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HomeMy WebLinkAboutPACKET MAY 16 2006 woftw tt�li city Of Beaunwnt REGULAR MEETING OF THE CITY COUNCIL COUNCIL CHAMBERS MAY 16,2006 1:30 P.M. CONSENT AGENDA * Approval of minutes Confirmation of committee appointments Pauline Mouton would be reappointed to the Martin Luther King, Jr. Parkway Commission. The current term would expire February 2, 2008. (Mayor Guy N. Goodson) Lynda Kay Makin would be reappointed as Vice Chairman of the Planning and Zoning Commission. The current term would expire January 31, 2007. (Mayor Guy N. Goodson) Lynda Kay Makin would be reappointed to the Planning and Zoning Commission. The current term would expire April 14, 2009. (Mayor Guy N. Goodson) A) Approve the waiver of penalty and interest on one tax account processed by the Jefferson County Tax Assessor-Collector's Office B) Approve the payment of an invoice for emergency roofing services performed subsequent to Hurricane Rita C) Approve a bid for asbestos abatement related to the structure located at 4225 Gohad D) Approve a resolution accepting maintenance of the street, storm sewer, water and sanitary sewer improvements in West Chase Village Subdivision, Section IV E) Approve a resolution accepting maintenance of the street, storm sewer in Pinebrook Place Unit Two, Phase 2 Subdivision • A City of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 12, 2006 REQUESTED ACTION: Approve the waiver of penalty and interest on one tax account processed by the Jefferson County Tax Assessor-Collector's Office. BACKGROUND Section 33.011 (a)(2) of the Property Tax Code was amended by HB 1604, 76h Tex. Leg., 1999, effective September 1, 1999 and states"the governing body of a taxing unit may waive penalties and provide for waiver of interest on a delinquent tax if the property for which the tax is owed is acquired by a religious organization that qualifies the property for exemption under Section 11.20 before the first anniversary of the date the religious organization acquires the property. A letter from the Tax Assessor-Collector is attached for your review. BUDGETARY E"ACT None. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager. ON CO 0 AIM" K. JOHNSON TAX ASSESSOR-COLLECTOR NETt E WILLIAMS TRUSS IE ON COUNTY COURTHOUSE SYLVIA E.MYBRS CHM DBP[IrY P.O.BOX 2112 BEAUMONT,TEXAS 77704 CHMP OPERATIONS MGR. 409-835-8316 FAX 409-835-6589 May 3, 2006 Kyle Hayes City of Beaumont P. O. Box 3827 Beaumont, TX 77704 RE: Account#062500-000/004900-00000 - Lot 2,Block 7 SUBURBAN ACRES Dear Mr. Hayes: Please place an item on your next Board agenda to consider and possibly approve the waiver of penalty and interest in the amount of$1,672.76, according to Sec. 33.011 (a)(2) of the Property Tax Code, for Freeway Baptist Church of Beaumont. The above mentioned section of the Property Tax Code was amended by HB 1604, 76th Tex. Leg., 1999, effective September 1, 1999 and reads as follows: Sec. 33.011. Waiver of Penalties and Interest. (a) The governing body of a taxing unit: (2) may waive penalties and provide for waiver of interest on a delinquent tax if the property for which the tax is owed is acquired by a religious organization that qualifies the property for exemption under Section 11.20 before the first anniversary of the date the religious organization acquires the property. This religious organization has met the requirements as stated in 33.011 (a)(2). The church remains liable for the full amount of delinquent levy as indicated on the Certified Tax Roll for the above referenced account. If you have any questions, please let me hear from you. incerel , L'7.19d MIRIAM K. JOHNSO Assessor-Collector of Taxes Jefferson County, Texas MKJ:tm Freeway Baptist Church-citybmt B M City of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 10, 2006 REQUESTED ACTION: Council consider payment of an invoice for emergency roofing services performed subsequent to Hurricane Rita. RECOMMENDATION Administration recommends payment in the amount of $29,907.14 to Wes Lochridge and Asssociates of Dallas, Texas for emergency roofing repairs provided at the Julie Rogers Theater. BACKGROUND The Julie Rogers Theater sustained significant water intrusion throughout the structure during Hurricane Rita, due to extensive damage to the roof system. The repairs provided by Wes Lochridge and Associates were temporary in nature, and were a stopgap measure to halt further water damage until a replacement roof system could be appropriately designed and installed. The new roof system is currently out for bid. The work was performed between December 22, 2005 and January 5, 2006 upon the recommendation of the City's insurance carrier. At the time, the extent of damage was unknown and payments to contractors could not be authorized until final settlements were processed by the City's insurance carrier. Remuneration by the insurance carrier has been made to the City, therefore, the City is responsible for compensating the contractor. BUDGETARY IMPACT Due to the nature of the damage, the expenditure will be funded by insurance settlement. e PREVIOUS ACTION None. Payment of Invoice for Emergency Roof Repairs-Julie Rogers Theater May 9, 2006 Page 2 SUBSEQUENT ACTION None. RECOMMENDED BY City Manager. c C i of Beaumont IL Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 8, 2006 REQUESTED ACTION: Council approval to award a bid for an asbestos abatement. RECOMMENDATION Administration recommends the award of a bid to fin-nish all labor,materials, supplies and equipment to remove all asbestos containing materials from the structure located at 4225 Goliad to Lynx Contractors of San Marcos, Texas in the amount of$28,800. BACKGROUND The commercial structure located at 4225 Goliad was determined to be a dangerous structure and condemned by Council on August 30, 2005. The structure's owner is deceased and the property has sustained fire damage since it was condemned. Criminal activities have also been reported at the site. Prior to the demolition of the building,an environmental survey must be conducted to determine the present of asbestos containing materials. Asbestos containing materials were detected and must be abated prior to demolition. Asbestos containing materials include 13,000 square feet of sheetrock, 360 square feet of ceiling tile, 7,342 square feet of floor tile and mastic, and 2,420 square feet of exterior transite panels. Additionally, the building contains an excessive amount of debris which must be removed by the successful contractor prior to removing the asbestos materials. The successful contractor will be responsible for the disposal of non asbestos containing materials as well as the proper disposal of asbestos containing materials. Asbestos Abatement- 4225 Goliad May 8, 2006 Page 2 Eleven bids were received on Thursday, May 4, 2006 and are as follow: Contractor Location Price Completion Time Lynx Contractors San Marcos, TX $28,800 8 days Clean Air Remediation Dallas, TX $37,499 12 days Arrow Services, Inc. Houston, TX $37,900 8 days Absolute Environmental Services Humble, TX $43,000 8 days Inland Environments Pt. Arthur, TX $43,800 14 days AAR Inc. Houston, TX $47,880 8 days Ponce Contractors Dallas, TX $48,000 8 days Olmos Abatement Austin, TX $48,744 8 days Assured Environmental Quality Nederland, TX $49,400 8 days Certified/LVI Environmental Houston, TX $59,229 8 days Services CST Environmental Houston, TX $68,800 8 days After the abatement,bids will be solicited for the demolition of the structure. BUDGETARY IMPACT Funds for this project are available from Community Development Block Grant. PREVIOUS ACTION Building Condemnation by Council on August 30, 2005. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Public Works Director. D Cit y of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Tom Warner, Public Works Director MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 8, 2006 REQUESTED ACTION: Council consider a resolution accepting maintenance of the street, storm sewer, water and sanitary sewer improvements in West Chase Village Subdivision, Section IV. RECOMMENDATION Administration recommends approval of the following: • Amberwood Drive from the existing end of concrete pavement approximately 707 linear feet north to and including the Cul de Sac. • Devonshire Drive from the proposed Amberwood Drive approximately 148 linear feet east to the 3-OM-4P end of roadway markers. • Cobblestone Court from the proposed Amberwood Drive Cul de Sac approximately 155 linear feet west to the existing end of concrete pavement. Also, recommended for approval are the water and sanitary improvements for Lots 13-20, Block 6; Lots 14-20, Block 7; and Lots 1-3, Block 9. BACKGROUND The aforementioned improvements in the subdivision passed final inspection from all entities involved on April 19, 2006. BUDGETARY IMPACT None. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Public Works Director. N` A pRi� � 5 Cliase Cr Sect1A 2 _ o � � a z BLIIE� •. z umvt ,yova°� F�agers P MARSHALL Park. ° 3 o GLADYS U a GR WO a (` o li KWQQ WSJ) CH RRYYIo D WLDER ZE O°. E�FcbOW _ NfESiGA. STGAIE .. l7RLtNGON � e qro 00 ? a w Country BLARNEY o O 0 SS pAON Club WEAVER < M -.. HEN DOAfl � w SHILOH v 00 00: VftNGEIJ I $ O COWER SHIRE VICINITY .MAP N TS WEST CHASE VILLAGE SECTION IV S SUBDIVISION E City of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Tom Warner, Public Works Director MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 10, 2006 REQUESTED ACTION: Council consider a resolution accepting maintenance of the street, and storm sewer in Pinebrook Place Unit Two, Phase 2 Subdivision. RECOMMENDATION Administration recommends approval of the following: Jenard Lane from the existing end of concrete pavement approximately 714 linear feet north to the 3-OM-4P end of roadway markers. The water and sanitary improvements for Lots 6-17, Block 4 and Lots 4-15, Block 5, has been accepted by the City for maintenance in Pinebrook Place Unit Two, Phase 1. BACKGROUND The aforementioned improvements in the subdivision passed final inspection from all entities involved on May 2, 2006. BUDGETARY IMPACT None. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Public Works Director. MAIDA y a KENNET I cri G m PROJECT PPN LOCATION GARNER. �o� x W CASTE CHARLES a Morgan w P4 PICADILLY r VAMES w o o pE1HgER a McNALE � 3 AMILTON a cO,y� o ZAARGO LUCAS LANDR O R Q ODOM w C v" �s S Q NA SO x m `✓ '� '� PI I a U SU HA A VICINITY MAP " ` YNN HAYES ES BEAUMONT, TEXAS HYSR PINEBROOK PLACE UNIT TWO, PHASE 2 SUBDIVISION City of Beaumont �• Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Tom Warner, Public Works Director MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 4, 2006 REQUESTED ACTION: Council consider a resolution authorizing eminent domain proceedings to acquire property along the northeast right of way line of the Santa Fe Railroad line between Cottonwood Street and Caldwell Street, for a fifteen foot(15')water line easement. RECOMMENDATION The property owners listed below could not be located and as a result have not accepted the appraised value for their property. All properties were appraised by Bishop Real Estate Appraisers: 1) 2,850 square foot tract out of City Plat D-11, Tract 44, A. Williams Survey Appraised Value: $2,500 Owner: Emily Ann Clifton 2) 2,100 square foot tract out of City Plat D-11, Tract 7, A. Williams Survey Appraised Value: $2,500 Owner: Estelle A. Gallier 3) 2,100 square foot tract out of City Plat D-11, Tract 5, A. Williams Survey Appraised Value: $500 Owner: Ethel Levine 4) 2,550 square foot tract out of City Plat D-11,Tract 43 out of Tract 6A,A. Williams Survey Appraised Value: $525 Owner: Jimmy Mason Administration recommends authorization to acquire the above properties by eminent domain. BACKGROUND The easements are to be used specifically to accommodate the installation of a thirty-six inch(36") water transmission line along the northeast right of way line of the Santa Fe Railroad line between Cottonwood Street and Caldwell Street. BUDGETARY IMPACT This project is funded under the Capital Improvement Program. