from Anticipated Allocation for Estimated Total Available
Description Previous Years $ 2013/14($) $
General Fund 0 230,000 230,OOC
Storm Water Fees 359,656 725,000 1,084,65E
Total Available for Drainage Projects = 1,314,65E
Summary of Proposed Drainage Projects and Expenditures
# Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 1 16/17 1 17/18
1
Miscellaneous Storm Drain,
Slide Repair Projects
Design &
Construction
GF - - - -
-
Other * 100,000 100,000 300,000 300,000
300,000
ti
300,000
_
Total 100,000 100,000 300,000 300,000
2
Rossi Pump Station
Design &
Construction
GF - - - -
Other * 850,000 - - - -
i OfUnd
Total 850,000 - -
3
Marin County Storm Water
Pollution Protection Program
tP✓1CS FOPPP)
Design &
Construction
GF 120,000
120,000
120,000
180,000 180,000
Other * -
-
-
120,000
- -
777777-7-
61ftsr► a . "3
120,000
180;000 180,000
Total 120,000
4 FEMA Updates
North Saar Rafael l/Jaters
5 Study_
�ed
GF 60._0.00
60.000
- - -
Other
Design &t+
Construction
tftided,
60,000 -
Total 60.000
�ed
GF 50 000
Other *
Design &{ -716
Construction Total 50,000
- - -
-- -- - - -
MEN=
- - - -
General Fund Subtotal (Drainage) = 230.000 180,000 120,000 180,000 180,000
Other Funding Subtotal (Drainage) = 950.000 100,000 300,000 300,000 300,000
Unfunded Subtotal (Drainage) =r 77 In
Subtotal (Drainage) = F1,M0,000 280,000 420,000 480,000 480,000
Page 77 of 115
I # I Project Description I Status I Fund Type I 13i1 4 1 14115 1 15116 1 16/17 1 17/18 -1
6j
400 Canal Street Pump Station
Repair
Design &
Construction
G F
Other
n -
ded"',
Unfq=
Other
07f�--d
F e
Total
- - 0
'00
250,000
Total
- 50,000
Storm Drain System CMP
7 1 ReolacementMoarades
GFthew
Design &
Construction "To Total
8
Sea Level Rise
Design &
Construction
GF
Other
n -
ded"',
Unfq=
Other
7UnfundeF
Total
- 50,000
9
City Levee Study
Design &
Construction
GF
Other
n -
ded"',
Unfq=
Total 60,000
General Fund Subtotal (Drainage)
Other Funding Subtotal (Drainage)
Unfunded Subtotal (Drainage) 2= dj_ 2,000000i
Subtotal (Drainage) 1 2,360,0001 2,000,0001 2,000,o-db-[--zdb-C6db-
General Fund Total (Drainage) =1 230,0001 180,0001 120,0001 180,001 0
Other Funding Total (Drainage) =1 950,0001 100,0001 300,0001 300,00 300,0990
Unfunded Total (Drainage) 2,360,0001 2,000,000 2,000,000 QO
Total (Drainage) =F-1,1-9(FOTO-[--2-,-6-4-0,—oOo—x2,-42b-,0001 2,480,000 2,480,000
GF General Fund Contribution
F
Other Funding from other sources - Grants. Refer to attached backup information
I Unfunded ;Currently Unfunded
Page 78ofII5
Miscellaneous Storm Drain, Slide Repair Projects
D 1
1. Proiect Description and Background
This annual project addresses emergency repairs related to drainage issues.
2. Project Objectives
Maintain the existing drainage systems throughout the City and provide a funding mechanism for
repair slides and damages related to storms.
3. Cost Estimate
Funded annually = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
Unfunded
100,000
100,000
300,000
_
300,000
_
300,000
__
Total =
100,000
1 100,000
300,000
300,000
300,000
This annual allocation is used for items related to pump stations and drainage systems
throughout the City.
Page 79 of 115
Rossi Pump Station
1. Project Description and Background
D 2
This project includes the structural repair of this older pump station which has deteriorated over the
years.
2. Proiect Objectives
Provide adequate drainage facilities to minimize flooding to the City.
3. Cost Estimate
Construction Estimate = $ 850,000
4. Basis of Estimate
The Engineer's Estimate prepared by CSW Stuber Stroeh.
