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HomeMy WebLinkAboutItem 08 - Parr RoadMEMO TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL FROM: ROGER NELSON, CITY MANAGER/V6-�'/ MEETING DATE: NOVEMBER 7, 2000 SUBJECT: PURCHASE OF RIGHT-OF-WAY FOR PARR ROAD CONSTRUCTION — PARCEL H FROM GEORGE AND CAROL JENKINS, AND PARCELS I AND J FROM J.R. AND SANDRA BRADFORD RECOMMENDATION: City Council consider authorizing the purchase of 2,942 square feet for right-of-way from J.R. and Sandra Bradford in the amount of $18,205.00 and 5,651 square feet for right- of-way from George and Carol Jenkins in the amount of $17,700.00, authorize staff to execute the purchase documents, and take any necessary action. FUNDING SOURCE: Funds are currently available and programmed as follows: Funding Source Account Amount Award Percent Perip St Fees 178-21512-000 $ 172,750 4.9% 99 GO Bonds 178-78101-010 $ 458,665 $35,905 12.8% 00 GO Bonds 178-78102-011 $ 2,643,091 73.9% 99 Utility Bonds 200-48930-534-5-000010WA$ 300.000 8.4% TOTAL $ 3,574,506 $35,905 Budget Amount Award Percent Engineering $ 278,000 7.8% Construction $ 2,390,743 66.9% Testing $ 39,100 1.1% ROW $ 218,600 $35,905 6.1% Contingency $ 648.063 18.1% TOTAL BACKGROUND: $ 3,574,506 $35,905 Parcels I & J The City Council previously authorized staff to offer the appraised value of $15,705.00 to J.R. and Sandra Bradford for Parcels I and J. This included the cost of the right-of-way ($8,420.00) and an estimated cost ($7,285.00) for replacement of existing landscape improvements including trees, shrubs, fencing and gates after the project is complete. October 31, 2000 (10:29AM) The owner has responded with an offer of $18,205.00 based on their estimate of $9,785 for their replacement of the landscaping. Staff feels that the request of the owner totaling $18,205.00 is reasonable. The owner's replacement of existing improvements will eliminate the City's contractor having to perform this work as part of the roadway project. Parcel H The City Council previously authorized staff to offer the appraised value of $17,700.00 for Parcel H to George and Carol Jenkins. The property owner has accepted. Staff recommends approval. JSL\jdr O:\AGE N DA\11-07-00\parr-bradford. doc October 31, 2000 (10:29AM) GENERAL GOVERNMENT CAPITAL PROJECTS Parr Road Widening Project The reconstruction and widening of Parr Road from Hall Johnson to Parr Park is to be constructed as a 2 -lane concrete roadway. Water system improvements include the construction of a 12" water line to help improve service to the southwest area of the City. This project also includes a hike and bike trail from Hall Johnson to the entrance of Parr Park. PROJECT SCHEDULE Begin End Design Feb -99 Sep -00 Right of Way Jun -00 Sep -00 Construction Dec -00 Dec -01 FISCAL IMPACT * To be reimbursed by current and future Water Impact Fees Operating budget impact includes the cost of periodic street sweeping, electricity for street lights, maintenance of road markings, sealing of joints in the pavement, maintaining hike and bike trail and parkways on both sides of the roadway, water to flush new lines, and yearly flushing using half the amount of water as the initial flushing. Projected Annual Operating Impact FY -2001 ;F'Y-2002 Budget Planned 'Y-2003 Planned FY -2004 Planned Total Project LTD Budget Planned Project IEx eluses 09/30100 FY -2001 FY -2002 FY -2003 Y-2004 FY -2005 Cost Design 218,458 59,542 Maintenance 1,901 2,980 7,357 278,000 Right of Way 9,750 208,850 1,974 1,974 1,974 7,2?0 218,600 Construction 1,608,000 821,843 0 Total $0 $3,2'19 2,429,843 Contingencies $9,331 $26,865 648,063 648,063 TOTAL: $228,208 $1,876,392 $1,469,906 $0 $0 $0 $3,574,506 Funding Source 55,458 403,207 458,665 1999 GO Bonds 2000 GO Bonds 1,473,185 1,169,906 2,643,091 Periphery Fees 172,750 172,750 1999 Utility Bonds * 300,000 300,000 TOTAL: $228,208$1,876,392 $1,469,906 $0 $0 1 $0 $3,574,506 * To be reimbursed by current and future Water Impact Fees Operating budget impact includes the cost of periodic street sweeping, electricity for street lights, maintenance of road markings, sealing of joints in the pavement, maintaining hike and bike trail and parkways on both sides of the roadway, water to flush new lines, and yearly flushing using half the amount of water as the initial flushing. Projected Annual Operating Impact FY -2001 ;F'Y-2002 Budget Planned 'Y-2003 Planned FY -2004 Planned FY -2005 Planned Total Personnel Expenses 0 Supplies 0 Maintenance 1,901 2,980 7,357 7,357 19,595 Services 1,348 1,974 1,974 1,974 7,2?0 Ca ital Outlay 0 Total $0 $3,2'19 $4,954 $9,331 $9,331 $26,865