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Public Works Director. engbnsf ed4b.wpd 4 May,2005 UNE BEARING ;I CE ETCH SHOWING t N 5442'59'E oo \ PROP. 15 FT. UTILITY EASEMENT 2 S 35'25'17'E .44' \ OUT of 3 S 55.40'51'W 72' \ A PART of 4 N 35'28'17'W .06' THE CITY of BEAUMONT PLAT D1 1 5 S 35'26'17 E e7 in THE 6 N 8640'51'E 72' \ A. WILLIAMS SUJRVEY 7 S 3528'17'E 354.34' / Q JANUARY 2006 a s 6640'51'W 17.72' O -TRACT NUMBERS 9 —;'35-28-9-W 354.34' Prepared b : Schaumburg 6L Po Inc. -- Schau g Polk, LT3N0 SNOI CON9V / F 8885 College Street Hesumont, Texas 77707 (409)688-0341 TOTAL vAs,,ENT ARC„ 0236 ACRE All" 49 I o I 5 I- 3a 2)ESTELLE GALLIER / //1)EMILY ANN CLIFTON O 3)ESTHER LEVINE ----------}--- / - -----7�J�/�- ,' I /[GL j�LG� ss[LL�GLG %��LL�LL!/llllll��Ull�� j / PROPOSED 15 FT. 4)JIMMY MASON WATER LINE EASEMENT P.O.B. BURLINGTON NORTHERN R.R. (EXISTING 100'R.O.W.) I V~ City of Beaumont REGULAR 1<'IEETING OF THE CITY COUNCIL COUNCIL CHAMBERS MAY 16, 2006 1:30 P.M. AGENDA CALL TO ORDER * Invocation Pledge Roll Call * Presentations and Recognition * Public Comment: Persons may speak on scheduled agenda items 1-9/Consent Agenda * Consent Agenda GENERAL BUSINESS S1. Consider authorizing the City Manager to execute a Lease and Management Agreement with the Jefferson Theatre Limited Partnership 2. Consider a request for an appeal of the decision of the Historic Landmark Commission on its denial of a carport at 2501 Hazel 3. Consider a request for an appeal of the decision of the Historic Landmark Commission on its denial of paint colors on the house located at 2270 Hazel 4. Consider authorizing the City Manager to increase the Water Line Replacement for North Street From 1101 Street to 6" Street Project amount for"extra work" 5. Consider approving a one(1)year contract for the purchase of ready mix concrete and cement stabilized base 6. Consider approving a bid for a fuel management contract 7. Consider authorizing the City Manager to renew the contract with Beaumont Wings, Inc. for operation of the Beaumont Municipal Airport 8. Consider approving a contract for wireless data access services 9. Consider approving a contract to purchase wireless data communication equipment WORKSESSION * Review and discuss the City of Beaumont's Emergency Preparedness Plan COMMENTS * Councilmembers/City Manager comment on various matters * Public Comment (Persons are limited to 3 minutes) Persons with disabilities who plan to attend this meeting and who may need auxiliary aids or services are requested to contact Lenny Caballero at 880-3716 three days prior to the meeting. ! 1 May 16, 2006 Consider authorizing the City Manager to execute a Lease and Management Agreement with the Jefferson Theatre Limited Partnership 117Ej7!j City of Beaumont Council Agenda Item A - E g TO: City Council FROM: Kyle Hayes, City Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 12, 2006 REQUESTED ACTION: Council consider authorizing the City Manager to execute a Lease and Management Agreement with the Jefferson Theatre Limited Partnership RECOMMENDATION Administration recommends approval of authorizing the City Manager to execute the Lease and Management Agreement. BACKGROUND The Board ofDirectors for the Jefferson Theatre Preservation Society has requested that the City of Beaumont consider taking over the operation and management duties of the Theatre. The Theatre was fully restored nearly three years ago with the cost of the renovation totalling approximately$6 million, $2 million of which came from Section 108 funds which are being repaid by the City of Beaumont over a 20-year period using Community Development Block Grant funds. The Jefferson Theatre is owned by a limited partnership which acts as the Landlord for the building. The Preservation Society is the tenant who currently operates the Theatre. Due to tax credits used as a part of the renovation effort, the ownership of the Theatre cannot change for a period of 66 months commencing from the time the renovation was complete in November of 2003. Therefore, the ownership of the Theatre would remain as is until June 2009. The attached agreement is for a one-year period with an option to renew and would commence immediately if approved by the Council. Once the tax credit period expires,the Limited Partnership would grant the City the right of first refusal to purchase the Theatre for one dollar. The City's Convention Facilities Division currently manages the activities of the Civic Center, Julie Rogers Theatre, Harvest Club, Fair Park Coliseum and Riverfront Park. The City has box office, technical and maintenance staff on the payroll as well as equipment used to stage a production. The City would also help preserve the historic Theatre while ensuring that the $2 Million City investment is carried out as intended. BUDGETARY IMPACT The budget for the Convention Facilities Division is$860,000 for FY 2006. The net cost for the City to assume operations and maintenance of the Jefferson Theatre is estimated to be an additional $100,000 per year. It should be noted that any emergency maintenance repairs which may occur,and are not budgeted for,will be the responsibility ofthe City. The City does not anticipate assuming any debt or outstanding bills. The Purchasing Division believes the Theatre can be insured as a part of the City's insurance policy with a minimal cost. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager. ��ersen C�ie�tre � P.O. Box 1229,Beaumont,Texas 77704-1229 • 345 Fannin, Beaumont,Texas 77701 ,r 409.835.LIVE(5483) • 409.835.1248 Fax • www.jeffersontheatre.org `t fact Carolyn Johnson, Theatre Manager -Ic�? yor Oka April 20, 2006 00 Mayor Guy Goodson Beaumont City Council City Manager Kyle Hayes Dear City Leaders, Eight years ago the Jefferson Theatre Preservation Society undertook the mammoth task of restoring this wonderful 1927 jewel of a performance venue. We raised$6 million dollars, two million of which came from federal dollars provided by the City of Beaumont, and almost three years ago the fully restored theatre was reopened for public enjoyment. The IJefferson Theatre has provided great entertainment and a community venue for public rental that has added greatly to this city's quality of life. 'efferson Theatre The theatre has been managed since its opening by a California company -reservation Society under the supervision of the Preservation Society Board. The Society has Board of Directors sponsored three seasons of performances, attempting to build a season Roy Steinhagen ticket support base of 500 ticket holders. Last year's season ticket sales and President Nancy Beaulieu the major fund raiser for the theatre season were interrupted and/or Via President cancelled by Hurricane Rita, and we have been unsuccessful in maintaining Mn Creswell our momentum at a level that will support another season of performances, Past President Richard Funchess or even basic theatre operation. Treasurer Linda Pate At this point in time, the hurricane damage sustained by the Jefferson Secretary Joan Hataway Theatre either has been repaired or, in the case of the Robert Morgan Volunteers Wonder Organ, is under repair. Insurance money is available to take care of Janie Hill these expenses. We have completed the season we undertook for 2005- Programming/I'icket Sales Barbara Knight 2006, but now find ourselves without the financial ability to underwrite Grants another season nor, in fact,to continue to fund the utility and staff expenses Eric Meadows associated with the Jefferson Theatre in its current configuration much Film Gwen Mercer beyond the end of this month. Cultural Growth Nell McCallum Morris It is our urgent request that the City of Beaumont consider at its earliest Fundraising Dan Parker convenience taking over operation of the Jefferson Theatre. The city Theatre Operations already has the necessary technical and management staff, the equipment Torchy Salter and the expertise to operate a theatre, and there would be an economy of Sponsorship 'red Simon scale in combining the operation of the Julie Rogers and the Jefferson. City .Aembership management would also protect the $2 million dollar investment the city Lulu Smith has already made in the future of the Jefferson Theatre. Building Preservation Floyd Broussard,ex-officio Charles Ege,ex-officio Mildred Hall,ex-officio Mayor Evelyn Lord,ex-officio The Preservation Society is still firmly committed to its original mission: Preserving the Jefferson Theatre in its restored condition and providing quality entertainment for the citizens of Beaumont. We have learned, however, that theatre operation is not what we do best. Our hope is to be able to serve the city in an advisory capacity as the Jefferson Theatre continues to remain open and available to the people of Southeast Texas. We will make ourselves available, and look forward to answering any questions you might have concerning this request, and we thank you in advance for your consideration of this important proposal. Sincerely, 44 4 '� I Janie Hill, President Roy Steinhagen, Past President ! 2 May 16, 2006 Consider a request for an appeal of the decision of the Historic Landmark Commission on its denial of a carport at 2501 Hazel i 1170171 City of Beaumont IN 1COMIKIVE0102MIMM Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Tom Warner, Public Works Director MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 8, 2006 REQUESTED ACTION: Council consider a request for an appeal ofthe decision ofthe Historic Landmark Commission on its denial of a carport at 2501 Hazel RECOMMENDATION The Administration recommends denial of the request for an appeal of the decision of the Historic Landmark Commission on its denial of a carport at 2501 Hazel. BACKGROUND On April 10,2006,the Historic Commission denied a request for a certificate of appropriateness that would allow a metal carport at 2501 Hazel. Yvonne Sharpton had a nonconforming metal carport/storage room constructed without a certificate of appropriateness or a building permit. The carport actually extends into the street right-of-way. The carport is located where a lawfully nonconforming beauty shop and lean-to carport originally sat. The beauty shop and carport were destroyed during Hurricane Rita. Sec. 30-21.2 of the Zoning Ordinance states that accessory buildings must be compatible with the scale, shape,roof form,materials,detailing and color ofthe main building. Accessory buildings must have pitched roofs. Prefabricated metal accessory buildings are permitted in a rear or side yard if they are completely screened from view from any abutting street. The Zoning Ordinance states that in an historic district,a lawful nonconforming building or structure destroyed by an act of God may be rebuilt at the same location as long as the building does not increase whatsoever the degree of nonconformity. However, it is the determination of the Planning Manager that the degree of nonconformity has increased and therefore must receive approval by the Historic Landmark Commission or, upon appeal, by City Council. BUDGETARY IMPACT None. PREVIOUS AC'T'ION At a regular meeting held April 10, 2006, the Historic Landmark Commission voted 9:0 to deny the carport. SUBSEQUENT ACTION None. RECOMMENDED BY Historic Landmark Commission,City Manager, Public Works Director and the Planning Manager. Yvonne Sharpton 2501 Hazel Street ^ .F ►�.