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
850,000
-
-
-
-
-
_ -
Other
Unfunded
Total this Project =
850,000
-
-
-
-
Rossi Pump Station is an older facility and is in need of structural repairs to the facility. Currently
this project is ready to construct with a plan in had for the work.
Page 80 of 115
Marin County Storm Water Pollution Protection Program (MCSTOPPP)
D 3
1. Proiect Description and Background
This project includes staff time associated with compliance with the latest requirements from the
State Regional Water Quality Control Board and federal rules and regulation related to the Phase 2
permit
2. Project Objectives
Provide safe and adequate drainage facilities within the City in compliance with State and Federal
Standards.
3. Cost Estimate
FY 13/14 Recommended Funded = $ 120,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General----- Fu-nd
120,000
120,000
120,000
180;000
180,000
------
Other
Unfunded
-
-
-
-
Total this Project =
120,000
1 120,000
120,000
180,000
180,000
It is anticipated that additional testing of construction sites and drainage outfall will be required
with the adoption of the latest Regional Water Quality Control Permit for our County.
Page 81 of 11,5
FEMA Updates
1. Project Description and Background
D 4
Provide staff time associated with compliance with the latest requirements from the State Regional
Water Quality Control Board and federal rules and regulations related to the Phase 2 permit.
2. Project Objectives
Provide public information.
3. Cost Estimate
FY13/14 Estimated Cost to Administer the FEMA Updates $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source 13/14 14/15 15/16 16/17 17/18
General Fund 60,000 60,000 - _ - -
Other - -
Unfunded - T
Total this Project = 60,000 60,000 - - -
This project represents the utilizations of professionals services assistance to facilitate meetings
Page 82 of 115
North San Rafael Watershed Study
D 5
1. Project Description and Background
This collaborative project with the County of Marin will study the Las Gallinas Watershed to determine
environmental, navigational and other improvements for this area.
2. Project Objectives
Improve the City's waterways and streams.
3. Cost Estimate
Initial Study Cost = $ 50,000
4. Basis of Estimate
Staff Estimated
The initial study is anticipated to identify future improvements. Future estimated costs for these
improvements are identified above.
Fuge 83 of 115
400 Canal Street Pump Station Repair
1. Project Description and Background
The pump station at 400 Canal Street is an older facility and is in need of structural repairs to the
facility.
2. Proiect Objectives
Provide adequate drainage facilities to minimize flooding to the City.
3. Cost Estimate
Construction Estimate = $ 250,000
4. Basis of Estimate
The Engineer's Estimate prepared by CSW Stuber Stroeh is $250,000 including contingency.
Funding Source 13/14
14/15
15/16
16/17
17/18
General Fund -
250,(700
-
-
Other
Unfunded,"
—
—
77777777
Total this Project =
250,000
This project is recommended to be deferred to future years due to budgetary shortfalls.
Page 84 of 1'15
Storm Drain System CMP Replacement/Upgrades
1. Project Description and Background
Repair of deteriorated storm drainage culverts throughout the City.
2. Project Objectives
Improve the existing drainage facilities and prevent culvert collapses that can expand to roadway
failures and hazards.
3. Cost Estimate
Recommended Annual Funding = $ 2,000,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
2.000,000
_
2,000,000
_
2,000,000
--p_-
2,000,000
Other
Unfunded
Total this Project =
-
2,000,000
1 2,000,000
1 2,000,000 1
2,000,000
This project was identified in 2010 by the Public Works Director as a significant hazard to the general
public that needs to be addressed before additional deterioration is incurred.
Page 85 of 115
Sea Level Rise Study
1. Project Description and Background
This project involves working with regulatory agencies to determine the impacts that are predicted to
occur due to sea level rise.
2. Project Obiectives
Provide safe and adequate drainage facilities within the City.
3. Cost Estimate
Estimated Study Cost $ 50,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
_
_
50,000
-_--
Total this Project =
-
50,000
-
-
-
This project is currently not funded.
Page 86 of 115
City Levee Study
1. Project Description and Background
This projects involves reviewing all City Levee systems to determine what measures need can be
implemented to deter flooding.
2. Project Objectives
Provide public information.
3. Cost Estimate
Estimated Study Cost $ 60,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
60,000
-
-
-
- ---
Total this Project =
-
60,000
1-
-
-
This project is currently not funded.