�;� Beaumont, TX 77702 April24, 2006 APR 2.4 2006 City of Beaumont Planning Division P.O. Box 3827 Beaumont, TX 77704-3827 I am asking permission to allow me keep the structure in question that is located at the corner of Ninth-and Hazel Streets, at 2501 Hazel Street. This structure was built on the space and was not pre-fabricated. This carport faces Ninth Street. I propose to pull the structure back-off the city easement and to paint it as close to the house color as possible. The structure is 12x26 and built- of the.same materials as the previous structures. The driveway is of crushed limestone rock which was used by the city for their repairs: I 1975, in keeping,with zoning requirements at that time, a beauty shop and carport were built on this space and they'were of the same materials as this new structure. Hurricane Rita.destroyed the building, and due to Historical District codes,I am unable to rebuild this shop. Therefore, I have lost.-my primary means,of livelihood. As.a result, my means are,very limited. I have already spent$2,400 on the carport. The beauty shop was uninsured and I r have suffered a very significant loss. I am a widow and, due to my health; have only been"able to work three days,a week. Other repairs need to be made, and as you know, it has been very difficult to find workers since the hurricane. request that you accept this proposal and'grant'an additional four months for completion. I believe that it will take this amount of time to have the permit approved and find cost-effective, competent workers. I agree with the Oaks Historical District's goals of keeping the area neat, clean, and appropriate in appearance. However, with these,efforts, we need to be reminded to be considerate of the people who have made this area their home for many years. Also, in the aftermath of Hurricane Rita, an extra degree of consideration is needed. Thank you, Z�110/ULQ�!Q/1�4/t "4 r: f f Ai.- �. a Im { G 3 i - . �"� ...-_^.-, �k�..ti-:='�.•�._:�DTs: _ ^�rH,,,�s �: u ORDINANCE NO. ENTITLED AN ORDINANCE TO APPEAL THE DECISION OF THE HISTORIC LANDMARK COMMISSION FOR THE PROPERTY LOCATED AT 2501 HAZEL STREET, BEAUMONT, JEFFERSON COUNTY, TEXAS. WHEREAS, Yvonne Sharpton made a request for a certificate of appropriateness to allow a pre-fab metal carport/storage building for property located at 2501 Hazel Street, Beaumont, Jefferson County, Texas; and, WHEREAS, after conducting a public hearing and hearing the evidence concerning the application, the Historic Landmark Commission voted to deny the request; and, WHEREAS, pursuant to the ordinances of the City of Beaumont, the applicant, Yvonne Sharpton, has filed an appeal of the decision of the Commission to the City Council for the City of Beaumont. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF BEAUMONT: THAT the Council considered the request of Yvonne Sharpton for an appeal of the decision of the Historic Landmark Commission to deny a certificate of appropriateness to allow a pre-fab carport/storage building on property located at 2501 Hazel in Beaumont, Texas. The Council, after considering the request,the evidence provided in support of the request and the staff response finds and determines that the request should be granted/denied. PASSED BY THE CITY COUNCIL of the City of Beaumont this the 16th day of May, 2006. - Mayor Guy N. Goodson - • 3 May 16, 2006 Consider a request for an appeal of the decision of the Historic Landmark Commission on its denial of paint colors on the house located at 2270 Hazel 117LJ711 L City of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Tom Warner, Public Works Director MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 8, 2006 REQUESTED ACTION: Council consider a request for an appeal of the decision of the Historic Landmark Commission on its denial of paint colors on the house located at 2270 Hazel RECOMMENDATION The Administration recommends denial of the request for an appeal of the decision of the Historic Landmark Commission on its denial of paint colors on the house located at 2270 Hazel. BACKGROUND On April 10,2006,the Historic Commission denied a request for a certificate of appropriateness that would allow the colors that Conni Rogers painted her house. The main body of the house and the trim were painted two shades of blue. No certificate of appropriateness was applied for or approved prior to painting the house. Sec. 30-21.2 of the Zoning Ordiance states that property owners shall use a dominant color that complies with the officially adopted Acceptable Color Range. Any dominant color that is not within the officially adopted Acceptable Color Range must be reviewed and approved by the Historic Landmark Commission based upon their appropriateness to and compatibility with the structure, blockface and the historic district. Ms.Rogers states that she had the two shades of blue in mind for well over a year and was not aware that the colors were inappropriate with the Historic District guidelines. She says that she is financially unable to repaint the house. BUDGETARY IMPACT None. PREVIOUS ACTION At a regular meeting held April 10, 2006, the Historic Landmark Commission voted 8:0:1 to deny the paint colors. SUBSEQUENT ACTION None. RECOMMENDED BY Historic Landmark Commission, City Manager, Public Works Director and the Planning Manager. 4/18/2006 To City Council: RE: CA-1164 My name is Conni Rogers. In April 2Q02 I was blessed to become the privileged property owner of 2270 Hazel,Bmt, Tx. I was delighted. The house was nearly new,built in 1§98, was at a reasonable price, and was in a great neighborhood. In February of 2006, I had my house painted. I was totally unaware of needing to obtain pre-approval or to what I've since learned is called a"Certificate of Appropriateness". There is no mention of any rules due to living in the .Oaks Historic District in any of my house papers nor has anyone ever mentioned anything. I do not wish to make trouble or create any problems,however I must appeal your denial and ask for your reconsideration. I am the sole provider for the household. My roommate is disabled. I work as a waitress at Waffle House. My total gross income for last year was $4,162 (not including change). When I bought this house I knew right away I wanted to paint it someday. I have been saving all my change (pennies,nickels, dimes, and quarters) from waitressing for 4 years to pay to have my house painted. I cannot tell you how many trips I have made with my mayonnaise jar full of coins to the coinstar at Kroger's. I had two major surgeries in the summer of 2005 which I still owe thousands for. I am on food stamps and struggling to make ends meet. I chose the colors I did because I felt it would compliment my beautiful green lawn. I have had the two shade blue idea in my minds eye for well over a year not knowing it was inappropriate because of the Oaks Historic rules. I even planted flowers(which have unfortunately since been claimed by Hurricane Rita)and purchased blue solar lights to correlate with a blue house. I have had many compliments on the house since it has been painted. Including neighbors, friends, strangers, and ironically,the postman who delivered the first letter from you. I take great pride in my house and its appearance. My yard is always very well kept and maintained. When I painted the house the colors I did, I'was trying to improve the look of my property as well as the neighborhood. I am financially unable to repaint my house. I have heard only positive remarks about the colors I chose. I would be very grateful for your compassionate reassessment on the denial of my paint color. Thank-You for your time and consideration, Conni Rogers �,. a .,rs{ �.yey„R,H - •• .' '=fi "fii`:BWmJa WAS ,� AV h V � i I � V !v r h ��A • ' ti� •rye .5�. r X _ ORDINANCE NO. ENTITLED AN ORDINANCE TO APPEAL THE DECISION OF THE HISTORIC LANDMARK COMMISSION FOR THE PROPERTY LOCATED AT 2270 HAZEL STREET, BEAUMONT, JEFFERSON COUNTY, TEXAS. WHEREAS, Conni Rogers made a request for a certificate of appropriateness to allow certain paint colors on her house located at 2270 Hazel Street, Beaumont, Jefferson County, Texas; and, WHEREAS, after conducting a public hearing and hearing the evidence concerning the application, the Historic Landmark Commission voted to deny the request; and, WHEREAS, pursuant to the ordinances of the City of Beaumont, the applicant, Conni Rogers, has filed an appeal of the decision of the Commission to the City Council for the City of Beaumont. NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF BEAUMONT: THAT the Council considered the request of Conni Rogers for an appeal of the decision of the Historic Landmark Commission to deny a certificate of appropriateness to allow the paint colors to remain on her house located at 2270 Hazel Street, Beaumont, Texas. The Council after considering the request, the evidence provided in support of the request and the staff response finds and determines that the request should be granted/denied. PASSED BY THE CITY COUNCIL of the City of Beaumont this the 16th day of May, 2006. - Mayor Guy N. Goodson - 4 May 16, 2006 Consider authorizing the City Manager to increase the Water Line Replacement for North Street From I Vh Street to Ob Street Project amount for"extra work" f ti7sij City o Beaumont Council Agenda Item M - K� TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Hani J. Tohme,Water Utilities Director MEETING DATE: Tuesday May 16, 2006 AGENDA MEMO DATE: Tuesday May 9, 2006 REQUESTED ACTION: Council approval of a resolution authorizing the City Manager to increase the Water Line Replacement for North Street From 11 u Street to 6"`Street Project amount for "extra work.". RECOMMENDATION Administration recommends approval of increasing the Water Line Replacement for North Street From I Vh Street to 6t'Street Project by$60,995.00 to authorize Brystar Contracting,Inc to install water taps at the intersections of North Street and 1111, 10th, 9th, 8th and 6' Streets along with 107 service line connections. The proposed extra work will represent an increase of 15.70 percent of the original contract amount. The total of all of the extra work to date,including this proposed recommendation,will represent 15.70 percent of the original contract amount BACKGROUND The existing water lines and taps were built in the 1950's have deteriorated and require replacement. The primary goals of the project are to restore the integrity of the water lines, increase pressure, and provide customers with uninterrupted and adequate service. BUDGETARY IMPACT Funds for the project are available in the Water Utilities Non-Operating Fund, PREVIOUS ACTION Resolution 05-249 in the amount of$388,610 was passed by City Council on November 29,2005. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Water Utilities Director. i APPROVAL OF CONTRACT CHANGE Change Order No. 1 Date:May 9,2006 Project: City of Beaumont Water Line Replacement for North Street From I I'h Street to 6'h Street Project Owner: City of Beaumont P.O.Box 3827 Beaumont,Texas 77704 Contractor: Brystar Contracting,Inc. 8385 Chemical Road Beaumont,Texas 77705 To the Owner. Approval of the following contract change is requested. Reason for Change:To increase the contract amount for"extra work"performed by the Contractor to install water taps at the intersections of North Street and 11'h, I CO, 9'h, 8th and 6`h Streets along with 107 service line connections. ORIGINAL CONTRACT AMOUNT $388,610. THIS CHANGE ORDER: Description Net Change Install tap at the intersection of North and 11'h Street. $5,820a Install tap at the intersection of North and 10'h Street. $6,180. Install tap at the intersection of North and 9'h Street. $5,800. Install tap at the intersection of North and 8'h Street. $6,290. Install tap at the intersection of North and 6'h Street. $5,875. Install 107 service line connections. $31,030. TOTAL AMOUNT OF THIS CHANGE ORDER: 6S 0.995. TOTAL REVISED CONTRACT AMOUNT INCLUDING THIS CHANGE ORDER: 445 9,605. CONDITION OF CHANGE: "Contractor acknowledges and agrees that the adjustments in contract price and contract time stipulated in this Change Order represents full compensation for all increases and decreases in the cost of,and the time required to perform the entire work under Contract arising directly or indirectly from this Change Order and all previous Change Orders. Acceptance of this waver constitutes an agreement between Owner and Contractor that the Change Order represents an all inclusive,mutually agreed upon adjustment to the Contract,and that Contractor will waive all rights to file a claim on this Change Order after it is properly executed." Recommended By: Approved By: Accepted By: Hani Tohme,P.E. City of Beaumont Brystar Contracting,Inc. Water Utilities Director Owner Contractor Date: Slyfti Date: Date: 5 May 16,2006 Consider approving a one(1)year contract for the purchase of ready mix concrete and cement stabilized base ...... City of Beaumont �• Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 9, 2006 REQUESTED ACTION: Council approval of a one(1)year contract for the purchase of ready mix concrete and cement stabilized base. RECOMMENDATION Administration recommends award of a one (1) year contract for purchasing ready mix concrete to Transit Mix Concrete of Beaumont; and to APAC-Texas, Inc. for purchasing cement stabilized base, at the prices highlighted in the attached bid tabulation. BACKGROUND The contract specifies that the successful bidders shall provide ready mix concrete and cement stabilized base at fixed unit costs for one (1) year from the date of award. The material will be used by both the Water Utilities and Public Works Departments. Ready mix concrete pricing was requested for both delivery to job site, with subsequent additional charges per occurrence for deliveries of less than 5 cubic yards, and for City pickup of material at the plant site. Depending upon the application, the departments may need a different texture concrete than the 3,000 PSI with 1" aggregate specified in the bid. Bidders have included an addition or deduction amount per sack for finer or coarser concrete, respectively. Five (5) vendors were notified with three (3) submitting bids as reflected in the attached bid tabulation. Annual Contract for Ready Mix Concrete and Cement Stabilized Base May 9, 2006 Page 2 BUDGETARY IMPACT The approximate expenditure anticipated for the contract term is $205,850. Funds are available for this expenditure in the departments' respective operating budgets. The expenditure for the prior contract year was approximately $162,000. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager, Public Works Director and Water Utilities Director. BID TABULATION: ANNUAL CONTRACT FOR READY MIX CONCRETE AND CEMENT STABILIZED BASE BID NUMBER: RF0306-42 Vendor Transit Mix Concrete& Material Quality Concrete& Materials Apac-Texas, Inc. City/State Beaumont,TX Beaumont, TX Beaumont, TX Fax Number _ 409.654.3312 409.842.9393 409.866.1032 Unit Price Ext. Price Unit Price Ext. Price Unit Price, Enid Price 3,000 PSI concrete-delivered to job site $72.00 1cu yd. $64,800.00 $78.00/cu yd $70,200.00 I no bid Add or Deduct per sack at the rate of: $5.00 1sack n/a n/a n/a no bid Delivery charge for a partial load, 1/4-2 cu/yd $75.00 1load $4,500.00 $75.00/load $4,500.00 no bid Delivery charge for a partial load, 2-1/4-4 -3/4 cu/y $75.00 1load $6,750.00 $75.00/load $6,750.00 no bid 3,000 PSI concrete-City pickup at plant site $62.00/cu yd. $24,800.00 $68.00/cu yd $27,200.00 I no bid TOTAL $100,850.00 $108,650.00 1 no bid Section III Vendor Transit Mix Concrete & Material Quality Concrete& Materials pac-Texas, Inc. City/State Beaumont, TX Beaumont, TX Beaumont,TX Fax Number 409.654.3312 409.842.9393 409.866.1032 Portland Cement Treated Base: $26.45/ton $34.50/ton $21.00/ton Location of Plant: 1250 Florida Ave. 025 Highland Ave. &2155 N. 7t 860 Pine St. • 6 May 16,2006 Consider approving a bid for a fuel management contract • �► City of Beaumont Council Agenda Item c g TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 10, 2006 REQUESTED ACTION: Council consider award of a bid for a fuel management contract. RECOMMENDATION Administration recommends awarding a bid for a three (3) year fuel management contract to various vendors as reflected in the attached bid tabulation. BACKGROUND G OUND The bid separates the fuel management system into three (3) elements: • Section I requires the vendor to provide fuel and fuel cards(with associated accounting and reporting responsibilities on the part of the vendor)for use by City employees at the City's automated fueling locations and at vendor-supplied retail locations throughout the City. • Section II is the provision of bulk fuel to the City's non-automated fueling locations: Water Utilities, Water Reclamation, Loeb Water Well, Fire Stations 1, 4, and 10, and the Fire Training Grounds. • Section III is for fuel delivery to the City during periods of declared emergency. The City's fleet fueling system consists of two (2) major fuel dispensing centers located on Lafin (30,000 gallon capacity) and Concord (20,000 gallon) Roads. These automated dispensing centers provide drivers of City vehicles and equipment with gasoline and diesel fuel. A fuel card is issued to each vehicle and each employee authorized to drive a vehicle is given a secure Personal Identification Number (PIN) for access to the system. A cardreader at the sites electronically retrieves information, such as the employee's name, vehicle unit number, fuel type, fuel quantity, mileage or hours, gallons dispensed and transaction date and time when fuel is dispensed. This information is collected electronically from both sites and uploaded to the fleet Annual Contract for Fuel Management May 10, 2006 Page 2 system software providing fuel and usage history for each vehicle or equipment unit. A tank monitoring system at each site also retrieves data related to the maintenance of the fuel inventory for upload to the fleet software. Bid specifications request a vendor to provide fuel cards, fuel to the City's automated sites, and access to off-site retail fueling locations, while providing the City with detailed transaction information as described above. The awarded vendor shall be responsible for performing and reporting inventory control tests as required by the Texas Commission on Environmental Quality (TCEQ). The vendor will be compensated for fuel provided as it is dispensed to City vehicles, following submission of the required usage reports and invoice. The estimated annual fuel usage for this section of the contract is 180,000 gallons of gasoline, and 245,000 gallons of diesel. The expenditure for Section I for the prior contract year was approximately $1,555,000. The bid received from Fleetcor Technologies for Section I is $0.129 per gallon above the published Oil Price Information Service (OPIS) weekly average price for markets in the south central section of the United States. Fleetcor held the previous fuel contract for automated sites at a cost of$0.0575 above OPIS. That pricing had held firm for a five (5)year period, and rising transportation and distribution costs in recent years necessitated a significant price increase over the previous contract for the vendor to keep pace. Section II of the contract requests a vendor to provide bulk fuel delivery to the City's non- automated(no cardreading devices or employee ID system) fueling sites as described above. The estimated annual usage at the non-automated sites is 12,000 gallons of gasoline, and 90,000 gallons of diesel. The vendor is compensated for the fuel delivered after the fuel is off-loaded into City tanks. The fuel is dispensed at the City locations by appropriate division personnel for use in City vehicles. The only bid received for this section of the bid was from Tri-Con, at $0.086 per gallon above the OPIS weekly average for gasoline and diesel tankwagon delivery, and $0.0272 above OPIS for diesel transport delivery. The expenditure for Section II for the prior contract year was approximately$230,000. Tri-Con has successfully held the contract previously. Section III of the contract provides for fuel delivery to City tanks during periods of declared emergency. Three (3) vendors have provided bid pricing as described in the attached tabulation. The vendors are from Beaumont, Houston, and Broussard, Louisiana, which will provide the City with fuel delivery resources from east and west of Beaumont. This should serve to protect the City's capability to obtain fuel in the event of a weather emergency. The City will issue a letter of intent to each of the bid respondents for emergency fuel delivery indicating the bidder's stated pricing, and reiterating the City's intent to purchase fuel at said pricing during periods of emergency (subject to each vendor's capacity to deliver). The City shall have discretion to utilize the fuel vendor it deems most advantageous during an emergency, and shall not be restricted to purchasing from any of the three (3) respondents. Annual Contract for Fuel Management May 10, 2006 Page 3 BUDGETARY IMPACT Funds are provided in the Fleet Maintenance Division's operating budget. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager. � s ! BID TABULATION FOR FUEL MANAGEMENT SYSTEM BID NUMBER: RF0306-41 SECTION I -Fees for Fuel Dispensed from Automated Sites (above OPIS weekly average price) Vendor Fleetcor Technologies City i State Norcross,GA Fax No. 704-853-1945 Unleaded 87 Octane $+.129/gal Diesel $+.129/gal Brand or Trade name No brand posted SECTION II -Fees for Fuel Delivery to Non-Automated Sites (above OPIS weekly average price) Vendor Tri-Con Inc. City/State Beaumont,TX Fax No. 409-838-1925 Tankwagon Unleaded 87 Octane $+.086/gal Diesel $+.086/gal Transport Unleaded 87 Octane N/A Diesel $+.0272/gall Brand or Trade name ExxonMobil or Chevron Texaco J SECTION III -Fees for Emergency Fuel Delivery(all fees above OPIS daily average price on delivery date) Vendor Tri-Con Inc. Sun Coast Resources, Inc. Macro Oil Co. City/State Beaumont,TX Houston,TX Broussard, LA Fax No. 409-838-1925 713-844-9635 337-839-5006 Vendor Margin/Gallon $+.015/gal $+.020/gal $+.10/gal Delivery charge per gallon per mile $+.05/mile N/A N/A Delivery charge per truck per hour $+75.00/hour $+250.00/hour _ $+ 150.00/hour 7 May 16, 2006 Consider authorizing the City Manager to renew the contract with Beaumont Wings, Inc. for operation of the Beaumont Municipal Airport 179'_1~ Cit y of Beaumont 1f Council Agenda Item A C TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Jim Thompson, Special Projects Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 11, 2006 REQUESTED ACTION: Council authorize the City Manager to renew the contract with Beaumont Wings, Inc. for operation of the Beaumont Municipal Airport. RECOMMENDATION The Administration recommends renewing the contract with Beaumont Wings, Inc. (BWI) for ten (10)years as the Fixed Base Operator(FBO) at the Beaumont Municipal Airport. BACKGROUND On January 25, 2000, City Council approved the sale of BWI and assignment of the existing FBO contract to Gary Giarraputo. The previous owner,whose participation began in 1991, asked to be released from his obligations due to health problems. The current contract expires March 31, 2007. Mr. Giarraputo is requesting that the agreement be renewed under the same terms and conditions for a period of ten (10) years, with an option for an additional five (5)years, subject to mutual agreement at that time. Beaumont Wings has six (6) full-time employees, including three (3) licensed aircraft mechanics who provide maintenance and repair services at an on-site shop. This shop was built by Mr. Giarraputo on airport property and is under lease with the City of Beaumont until 2031. The company,run by owners Gary and Barbara Giarraputo,has established a good working relationship with the aviation community. BWI has sufficient aircraft and refueling equipment to continue to successfully serve the needs of the community. The renewal of this contact will allow the FBO to revise his business plan and seek the financing needed for an additional airplane to be used to provide flying lessons and a refueling truck. Renew FBO Contract/Beaumont Wings. Inc. May 11, 2006 Page 2 Since his affiliation with the City,the staff has been very satisfied with Mr.Giarraputo's dedication, performance and cooperation. Mr. Giarraputo is optimistic about the potential that exists at the airport and wants to continue to build his business. He has assisted the City on various projects and is participating in the Airport Development Plan which is currently underway. BUDGETARY IMPACT None. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY Recommended by the City Manager. 8 May 16, 2006 Consider approving a contract for wireless data access services MONK f..ON Cit y of Beaumont Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 9, 2006 REQUESTED ACTION: Council authorization to participate in a contract for wireless data access services. RECOMMENDATION Administration recommends participation in a two (2)year contract with Cingular Wireless for the purchase of wireless data access services at the rate of$49.59 per month per mobile computer plus an activation fee of$2,995 through the State of Texas Cooperative Purchasing Program, TEX-AN 2000. BACKGROUND The City's recent public safety communications system upgrade included the purchase of approximately 146 mobile computers installed in Police, Fire, and EMS vehicles. Each mobile computer requires an air card and wireless high speed data access services in order to function within the wireless communication system. TEX-AN 2000 contracts provide all Texas Building and Procurement Commission Cooperative Purchasing Program participants with access to competitively bid telecommunication services including wireless high speed data access services.Cingular Wireless is an authorized TEX-AN 2000 contractor offering data access services and equipment. A two(2)year contract with Cingular Wireless includes an air card for each mobile computer at no charge to the City. This results in a cost savings of approximately$7,300 by eliminating the need to purchase 146 air cards at $49.99 each. The contracted monthly rate for the data access service is $49.59 per mobile computer.The total estimated annual cost ofproviding data access service for 146 mobile computers is approximately$86,882. A one-time activation fee of$2,995 is also required. Contract for Wireless Data Access Services May 9,2006 Page 2 BUDGETARY IMPACT Funds are budgeted for this expenditure in the Police, Fire, and EMS operating budgets. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager. 9 May 16, 2006 Consider approving a contract to purchase wireless data communication equipment • i City of Beaumont NOW W Council Agenda Item TO: City Council FROM: Kyle Hayes, City Manager PREPARED BY: Brenda Beadle, Purchasing Manager MEETING DATE: May 16, 2006 AGENDA MEMO DATE: May 9, 2006 REQUESTED ACTION: Council consider the purchase of wireless data communication equipment. RECOMMENDATION Administration recommends the purchase of Global Positioning System (GPS)receivers for$432 each and antennae for$81 each from Portable Computer Systems, Inc., of Golden, Colorado. BACKGROUND In December 2005,Council approved a public safety communications system upgrade including the purchase of mobile computers for installation in Police, Fire, and EMS vehicles. GPS receiver positioning units and antennae are required for the mobile units to interface with the wireless data communications system. Bids were solicited from ten (10) vendors for Trimble Placer GPS 450 trunk mountable receiver mobile positioning units and AntennaPlus brand antennae. The following bids were received: 140 Receivers 140 Antennae Vendor Unit Price Total Price Unit Price Total Price Portable Computer Systems, Inc. Golden, CO $432.00 $60,480.00 $81.00 $11,340.00 Triangle Communications, LLC Stirling, NJ No Bid $88.00 $12,320.00 AntennaPlus, LLC Scottsdale AZ No Bid $96.30 $13482.00 I Wireless Data Communication Equipment May 9,2006 Page 2 BUDGETARYIMPACT Funds are available in the Capital Improvement Project Fund for the purchase of wireless data communication equipment for the total amount of approximately$71,820. PREVIOUS ACTION None. SUBSEQUENT ACTION None. RECOMMENDED BY City Manager and Finance Officer. VCR BEAUMONT,TEXAS C Bui* ldi* ng Te Future Capital Program Fiscal Year 2007 = 2011 fwr• �"?.9A�' ,. t��. �=rte: .. ;r,• Y 1 Lx�� �, �� •�s. t'r`Y Opp �. r•.<' it - r Y y of Beaumont Integrity Service Leadership' . rj May 12 2006 Honorable Mayor and City Council: The Capital Program is a plan prepared annually to provide for both short and long range physical development within the City of Beaumont.The City Charter requires the submission of the Capital Program to Council as part of the financial planning process. The Program is adopted with the annual operating budget and allows for project evaluation at a comprehensive level and also provides the financial information necessary to plan and anticipate potential changes to the tax structure, user fees, and bonded indebtedness. Generally, a capital improvement has the following characteristics: relatively high monetary value (at least $50,000), long life (will last at least 10 years), and results in either the creation of a fixed asset, or the revitalization of one. Fixed assets are resources owned by the City which have monetary value, long-term character and will be held or used. Examples are land,buildings,and improvements to land otherthan buildings. Included within the above definition are the following specific items: purchase, improvement and development of land; construction of newfacilities for the delivery of City services; remodeling of existing facilities; and the planning/engineering costs related to speck improvements of the type listed above. The Capital Program includes a listing of all Public Works, General Improvements and Water and Sewer improvement projects along with project descriptions and cost estimates. Public Works includes street and storm water drainage projects; General Improvements include general government municipal buildings and facility improvements. Water and Sewer includes all projects related to water and sewer infrastructure. Approved projects are classified in two phases: design or construction and planned. A project classed in the design or construction phase is under design and rights-of-way may be acquired or is underway or will be within the recommended time schedule. Projects classified as planned are projects in the preliminary development or design stage. Financing for the Capital Program is provided by the "cash flow" approach, whereby debt is issued to generate enough cash to pay the expenditures anticipated during the year for both existing and new projects. This approach provides the most efficient use of citizens' dollars by allowing multi-year projects to be initiated without issuing debt for the full cost of the projects at the time of project commencement. All available funding sources are considered including Certificates of Obligation and Community Development Block Grant funds. ■ Based on a "cash flow" approach, the City issues Certificates of Obligation (CO's) on an as needed basis, to provide sufficient cash flow for active Public Works and General Improvement projects. Weather, planning, design and construction costs all factor into the decision of when and how much debt to issue. Utilities Department has taken an aggressive approach to identify and implement The Water U p 99 PP fy necessary improvements to the water and sewer systems. In many instances, these renovations are required to meet federal and state mandates as well as meet the needs of the City's growth. Funding for Water and Sewer projects is determined similar to the Public Works and General Improvement projects in that it uses the cash flow approach; however, Water Revenue Bonds are issued rather than tax supported Certificates of Obligation. This type of bond is serviced utilizing revenues from water and sewer usage. The Capital Program includes projects to enhance the quality of life the City of Beaumont strives to achieve for its residents. This plan represents our best effort to allocate available resources toward projects that provide the most benefit for the citizens of Beaumont. The City Council will annually review and approve updates to this plan, and projects may be revised during this process. Respectfully Submitted, /lk/ /C f Kyle Hayes City Manager Capital Program FY 2007 - 2011 Program Summary Estimated Cost Public Works Projects Design or Construction $ 153,500,000 Planned 130,970,000 Total $ 284,470,000 General Improvement Projects Design or Construction $ 31,230,000 Planned 20,780,000 Total $ 52,010,000 Water and Sewer Projects Design or Construction $ 75,510,000 Planned 34,170,000 Total $ 109,680,000 Total Capital Program Cost $ 446,160,000 PUBLIC WORKS PROJECTS FY 2007 -2011 Recommended Time Schedule Design or Construction Phase Estimated Cost FY 2007-2009 Babe Zaharias Drive $ 1,350,E Brakes Bayou 1,150,000 (t1 Calder- Main to Phelan 47,155,000 121 Cartwright/Coliey-Ditch 100d 1,200,000 131 Concord IV - E.Lucas to Hwy.105 11,500,000 14] Ditch No. 117 739,000 (11 Dowlen - College to Walden 9,700,000 (51,[61 Dowlen - US 69 N to Delaware 10,100,000 [5] Downtown Improvements Pearl - College to Calder 2,100,000 Neches - College to Laurel 1,400,000 Willow and Park - College to North 2,350,000 M Pearl Street - Calder to North 540,000 Future Improvements 2,400,000 Fannett Road 600,000 (51 Griffing Ditch 350,000 [8] Hayes Gully 2,786,000 [91 Illuminated Street Markers Signalized Intersections-160 Locations 1,000,000 Laurel - IH-10 to Office Park 4,480,000 [51 Main - Calder to Blanchette 4,500,000 North Street - ML King to Twenty-Third 7,200,000 Old Dowlen - Dowlen to Hwy.105 5,000,000 [101 Phelan - Major to Keith 3,500,000 Rolfe Christopher - US 69 S to Virginia 4,000,000 Seventh Street - IH-10 to Laurel 4,000,000 Street Rehabilitation 5,000,000 Washington - IH-10 to ML IGng 14,900,000 Washington - Langham to Major 3,900,000 [5],p ij Wendel(n/Kelly 600,000 Total Design or Construction Phase $ 153,500,000 Planned Projects FY 2007-2011 Avenue A-Washington to U.S.69 S $ 7,000,000 Caklwood Outfall 5,230,000 College Street - IH-10 to Goliad 7,320,000 Delaware - Concord to Dowlen 11,520,000 Dowlen - Delaware to Gladys 7,150,000 East Lucas-U.S.69 N to Pine Street 12,000,000 Eleventh Street - Washington to US 69 15,000,000 Gladys Street - IH-10 to Dowlen 8,000,000 High School Ditch 8,700,000 • Madison - Irving to Grove 2,350,000 Magnolia - Liberty to E Lucas 12,600,000 Moore Street Relief 5,600,000 North Main Street - Calder to RR Tracks 1,800,000 Phelan - IH-10 to Dowlen 15,600,000 Pine Street - IH-10 to Crockett 3,600,000 South Park Relief 7,500,000 Total Planned Projects E 130,970,000 Grand Total $ 284,470,000 [11 This is a participation project with the Water Development Board and D006.The grant is a pass through with no cost to the City. [2]Includes FEMA Funding of$23,665, and other potential funding or$7,889,820 [3]This is a joint participation project with DDi8.The estimated cost to the City is$1.200,000 [4]ktchidos Federal Highway Aduninistra funding o(80 percent up to 57,375.000. Construction start is September 2007. [51 Air Quality issues will not be determined until a later data and could effect project timeline. [6]Includes Federal Highway Administration Funding of$2,764,800. M Includes Federal Highway Administration Funding of 5512,000 for the section of Willow between North and Crockett [a]This is a participation project with DON.The es imdad cost to the City is W350,000. 19]This is a participation project with the Texas Water Development Board and DDM6.The estimated cost to the City is$2,089,787. [10]Includes TxDOT fondue 011`80 percent up to$2,400,000 for both phases. TxDOT construction start date for phase II is 2007. (111 Includes Federal Highway Administration Funding of 53,080,000 i GENERAL IMPROVEMENT PROJECTS FY 2007-2011 Recommended Time Schedule Design or Constriction Phase Estimated Cost FY 2007-2009 Alice Keith Park Playground Renovations $ 100,000 Central Park Community Center 500,000 City Hall Rooftop Air Handler 440,000 Community Facilities Alice Keith Park 500,000 Rogers Park 500,000 North End Location 500,000 Demolition of Public Facilities&Commercial Structures 3,000,000 Detention Facility Hike&Bike Trail 720,000 Downtown Event Center&Lake Park 6,500,000 Fire Fleet Maintenance Shop 460,000 Fire Station Relocation/Administration 4,590,000 Julie Rogers Theatre 2,900,000 Lambs Building Replacement 750,000 Main Library Improvements 200,000 Martin Luther King,Jr.Park 600,000 911 Operations Center 2,310,000 (1) Public Safety Communication Hardware/Software 3,000,000 [2] Rogers Park Walking Trail&Parking Lot 200,000 Tyrrell Historical Library Addition 1,930,000 Visitor Center/CVB 1,530,000 Total Design or Construction Phase $ 31,230,000 Planned Proiects FY 2007-2011 Athletic Complex Restroom Facilities 380,000 Civic Center Demolition 350,000 Fire Station Driveway Replacements 150,000 Fleet Parking Lot 1,500,000 Police Department Building 11,000,000 Public Health Department Building 2,500,000 Riverfront Park Improvements 2,000,000 Senior Center 2,300,000 Tyrrell Park Community Building and Improvements 600,000 Total Planned Projects $ 20,780,000 Grand Total $ 52,010,000 [1)Includes Federal Grant of$68,000 [21 Includes Federal Grant of$892,000 WATER AND SEWER PROJECTS FY 2007-2011 Recommended Time Schedule Design or Construction Phase Estimated Cost FY 2007-2009 Master Plan for Water&Sewer System $ 400,000 Water Projects: 2 MG Elevated Storage Tank on Dishman 2,800,000 36"Transmission Line 6,400 000 Automatic Flushing 100,000 Dredge Ponds 1&2 Wastewater Treatment Plant 1,200,000 Initial Distribution System Evaluation(IDSE) 100,000 Leak Detection Project 350,000 Northwest Elevated Storage Tank Rehabilitation 620,000 Water Line Extension on IH-10(between Brooks&Walden) 890,000 Water Line Extensions/Replacement 3,000,000 Water Meter Relocation 810,000 Water Plant Improvements-Phase 1 7,000,000 Water Plant Improvements-Phase II 3,000,000 Wies Bluff Bank Stabilization 1,500,000 0] Sewer Projects: 54'Central Trunk Rehabilitation 5,500,000 54"West Trunk Outfall-Phase 1 2,330,000 54"West Trunk Outfall-Phase II 1,620,000 60"Trunk Line Rehabilitation 3,390,000 Ammonia Addition to Loeb Well 250,000 Degritter-Waste Water Treatment Plant 1,210,000 Filter Rehabilitation-Wastewater Treatment Plant 1,900,000 Florida Lift Station 510,000 Generator(2)Installation-Wastewater Treatment Plant 2,500,000 Grit Pumps Replacement-Wastewater Treatment Plant 150,000 Lift Station Repairs 900,000 Sanitary Sewer Rehabilitation-Small Mains(Pipe Bursting) 6,000,000 Sanitary Sewer Line Extension on IH-10(between Walden&Brooks) 890,000 Wetlands Evaluation-Phase 1 170,000 Wetlands Evaluation-Phase 11 200,000 Wetlands Rehabilitation 3,000,000 WaterlSewer for Street Projects: Calder-Main to Phelan 2,080,000 Concord Road-Phase IV-East Lucas to Hwy.105 1,140,000 Dowlen Road-College to Walden 1,560,000 Dowlen Road-US 69 N to Delaware 910,000 Downtown Improvements: Neches-Laurel to College 210,000 Willow and Park-North to College 700,000 Pearl Street-Caller to North 140,000 Laurel-IH-10 to Office Park 490,000 Main Street-Caller to Blanchette 840,000 North Street-ML Icing to Twenty-Third 960,000 Old Dowlen-Dowlen to Hwy.105 530,000 Pearl Street-College to Calder 410,000 Phelan Blvd.-Major to Keith 720,000 Rolfe Christopher-US 69 S to Virginia 330,000 Seventh Street-I1-1-10 to Laurel 510,000 Tyrrell Park Road Resurfacing 1,560,000 Washington-IH-10 to ML Fling 2,000,000 Washington-Langham to Major 1,730,000 Total Construction Phase $ 75,510,000 Water Utilities Continued Recommended Time Schedule Planned Projects FY 2007-2011 t Lift Station Repairs $ 600,000 Sanitary Sewer Rehabilitation-Small Mains(Pipe Bursting) 4,000,000 Waste Water Treatment Plant Ground Improvements 1,000,000 Water Line Extension/Replacement 2,000,000 Water Plant Improvements-Phase II 15,000,000 Water7Sewer for Street Projects: Avenue A-Washington To US 69 S 650,000 College Street-IH-10 to Goliad 840,000 Delaware-Concord to Dowlen 2,730,000 Dowlen Road-Delaware to Gladys 630,000 E. Lucas-US 69 N to Pine 1,920,000 Eleventh Street-US 69 N to Washington 440,000 Gladys Street-I1-1-10 to Dowlen 1,280,000 Madison-Irving to Grove 110,000 Magnolia-Liberty to E.Lucas 1,770,000 North Main Street-Calder to Railroad Tracks 170,000 Phelan Blvd-IH-10 to Dowlen 590,000 Pine Street-I1-1-10 to Crockett 440,000 Total Planned Projects $ 34,170,000 Grand Total $ 109,680,000 [t]Includes funding from Natural Resources and Conservation Services.Cost to City is$500,000 PUBLIC WORKS PROJECT DESCRIPTIONS PUBLIC WORKS PROJECTS FY 2007 - 2011 AVENUE A -WASHINGTON TO U.S. 69 SOUTH This section of Avenue A is a two-lane concrete and asphalt roadway that provides access from Washington Boulevard to U.S. 69 South. Avenue A south of U.S. 69 South was reconstructed by the Texas Department of Transportation and is identified as Spur 93. The project will consist of reconstructing the existing roadway as a concrete curb and gutter street.The estimated cost of the project is $7,000,000. BABE ZAHARIAS DRIVE Babe Zaharias Drive is located within Tyrrell Park and is a two-lane asphalt roadway with open ditches.The project will consist of reconstructing the existing roadway with concrete pavement and open ditches. The estimated cost of the project is$1,350,000. BRAKES BAYOU Brakes Bayou flows southerly along the east side of Beaumont and ties into the Neches River 2.2 miles south of Pollard Street which is the southern boundary of the project area.The upper reaches of Brakes Bayou,starting 150 feet south of Pollard Street,consists of underground culverts varying in size from 72 inches at the lower end to 36 inches at the upper end.This underground system that serves 163 acres is currently undersized.The proposed project includes the construction of an open channel, the installation of additional underground culverts at various street crossings and the installation of 700 feet of box culvert along Willie Mae Street. This is a joint participation project between the Texas Water Development Board,Drainage District No. 6 and the City of Beaumont. The project will be funded from a Flood Mitigation Assistance (FMA)Grant and by Drainage District No.6. In order to receive the grant funding it was necessary for the City to submit the application to the Board.The estimated cost of the project is$1,150,000 with 70 percent FMA Grant funding and a 30 percent local (DD6) match. CALDER-MAIN TO PHELAN The section of Calder Avenue from Main Street to W. Lucas is a heavily traveled roadway that provides access from downtown to the west end of the City.The current roadway is four lanes with a continuous left-tum lane from Main Street to west of IH-10 and two lanes with a continuous left- turn lane from west of IH-10 to W. Lucas. The condition of the existing pavement is poor and requires rehabilitation. This project will include the rehabilitation of the existing roadway. Additionally, this is a joint participation project with Drainage District No. 6 and the Federal Emergency Management Administration. The DD6 has received a FEMA grant in the amount of $23,665,180 to install an underground storm drainage system from W.Lucas to the Neches River. In conjunction with this grant,the City will be applying for an additional$7,889,820 in federal funding to meet the 80/20 grant match requirement. It is estimated that when complete, the project will remove more than 900 structures from FEMA's repetitive loss listing. The estimated cost of the project is$47,155,000. CALDWOOD OUTFALL When completed,this project will increase the capacity of the Caldwood Addition Outfall and relieve street flooding.The project includes installation of inlets and laterals on Bristol, Sunbury, Medford, Canterbury and the reconstruction of the streets. Also included is the installation of new laterals, replacement of inlets and reconstruction of Cross, North Caldwood, Central Caldwood, South Caldwood and West Caldwood Streets. The estimated cost of this project is$5,230,000. CARTWRIGHT/CORLEY The Cartwright/Corley Drainage Project is a participation project with Drainage District No. 6. The project includes the installation of detention ponds and an underground storm drainage system in the Cadwright/Corley area between 4'"and IH-10.The City will be responsible for the installation of an underground drainage system on Blanchette Street near 11t" Street. The City's share of the project cost is$1,200,000. COLLEGE STREET-IH-10 TO GOLIAD The section of College from Goliad to Eleventh Street was constructed in the mid 1980's. At that time the street was constructed with an asphalt surface due to funding availability.This section has reached the end of its useful life and is beginning to experience pavement failures.The project will provide for the reconstruction of College,with concrete pavement,from IH-10 to Goliad.Estimated cost of this project is$7,320,000. CONCORD ROAD-PHASE IV This project will relieve the north/south traffic congestion on Eastex Freeway and provide an extension of M. L. King, Jr. Parkway. The first three phases and the Delaware Outfall have been completed.Phase IV includes the reconstruction of Concord Road from East Lucas to Highway 105. The Federal Highway Administration(FHWA) has allocated 80°x6 up to$7,375,000 for this phase of the project. The estimated cost of Phase IV is$11,500,000. DELAWARE-CONCORD TO DOWLEN The construction of Phase If of the Concord Road Project included the reconstruction of Delaware from Pine to Concord. This project will complete the reconstruction of Delaware from Concord to Dowlen. Estimated cost of this project is$11,520,000. DITCH NO. 117 The Upper Hillebrandt Ditch No. 117 watershed consists of 227 acres and is generally bounded on the north by Arthur Lane,Gladys Avenue on the south,23rd Street on the east and W.Lucas on the west.The primary cause of flooding in this area is undersized box culverts just below the Ditch No. 117 watershed. The proposed improvements include the construction of a detention basin and culverts at the northern end of the watershed.The detention basin would be located near the former Wal-Mart site on Eastex Freeway. This is a joint participation