M •
Page 87 of 115
City of San Rafael
List of City Pump Stations
Number
IName Address
PS
01
North Francisco Pump Station
PS
02
Rossi Pump Station
PS
03
400 Canal Pump Station
PS
04
Corporate Center Pump Station
PS
05
San Quentin Marsh Pump Station
PS
06
Piombo Pump Station
PS
07
Cayes Pump Station
PS
08
Kerner Pump Station
PS
09
Montecito Pump Station
PS
10
Lindaro Pump Station
PS
11
Glenwood Pump Station
PS
12
Peacock Pump Station
Page 88 of 115
DEPARTMENT OF PUBLIC WORKS
RIGHT-OF-WAY (R/lM
The objective of projects listed in the "Road Right -of -Way" category is to provide safe and adequate road systems for the
incorporated area of the City of San Rafael. The City has over 175 miles of roadway and 86 traffic signals. Projects
identified in this area are intended to maintain and sometimes improve current infrastructure that facilitates the best level of
service possible for the traveling public.
an
vp
COMPLETED PROJECTS (2011/12)
ADA -DOJ Curb Ramps 2011/12
ADA -DOJ Curb Ramps 2012/13
Citywide Street Resurfacing Curb Ramps 2012
Citywide Street Resurfacing 2012
Downtown Bicycle Parking Installation
Downtown Pavement Safety Improvements
Grand Avenue Pathway Connector Project (Design)
NTPP Mahon Creek Path to Transit Connector Project
Safe Routes to School - Coleman
Point San Pedro Median Landscaping Improvements
Tricolor Painting - Sidewalk Washing
ACTIVE PROJECTS§1 ffiam
Street Resurfacing 2012/13
Lifeline Phase 2 Canal and Kerner Pedestrian & Transit Improvements
NTPP Puerto Suello Path to Transit Connector Project
Safe Routes to School - Davidson
NTPP-Francisco Blvd. East Sidewalk Widening
201 D Street Driveway and Sidewalk Improvements (Active) Unanticipated
Description
Available from
Previous Years $
Anticipated Allocation for
2013/14($)$
Estimated Total Available
General Fund
0
0
0
Grants
City Fees - Construction Vehicle
Impact Fees, Refuse Vehicle
Registration Fees
0
1,079,729
2,357,109
943,600
2,357,109
2,023,329
Gas Tax
135,079
500,000
635,079
Local Measures A & B
0
960,649
960,649
Assessment Districts
0
_
0
0
State Proposition 1 B, 42
127,6601
01
127,660
Total Available
for Right of Way Projects =
6,103,826
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
# Project Description Status Fund Type 13/14 14/15 15116 16/17 17/18
Page 89 of 115
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
# I Project Description I Status I Fund Type 1 13/14 1 14/15 1 15/16 1 16/17 1 17/18
11:City
SMART - Quite Zones &
Andersen Dr Crossing
Design &
Construction
GF
-
-
-
-
Other
295,000
200,000
-
-
-
--
Design &
Unfunded
Design &
-
-
-
-
Bridge Repair Program
Construction
Total
295,000
200,000
-
250,000
6
SMART - Quite Zones &
Andersen Dr Crossing
Design &
Construction
GF
-
-
-
Other
Other
250,000
-
-
-
-
--
Design &
Avenue Retaining
Design &
UnfundednB:r,okdale
-
-
-
-
Construction
4
Wall
Construction
Total
250,000
-
-
-
-
6
SMART - Quite Zones &
Andersen Dr Crossing
Design &
Construction
GF
-
-
-
Other
1,500,000
-
-
-
-
-
-
-
-
Design &
Street Resurfacing Curb Ramps
Design &
Unfunded
-
-
-
-
Construction
4
2013/14
Construction
Total
80,000
-
-
-
-
6
SMART - Quite Zones &
Andersen Dr Crossing
Design &
Construction
GF
-
-
-
Other
1,500,000
-
-
-
-
-
-
-
-
Design &
Unfunded
-
- -
-
-
5
Street Resurfacing 2013/14
Construction
Total
1,500,000
-
Total
300,000
6
SMART - Quite Zones &
Andersen Dr Crossing
Design &
Construction
GF
-
-
-
-
Other
Unfunded
Total
80,000
-
80600
-
-
-
-
-
-
-
-
-
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
GF
-
800.000
-
-
Other
300,000
Point San Pedro Road
Design &
Unfunded
-
Design &
-
Design &
Unfunded
-
-
-
Total
625,000
7
ADA -DOJ Curb Ramps 2013/14
Construction
Total
300,000
-
-
-
-
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
GF
625,000
800.000
-
-
Other
Point San Pedro Road
Design &
Unfunded
-
Design &
-
Design &
Unfunded
8
Resurfacing
Construction
Total
625,000
9
-
Construction
Total
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
GF
-
800.000
-
-
Other2,118,000
-
-
-
Del Presidia Blvd - Pt San Pedro
Design &
Downtown Rail Readiness
Design &
Unfunded
11
-
Design
-
-
9
Project
Construction
Total
2,118,000
-
-
-
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
GF
Other
510,000
800.000
-
-
Other
-
Other
Unfunded
Del Presidia Blvd - Pt San Pedro
Design &
Unfunded
_
-
11
H Street Roadway Improvements
Design
1C
Resurfacing
Construction
Total
510,000
12
Aerial U nderg round ing
-
Total
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
GF
-
200.000
800.000
-
Other
Other
Unfunded
-.,-
5.500.000
_
11
H Street Roadway Improvements
Design
Total
200,000
800,000
-
12
General Fund Subtotal (Road RNV) _ -
Other Funding Subtotal (Road RNV) = 6 058.000 1.100,000 100.000 100,000 100_,000_
Unfunded Subtotal (Road RNV) _[ - J --[ - - -] - -I -]
Total (Road RNV) =[-6-.b58.0001 1.100.0001 100,000[ -- 100,000 100.000)
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
#� Project Description Status Fund Type 1 13/14 1 14/15 1 15/16 16/17 17)18
Page goof 115
Other
5.500.000
Design &
Unfunded
-
-
-
12
Aerial U nderg round ing
Construction
Total
5.5007000
Page goof 115
Summary of Proposed Road Right -of -Way Projects Expenditures (FY13/18)
# I Project Description I Status I Fund Type 1 13/14 1 14/15 1 15/16 1 16/17 17/18
[ISt,eet
GF
-
-
-
-
Other
-
150,000
150,000
150,000
150 000
-
Resurfacing Curb Ramps
Design &
Unfunded
-
-
-
-
- -
14
2014/15 to 2017/18
Construction
Total
-
150,000
150,000
150,000
150,000
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
-
Other
-
1,500,000
1,500,000
1,500,000
1,500,000
-
Street Resurfacing 2014/15 to
Design &
Unfunded
-
-
-
-
- -
14
2017/18
Construction
Total
-
1,500,000
1,500,000
1,500,000
1,500,000
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
Other
-
300,000
300,000
300,000
300,000
-
ADA -DOJ Curb Ramps 2014115
Design &
Unfunded
Unfunded
-
-
-
- -
15
to 2017/18
Construction
Total
-
300,000
300,000
300,000
300,000
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
Other
Other
Other
75,000
-
-
-
Design &
Design &
Unfunded
-
-
-
- -
16
Parks Pathways Resurfacing
Construction
Total
-
75,000
-
-
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
Other
-
Other
250,000
650,000
-
-
Design &
Unfunded
-
Design &
Unfunded
-
-
-
-
Construction
17
Bungalow Ave Reconstruction
Construction
Total
-
650,000
-
-
-
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
Other
-
-
250,000
- --
-- --
Design &
Unfunded
-
-
-
-
-
18
Mahon Path Landscaping
Construction
Total
-
Construction
-
250,000
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
GF
-
-
-
Other
- --
-- --
'Third Street Alignment &
Design &
Unfunded
-
-
-
-
19
Roadway Im rovments
Construction
Total
-
-
-
General Fund Subtotal (Road RNV) _
Other Funding Subtotal (Road RNV) = 2,675 000 1 950_,000 7,700 __ ___ 000 1,950,000
Unfunded Subtotal (Road RNV) _ -1 (
Total (Road RNV) _� Z2,675000r 1,950,0001 7,700,000 1 950,000
General Fund Total (Road RNV)
Other Funding Total (Road RNV) =L6,058,000 3,775 000 f 2,050,000) 71,800,000 2,660,
Unfunded Total (Road RNV)
Total (Road RNV) _( 6,058,000[ 3775,000 2,050,000 7,800,000- 2 050000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Not Funded
Page 91 of 11,5
Miscellaneous Right of Way
R/W 1
1. Project Description and Background
This annual project addresses emergency projects in and above normal maintenance of the City's
streets.