project between the Texas Water Development Board,Drainage District No. 6 and the City of Beaumont. The project will be funded from a Flood Mitigation Assistance (FMA)Grant and by Drainage District No. 6. In order to receive the grant funding it was necessary for the City to submit the application to the Board.The estimated cost of the project is$739,000 with 56 percent FMA Grant funding and a 44 percent local (DD6) match. DOWLEN -COLLEGE TO WALDEN The extension of Dowlen Road to the south of College is needed to provide an additional north/south corridor in the developing southwest area of the City. Specifically, it will extend from College to Walden Road. The right-of-way has been donated by property owners adjacent to the corridor. Estimated cost for this project is$9,700,000. The City has received federal funding in the amount of$2,764,000 for this project. Air quality issues will not be determined until November 2007 and could affect project timeline. DOWLEN -DELAWARE TO GLADYS The section of Dowlen Road from Delaware to Gladys is beginning to experience failures at or near the catch basins.This project will include the rehabilitation of the entire roadway section.Estimated cost is$7,150,000. DOWLEN -US 69 N TO DELAWARE The section of Dowlen Road from US 69 to Delaware is beginning to deteriorate along the curb lane, primarily at or near the catch basins.Additionally,the project will relieve congestion in the Parkdale Mall area by adding an additional lane in each direction within the project limits.The estimated cost of the project is $10,100,000. Air quality issues will not be determined until November 2007 and could affect project timeline. DOWNTOWN IMPROVEMENTS The downtown area is currently experiencing a tremendous amount of private investment.To make downtown more attractive and entice further capital investment,the City will continue to make street, sidewalk,lighting and landscaping improvements.The initial project paved Crockett Street between Main and Pearl, and installed brick sidewalks in the surrounding block. It was followed by sidewalk, lighting and landscaping improvements on Orleans from Wall to Crockett. This project continues these improvements on Pearl from College to Calder. Estimated cost is $2,100,000. The next sections,which cover Neches Street from Laurel to College and Willow and Park Streets from North to College, are currently in the design phase. Estimated costs for these projects are $1,400,000 and$2,350,000,respectively.This project also includes the rehabilitation of North Pearl Street from Calder to North Street. It will include improvements at the Calder and Pearl intersection to improve a drainage problem.The estimated cost of this project is$540,000. Estimated cost for future locations is$2,400,000.The City has received federal funding in the amount of$512,000 for the section of Willow Street from North Street to Crockett Street. EAST LUCAS-U.S.69 NORTH TO PINE The section of E. Lucas from U.S. 69 North to Magnolia is a four and five lane concrete curb and gutter street and a two-lane asphalt roadway from Magnolia to Pine Street.This project will consist of reconstructing the street from U.S.69 North to Magnolia at an estimated cost of$8,500,000 and r constructing a three-lane concrete curb and gutter street from Magnolia to Pine at an estimated cost ]4 of$3,500,000. The total estimated cost of this project is$12,000,000. ELEVENTH STREET-WASHINGTON TO US 69 NORTH Eleventh Street from Washington to US 69 is experiencing failures from numerous utility cuts and base failures. Sections of the concrete curb and gutter roadway have been overlayed with asphalt f to extend the life of the street. The estimated cost of this project is$15,000,000. 1 FANNETT ROAD The section of Fannett Road from west of Ethel Street to east of Cardinal Drive (US 69, 96&287) Frontage Road is constructed as a two-lane roadway with left turn lanes at 11th Street.This project will include the widening of this section to a four-lane roadway similar to the sections east of Ethel Street and at the Cardinal Drive Frontage Road. The estimated cost for this project is$600,000. GLADYS STREET-IH-10 TO DOWLEN Gladys Street from IH-10 to Edson is a four-lane concrete curb and gutter roadway.The section from Edson to Dowlen is a two-lane asphalt roadway with curbs and gutter. This project will consist of rehabilitating the concrete section and reconstructing the section from Edson to Dowlen as a concrete roadway. The estimated cost of this project is$8,000,000. GRIFFING DITCH The Griffing Ditch Project is a joint project between Jefferson County Drainage District No.6 and the City of Beaumont. The proposed improvements to be constructed by DD6 are located on the Griffing Ditch north of Highway 105.The City will provide funding to the District for the enlargement of the drainage structures under City streets. Estimated cost of this project is$350,000. HAYES GULLY The lower(downstream)part of this 262-acre watershed is served by a concrete lined open channel known as Hayes Gully.This gully is a tributary to the Neches River and flows into the Neches River Marsh on the northeast side of Beaumont. The gully, after crossing East Lucas, west of Magnolia Street,crosses five city streets with box culverts and then goes underground at Fillmore Street.This area of the watershed is currently served by an underground 72 and 48-inch culvert.The proposed project includes the installation of an open channel that will run parallel to an existing 1,100 foot long run of underground pipe,the installation of additional box culverts and improvements to existing street crossings.Property will need to be acquired in order to install the open channel. Most of the properties are abandoned and in disrepair due to previous flooding that has occurred in the area. This is a joint participation project between the Texas Water Development Board,Drainage District No. 6 and the City of Beaumont. The project will be funded from a Flood Mitigation Assistance (FMA) Grant and the City of Beaumont. The estimated cost of the project is $2,786,000 with 75 percent($2,089,500) FEMA funding and a 25 percent($696,500) City match. HIGH SCHOOL DITCH There are two remaining phases of the High School Ditch project, South and North. Each section consists of the installation of trunk lines, inlets, manholes and connecting pipe improvements that are required to complete the drainage improvements in the entire High School Ditch area.This area covers approximately 600 acres and is served mostly by an underground storm sewer system. Estimated cost for this project is$8,700,000. ILLUMINATED STREET MARKERS This project consists of the installation of illuminated street markers at the City's 160+ signalized intersections.The street markers are currently being installed as a part of the various street projects. The$1,000,000 allocated forthis project will be used to install the markers at signalized intersections that are not a part of an existing or proposed street project. LAUREL-IH-10 TO OFFICE PARK Due to increased traffic from the Liberty/Laurel project, the widening of Laurel, between the IH-10 west service road and 23rd Street, into a four-lane roadway is proposed. This project will relieve traffic congestion in the area, particularly during heavy traffic hours.Also included is the provision fora direct connection between Laurel and the Liberty-Laurel overpass project.The short connection between these two projects is needed to complete the roadway system involved with the IH-10 overpass.This project,in conjunction with the Calder project,will complete the arterial system in this area. Estimated cost for this project is $4,480,000. Air quality issues will not be determined until November 2007 and could impact project timeline. MADISON STREET-IRVING TO GROVE Madison Street,from Irving to Grove,is the primary truck route forthe industrial district located east of Carroll Street and along Gulf States Road. The existing concrete pavement is deteriorating and should be replaced. Estimated cost for this project is$2,350,000. MAGNOLIA-LIBERTY TO EAST LUCAS Magnolia from Liberty to North of IH-10 consists of a two-lane section with concrete curbs and gutter. The remaining section consists of a four-lane concrete street with curbs and gutter. This project involves the complete reconstruction of Magnolia.The estimated cost forthis project is$12,600,000. MAIN STREET-CALDER TO BLANCHETTE The existing pavement on Main Street, from Calder to Blanchette, is beginning to experience numerous failures as a result of the utilities running underneath it. After continually repairing the roadway, it is now at the point that the entire roadway needs to be replaced.The estimated cost to reconstruct this four-lane concrete roadway is$4,500,000. MOORE STREET RELIEF The lack of roadside ditch facilities in residential areas, inadequate capacity within existing storm sewer systems,and large paved areas within the Lamar University campus,all contribute to flooding problems.The Moore Street Drainage Area is located within the southeast quadrant of the City and is generally defined as the watershed contributing to the Moore Street Ditch. Proposed improvements include the construction of storm sewers,the removal of a concrete restriction at the old Lower Neches Valley Authority Crossing, realignment of the channel, the installation of a box culvert at Highland Avenue and the replacement or modification of existing inlets. The estimated cost of this project is$5,600,000. NORTH-M L KING TO TWENTY-THIRD The section of North Street from ML King to Twenty-Third Street is a two-lane roadway with an asphalt surface and concrete curbs and gutter.This project consists of reconstructing the roadway as a concrete street with left turn lanes at the major intersections. Estimated cost of this project is $7,200,000. NORTH MAIN-CALDER TO RR Tracks The pavement on North Main from Calder to the Santa Fe railroad track has experienced numerous failures due to the large trees adjacent to the roadway.Although the street has been overlayed on several occasions,the differences in pavement elevation at the curb necessitates the replacement of the existing pavement. Estimated cost of the project is$1,800,000. I f OLD DOWLEN Due to significant development in the Parkdale Mall area, a very high demand has been placed on Old Dowlen Road between Dowlen and SH 105. Federal funding has been secured to reconstruct Old Dowlen to a four-lane concrete curb and gutter section in FY 2007.Additionally,the relocation of the northern section to tie in with the intersection of Caswell and SH 105 is proposed to accommodate the various intersection movements that are occurring at the existing Old Dowlen and SH 105 intersection.This relocation will allowthe installation of a signal at the proposed intersection that is not currently feasible due to the close proximity of Old Dowlen to Eastex Freeway. The project was divided into two phases in FY 2004 as the result of receiving Congestion Mitigation and Air Quality Funding(CMAQ)for improvements from Dowlen Road to approximately 1,500 feet north. The project estimates for Phases I and II are $2,000,000 and $3,000,000, respectively. Federal funding for both phases has been secured on a 80%(federal)/20%(local) basis. PHELAN BOULEVARD-MAJOR TO KEITH Phelan Boulevard west of Major Drive is a heavily traveled two lane roadway that provides access to West Brook High School and the west end of Beaumont.The current roadway cannot adequately handle the traffic demand and requires widening to a four-lane curb and gutter section from Major Drive to west of West Brook High School.The section from