2. Project Objectives
Improve accessibility for the public and minimize hazards.
3. Cost Estimate
Funded annually = $ 100,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
100,000
-
100,000
- _
100,000
-
_ 100,000
-
100,000
Total =
100,000
1 100,000
100,000
100,000
1 100,000
Various repair measures are needed throughout the year to maintain the existing 175
miles of City Roadways. This is in and above the normal maintenance performed by
our Streets division and requires engineering design and outside construction
assistance
Page 92 cf 115
City Bridge Repair Program
R/W 2
1. Proiect Description and Background
3rd Street Bridge near Highway 101 and Southern Heights bridge are in need of repair. Initial reviews
of these bridges indicated that further studies are needed prior to implementing repairs or possibly
replacement of these facilities.
2. Project Objectives
Maintain the City's existing infrastructure.
3. Cost Estimate
Preliminary Engineer's Estimate $ 495,000
4. Basis of Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
295,000
-
200 000
-
_
-
-
Total this Project =
295,000
200,000
-
-
-
The City's bridges are reviewed by Caltrans. A total of 4 bridges have been identified as needing repair.
Several of these bridges will need a capital allocation over multiple years in order to perform their repairs.
3rd Street Bridge requires a sealant coat which should be addressed in the early portion of FY 2013/14.
This is estimated to cost approximately $45,000. bidding has not commenced on this project and exact
costs are not known until the project bids are received.
Southern Heights bridge is a timber one lane bridge that has experienced weather damage to the timbers. It
is not known at this time if the bridge will need to be replaced. Cost for replacing the bridge are estimated to
be more than $250,000
Other Bridges - Caltrans has identified several other bridges within our jurisdiction that need repair. Grand
Avenue Bridge is showing signs of scour and while the work is not complex the permitting associated with
receiving other agencies approvals may be extensive. We estimate the cost of this work to be $200,000
and should be performed next Fiscal year.
Page 93 of '115
Brookdale Avenue Retaining Wall
.' ►1.�11�L�3
1. Project Description and Background
This project consists repairing a slide on Brookdale by installing a retaining wall along the edge of the
roadway.
2. Proiect Obiectives
Provide safe and traversable public roadways.
3. Cost Estimate
Engineer's Estimate = $ 250,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
250,000
-
-
-
-
v
-
-
__y
Total this Project =
250,000
-
-
-
-
Page 94 of ? 15
Street Resurfacing Curb Ramps 2013/14
R/W 4
1. Proiect Description and Background
This project involves the installation of new accessible curb ramps on the roadways that are expected
to be resurfaced.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 80,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
--
-
-
-
Other
Unfunded
80,000
-
-
-
-
Total this Project =
80,000
-
-
-
-
Page 95 of 115
Street Resurfacing 2013/14
1. Project Description and Background
This project involves resurfacing a portion of the 175 miles of the City's road system.
2. Project Obiectives
Provide safe and accessible roadways.
3. Cost Estimate
Total Project Budget Estimate $ 1,500,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
--
-
-
-
-
Other
Unfunded
1,500 000
-
Total this Project =
1,500,000
-
-
-
-
R/W 5
Page 96 of 115
SMART - Quite Zones & Andersen Dr Crossing
1. Project Description and Background
This project involves assistance with Quite Zones, Federal Rail Authority and Public Utility Commission
approval as well as analyzing the Andersen Drive crossing alternatives.
2. Project Objectives
Provide a coordinated effort to bring rail to San Rafael.
3. Cost Estimate
Engineer's Estimate = $ 80,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded -
-
80,000
-
-
-
-
-
-
-
-
Total this Project =
80,000
-
-
-
-
Page 97 of 115
ADA -DOJ Curb Ramps 2013/14
R/W 7
1. Proiect Description and Background
This project involves installing curb ramps throughout the City in compliance with the Department of
Justice settlement agreement.
2. Proiect Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 300,000
4. Basis of Estimate
Engineer's Estimate
Page 98 of 115
Point San Pedro Road Resurfacing
R/W 8
1. Project Description and Background
This project involves a coordinated effort with the County of Marin to resurface Point San Pedro
Road from Union to the San Rafael Rock Quarry entrance.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 625,000
4. Basis of Estimate
Engineer's Estimate
Funding Source 13/14 14/15 15/16 16/17 17/18
General Fund - - -
Other 625,000 - - - -
Unfunded - - - -
Total this Project =625,000 - - -
A test patch is scheduled to be placed in August 2013 near the Quarry entrance to
examine the bonded wearing surface proposed by the County.
Page 99 of 115
Downtown Rail Readiness Project
• 1G WO
1. Project Description and Background
This project involves improving traffic signal systems and pedestrian facilities within the downtown area
near the new rail station and line.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 2,118,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14 14/15
15/16
16/17
17/18
General Fund
- -
-
-
Other
Unfunded
2,118,000
-
-
Total this Project
'The project includes upgrades to 17 intersections, countdown pedestrian heads at 13
signalized intersection, ADA compliant Ramps, widening the sidewalk on Hetherton
between 4th & 3rd and on 4th between Netherton and Tamalpais. A local match of
11.47% is required for this funding. (Total amount of $2,117,930 is rounded to
$23118,000)
Page 100 of 115
Del Presidio Blvd - Pt San Pedro Resurfacing
RNV 10
1. Project Description and Background
This project consists of resurfacing Del Presidio, from Manual Freitas to Las Gallinas, and Point San
Pedro Road from the Quarry Entrance to Biscayne.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 510,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
Other
Unfunded
510,000
-
-
v
Total this Project =
510,000
-
-
-
-
The City requested the $457,109 of OBAG funding. Further approvals from MTC and
authorizations will need to be secured prior to starting design. A local match of 11.47% is
required for a total amount of $509,539 (Rounded to 510k for this analysis)
Page 101 of 115
H Street Roadway Improvements
RAN 11
1. Proiect Description and Background
This project involves replacing a failed drainage system within H Street and then resurfacing the
roadway from Forbes to 4th street. Additional utility relocations may be necessary
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate = $ 200,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15 15/16
16/17
17/18
General Fund
-
- -
-
-
Other
Unfunded
200,000
-
800,000
-
-
777-7777-:--
Total this Project =
200,000
8001000 -
-
-
Design to be initiated in FY 13/14. Coordination, and possible relocation, with utilities will
need to occur prior to construction in FY14/15.
Page 102 of 115
Aerial Undergrounding
R/W 12
1. Project Description and Background
Underground existing aerial utilities along a main City corridors.
2. Project Objectives
Provide a safer and healthier environment for residents of the City.
3. Cost Estimate
Funded annually through the General Fund = $ 5,500,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
-
-
-
5,500,000
-
Total this Project =
-
-
-
5,500,000
-
Page 103 of 115
Street Resurfacing Curb Ramps 2014/15 to 2017/18
RM 13
1. Prosect Description and Background
This project involves the installation of new accessible curb ramps annually on roadways that are expected
to be resurfaced.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate Annually = $ 150,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
_
Other
Unfunded
-
150,000
150,000
150,000
150,000
Total this Project =
-
150,000
150,000
150,000
150,000
Page 104 of 115
Street Resurfacing 2014/15 to 2017/18
1. Project Description and Background
This project involves annually resurfacing a portion of the City's 175 miles of roadways.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Annual Project Budget Estimate $ 1,500,000
4. Basis of Estimate
Engineer's Estimate
Funding Source 13/14
14/15
15/16 16/17 17/18
General Fund -
-
- - -
Other -
Unfur d
1,500,000
1,500,000 1;500,000 1,500,000
Total this Project =-
1,500,000
1,500,000 1,500,000 1,500,000
RNV 14
pago 105, Cf t 15
ADA -DOJ Curb Ramps 2014/15 to 2017/18
RM 15
1. Project Description and Background
This project involves installing updated curb ramps in compliance with the Department of Justice
Settlement with the City of San Rafael.
2. Project Objectives
Provide safe and accessible roadways.
3. Cost Estimate
Engineer's Estimate Annually = $ 300,000
4. Basis of Estimate
Engineer's Estimate
Fundinq Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
-
-
300,000
_
-
300,000
-
-
300,000
-
-
300,000
-
Total this Project =
-
300,000
300,000
300,000
300,000
Page 106 of 115
Parks Pathways Resurfacing
RM 16
1. Proiect Description and Background
This project consists of resurfacing a portion of the City's bicycle paths that have deteriorated to a point
that they are now a safety concern. The actual locations of the repairs will be determined at upon
review by staff.
2. Proiect Objectives
Provide accessible access along City pathways
3. Cost Estimate
Total Project Budget Estimate $ 75,000
4. Basis of Estimate
Engineer's Estimate
Funding Source 13/14
14/15 15/16
16/17
17/18
General Fund -
-
-
-
Other -
Unfunded' „ ..77777-7
75,000 -
-
Total this Project = L J: 1 75,000
Page 107 of 115
Bungalow Ave Reconstruction
R/W 17
1. Project Description and Backqround
Reconstruction of Bungalow street from Woodland to Picnic. Work includes the reconstruction of a
failing drainage systems as well as removing older style curb and gutter to provide access to adjacent
properties.
2. Project Objectives
Provide a safer and healthier environment for residents of the City.
3. Cost Estimate
Total Project Budget Estimate $ 650,000
4. Basis of Estimate
Engineer's Estimate
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
650,000
-
-
-
-
-
Total this Project__�-
Mahon Path Landscaping
1. Project Description and Background
RM 18
The pathway long Mahon Creek is sparse and it is anticipate that improvements to the landscaping will
be needed.
2. Proiect Objectives
Provide improved landscaping
3. Cost Estimate
Recommended Funding = $ 250,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
-
_
Other
Unfunded
-
-
250,000
.,
-
,.:..,,.
7777777:T777777.--
f.
Total this Project =
Total
��
_ .�
250,000W
-
Page 109 of 115
Third Street Alignment & Roadway Improvments
RNV 19
1. Project Description and Background
This project involves improving Third Street from the Miracle Mile to E Street as well as installing
retaining walls and widening the roadway to accommodate a swidewalk and bike lane.
2. Project Objectives
Provide improved safety for the public
3. Cost Estimate
Recommended Funding = $ 3,500,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
_
-
Other3,500,000
Unfunded
y_ _
-
Total this Project =
-
-
-
3,500,000
-
This is a project which is recognized by MTC. Funding has been set asside for the City to
move forward with the project.
Page 110 of 115
DEPARTMENT OF PUBLIC WORKS
TRAFFIC (T)
The objective of projects listed in the 'Traffic" category is to provide safe traffic facility systems for the City of San
Rafael. The City has over 86 traffic signals and over 4,400 street lights. Some of these systems are antiquated such
that maintenance of these facilities is difficult. Projects identified in this area are intended to maintain and improve
current infrastructure facilitates to the best level of service possible and improve safety.
Puerto Suello Multiuse Pathway Security Cameras
LED Street Lighting Retrofits
Traffic Cabinet Signal & Controller Upgrades 2011/12
Completed
CTIVE PROJECTS
Y 13/14 REVENUE
Available from Anticipated Allocation for Estimated Total Available
Description Previous Years ($) 2013/14($) ($)
General Fund 0 0 0
City Fees - Construction Vehicle
Impact Fees, Refuse Vehicle
Registration Fees 01 100,0001 100,000
Total Traffic Allocation FY 13/14 =1 100,000
Summary of Proposed Traffic Projects Expenditures
# Project Description Status Fund Type 1 13/14 1 14/15 I 15/16 1 16/17 1 17/18
1
1 raffic Cabinet Controller
Upgrades 2013/14
Design &
Construction
GF - - - -
Other 100,000 100,000 100,000 100,000 100,000
Total 100,000 100,000 100,000 100,000 100,000
General Fund Subtotal (Traffic) _ - - -
Other Funding Subtotal (Traffic) =1 100,0001 100,0001 100,0001 100,0001 100,000
Unfunding Subtotal (Traffic) =
Total (Traffic) =1 100,0001 100,0001 100,0001 100,0001 100,000
2
Ramp Metering Study
Design &
Construction
GF - - - -
Other - - - - -
U ..
Total - - - - -
GF - - - -
Other - 1.500.000 -
Freitasi?.as Gaiiinas Intersection Design &U,." ,
3 Improvements Construction Total- 1,500,000 - - -
General Fund Subtotal (Traffic) - - - -
Other Funding Subtotal (Traffic) =�� 1,500,000
Unfunding Subtotal (Traffic) =>` 4t
Total (Traffic) _ 1 _75,0001_ 1,500,000 - _
Page 111 of 115
Summary of Proposed Traffic Projects Expenditures
# Project Description Status Fund Type I 13/14 I 14/1515/16 16117 17/18
General Fund Subtotal (Traffic) - -�00000
Other Funding Subtotal (Traffic) 100000 1600,000 100,000 100 000
-_ -_ -- — -
Unfunding Subtotal (Traffic) I 75,0001 - I -1 - 1 d
Total (Traffic) 175,0001--1 ,000E 100 000 -160,666[-100,000
GF General Fund Contribution
Other Funding from other sources - Grants. Refer to attached backup information
Unfunded Currently Unfunded
Page 112 of 1 15
Traffic Cabinet Controller Upgrades 2013/14
1. Project Description and Background
This project consists of upgrading older traffic controller equipment to meet current standards.
2. Project Obiectives
Provide safer and improved signal systems within the City.
3. Cost Estimate
FY 13/14 Recommended Funding = $ 100,000
4. Basis of Estimate
Staff Estimated - Grant Amount Available
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other
Unfunded
-
_ 100,000
-
100,000
-
-
100,000
y
100,000
100,000
Total =
100,000
100,000
1
00,000
100,000
This project is funded by Gas Tax.
T 1
Page 113 of 115
Ramp Metering Study
1. Project Description and Background
T 2
This project is initiated by the State of California to study the effect of installing ramp metering systems
on the on ramps for City Streets that have access to the Highway system.
2. Project Obiectives
Provide a safer Highway system, work collaboratively with the State.
3. Cost Estimate
FY 13/14 Recommended Funding = $ 75,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
Other-
Unfunded _
-
75,000
__ -
-
-
s
-
-
Total =
75,000
-
-
-
-
This project is funded by Gas Tax.
Page 114 of 115
Freitas/Las Gallinas Intersection Improvements
T 3
1. Project Description and Background
This project consists of widening the Intersection of Las Gallinas and Freitas Parkway. In particular the
left turn pocket onto Las Gallinas from Freitas Parkway heading south should be expanded to
accommodate the current traffic. This work also involves work over a creek.
2. Project Obiectives
Provide a safe roadway systems at this intersection.
3. Cost Estimate
FY 13/14 Recommended Funding = $ 1,500,000
4. Basis of Estimate
Staff Estimated
Funding Source
13/14
14/15
15/16
16/17
17/18
General Fund
-
-
-
-
Other
Unfunded
_ -
1,500,000
-
-
Total =
-
1,500,000
-
-
-
This project currently supported by traffic mitigation fees.
Page 115 of 1'15
CITY OF SAN RAFAEL
ROUTING SLIP / APPROVAL FORM
INSTRUCTIONS: USE THIS FORM WITH EACH SUBMITTAL OF A CONTRACT, AGREEMENT,
ORDINANCE OR RESOLUTION BEFORE APPROVAL BY COUNCIL / AGENCY.
SRRA / SRCC AGENDA ITEM NO. C-*
DATE OF MEETING: July 15, 2013
FROM:
DEPARTMENT
Nader Mansourian
Public Works
DATE: 7/9/13
TITLE OF DOCUMENT:
RESOLUTION APPROVING SAN RAFAEL'S 5 -YEAR CAPITAL IMPROVEMENT PROGRAM
FOR FISCAL YEARS 2013/14 THROUGH 2017/2018 AND AUTHORIZING THE
REPROGRAMMING OF 21 CAPITAL PROJECTS TO SUBSEQUENT YEARS
Department Head (signature)
(LOWER HALF OF FORM FOR APPROVALS ONLY)
APPROVED AS COUNCIL / AGENCY
AGENDA ITEM:
r
City Manager (signature)
NOT APPROVED
REMARKS.
APPROVED AS TO FORM:
b-
City Attorney (signature)
File No_ 01 02.49