west of West Brook High School to Keith Road will be two-lane,with continuous left turn lane, concrete curb and gutter roadway. Estimated cost for this project is$3,500,000. PHELAN BOULEVARD-1-10 TO DOWLEN The section of Phelan Boulevard from IH-10 to Dowlen Road was constructed in the early to mid 1970's and is reaching the end of its design life. This is a heavily traveled roadway that serves as a major connector from the downtown area to the west end of the City. The estimated cost for this project is$15,600,000. PINE STREET Pine Street from Crockett Street to IH-10 is a heavily traveled roadway that provides access to IH- 10 from the downtown area. The current pavement is experiencing failures and has had several overlays. It is now necessary to replace the entire roadway. The total estimated cost of the project is$3,600,000. ROLFE CHRISTOPHER DRIVE The widening of this two-lane asphalt roadway from Virginia Street to Cardinal Drive(US 69 South) into a four-lane concrete roadway will greatly improve the flow of traffic around Lamar University. Also included in this project are improvements to Virginia Street from Rolfe Christopherto M.L.King Parkway. Estimated cost of this project is$4,000,000. SEVENTH STREET The existing pavement on Seventh Street,from Laurel to IH-10,is experiencing numerous failures as a result of utilities running underneath it. After continually repairing the roadway, it is now necessary to replace the entire roadway. Estimated cost of this project is$4,000,000. i SOUTH PARK RELIEF The remaining phases of the South Park Relief project include construction of laterals on Campus Avenue, Zavalla Drive, East Woodrow, Kenneth Avenue, Saxe Street and Florida Avenue. Also included are improvements to substandard inlets, manholes and connecting pipe. Estimated cost for this project is $7,500,000. STREET REHABILITATION PROGRAM In 2003, the Street User Fee that was used to fund the Street Rehabilitation Program was eliminated. This was the only funding source used to do repairs on residential and arterial streets. Continuation of a Street Rehabilitation Program will require funding from the Capital Improvement Program. Streets to be included will be identified on an annual basis. The estimated annual cost of the program is$1,000,000. Future Street Rehabilitation(FY 2007-2011)will require$5,000,000. WASHINGTON -IH-10 TO M L KING Washington Boulevard from M.L.King,Jr.Parkway to IH-10 is a heavily traveled four-lane roadway that provides access from the east to west end of Beaumont. The current roadway has a combination of continuous left-turn lanes,left-tum lanes at major intersections and sections with no left-tum lanes.Additionally,the existing pavement is beginning to experience numerous failures and will require rehabilitation.This project includes the rehabilitation of the existing roadway and adding either continuous or intersection left-turn lanes along the 3.2 mile length of the project. The estimated cost for this project is$14,900,000. WASHINGTON-LANGHAM TO MAJOR It is desirable to continue Washington Boulevard from Langham Road to Major Drive as a four-lane arterial.The section from IH-10 to Langham was a participation project with TxDOT and has been completed.The completion of the last section should be scheduled to coincide with improvements on Major Drive. Estimated cost for this project is $3,900,000. Federal funding of$3,080,000 has been received for this project. Air quality issues will not be determined until November 2007 and could affect the project time-line. WENDELIN/KELLY The section of Wendelin from College to Kelly and Kelly from Wendelin to Langham consists of two- lane asphalt streets with open ditches.Although both of these streets have been rehabilitated,they continue to experience base failures due to soil conditions.The proposed work on these streets will consist of the complete reconstruction of the roadways and the installation of concrete pavement. i The open ditches would remain. The estimated cost of the project is$600,000. 1 GENERALIMPROVEMENTS PROJECT DESCRIPTIONS I GENERAL IMPROVEMENT PROJECTS FY 2007 - 2011 ALICE KEITH PARK PLAYGROUND RENOVATIONS The existing playground at Alice Keith is outdated and requires replacement. The for this project is$100,000. estimated cost ATHLETIC COMPLEX RESTROOM FACILITY The three wood-framed restroom structures at Complexes I, ll, and III are in need of replacement. The wood materials used in their construction are not conducive to the constant cleaning with high moisture levels. Exterior and interior wall framing and bottom plates are in need of replacement to keep the buildings structurally sound. After demolition of the old buildings, a new single story masonry structure is proposed at each site. The new units would include electrical service, accessible restroom facilities, storage area and small covered areas at ground level for score- keepers. Estimated cost for this project is$380,000. CENTRAL PARK COMMUNITY CENTER Due to foundation settlement and deterioration of the structure,the center is in need of replacement. Settlement has affected the entire structure to a condition that is no longer repairable.Since the park receives considerable usage,it is recommended that the 1930's structure be demolished and a new building of similar size, excluding the office area, and configuration be constructed in its place. Estimated cost for this project is$500,000. CITY HALL ROOFTOP AIR HANDLER This project would provide for the replacement of the rooftop air handler at City Hall. The existing air handler unit at City Hall is more than 20 years old and in very poor condition. The housing,door gaskets, and drain pans have deteriorated beyond repair. Approximately 30 feet of duct is coated with asbestos containing materials.Water is leaking from rusted drain pans,causing built-up roofing materials to deteriorate. The project will also require the entire duct system in City Hall to be cleaned. Estimated cost for this project is$440,000. CIVIC CENTER D WOUTION This project includes the demolition of the Civic Center for potential use of the site for riverfront development. The estimated cost to demolish the Civic Center is$350,000. COMMUNITY FACILITIES The Community Facility buildings at Alice Keith Park and Rogers Park are in need of replacement. A community facility will also be considered at a north end location. The estimated cost of each building is$500,000. DEMOLITION OF PUBLIC FACILITIES AND COMMERCIAL STRUCTURES This project includes the demolition of public facilities and commercial facilities that will be identified during the Capital Program Funding years. DETENTION FACILITIES HIKE & BIKE TRAIL A 10-foot wide hike and bike trail will be constructed on Drainage District No. 6 property, located between Dishman Road and Phelan Boulevard. The recreational trail will traverse along the Gulf Terrace drainage detention facility on Phelan Boulevard, extend along a drainage canal easement and end at the drainage detention pond on Dishman Road. Total length of the proposed trail is approximately 2.5 miles. Parking facilities will be provided at the Phelan Boulevard entrance to the trail.The trail will accommodate recreational activities such aswalking,jogging,skating and cycling. Estimated cost for this project is$720,000. DOWNTOWN EVENT CENTER& LAKE PARK A park including a man-made lake would be constructed on property bordered by MLK Parkway on the west,Crockett Street on the south, Neches Street on the east and the abandoned railroad track on the Q north. The proposed park would encompass approximately 16 acres.The proposed lake would be 10- u 12 acres in size and between four and ten feet deep.A concrete walking trail would be constructed on the perimeter of the lake.Other amenities would include lighting,parking,bathrooms and picnic areas. In addition to the park, an event center would be constructed to replace the Harvest Club.The Event Center would include an open area to accommodate large groups and meeting rooms.The estimated cost of the new Event Center and park is$6,500,000. FIRE STATION DRIVEWAY REPLACEMENTS The concrete driveways at Fire Stations Nos. 2, 8, and 9 are in poor condition and in need of repair. This project includes demolition of the existing driveways,installation of new stabilized sub grade,and the construction of driveways that support the extreme weight of fire apparatus. Estimated cost for this project is$150,000. FIRE FLEET MAINTENANCE SHOP This project would provide for the construction of a 60'x 100'mechanic shop facility at the Lafin Road Fleet Service Center.The former Municipal Transit Building on Milam Street is currently being used by the Fleet Maintenance Division for servicing equipment owned/operated by the Fire Department. Moving all of the City's Fleet Maintenance operations to a single site would reduce operating costs, allow for better utilization of available manpower, and improve management's control over the quality and quantity of work performance. Estimated cost for this project is$460,000. FIRE STATION RELOCATION/ADMINISTRATION This project provides for the merging and relocation of Fire Stations No. 1 and 11 from their present location to an accessible, more strategic location that would allow the City to maximize its firefighting resources.This would provide additional fire fighting protection forthe Charlton-Pollard community and continue coverage in the Central Business District. Also proposed is the relocation of the Fire Department's administrative staff from its current location on the second floor of the Fire Museum of Texas to the new facility. Estimated cost for this project is$4,590,000. FLEET PARKING LOT The Fleet Parking Lot is constructed of concrete and is experiencing numerous failures. This project would involve the reconstruction of the majority of the parking lot and would also include those areas that are used for parking and not currently not paved. The estimated cost is$1,500,000. JULIE ROGERS THEATRE The Julie Rogers Theatre was completed in 1983,after the City Auditorium,originally built in 1927,was reconstructed. This project originally included exterior improvements to the building, the cleaning/sealing/repairing all brick and cast stone surfaces, roof replacement above the stage area, repairs to copper down spouts and flashing, and replacing the concrete courtyard around the fountain. This project also proposes the replacement or restoration of the seating in the auditorium.Replacement of an emergency generator and environmental controls is also scheduled.Extensive damage was done to the theater as a result of Hurricane Rita.The new project involves the complete rehabilitation of the interior of the building and replacement of the entire roof system. Estimated cost for this project is $2,900,000. LAMBS BUILDING REPLACEMENT The Lambs Building is currently being used by the City to store surplus property prior to disposal by auction. The condition of the existing building is poor and no longer of adequate size for the City's needs.The estimated cost to replace the building is$750,000. MAIN LIBRARY IMPROVEMENTS This project includes the replacement of the carpet and furniture located in the public areas.The carpet and furniture has become worn after may years of use and is in need of replacement. The estimated cost for new carpet and furniture is$200,000. MARTIN LUTHER KING, JR. PARK This project will provide for the construction of a new park located on the east side of M. L. King, Jr. Boulevard,between College and Wall Streets.The 3.3 acre site will be dedicated to the memory of Dr. King,a nonviolence advocate,civil rights leader and clergyman.The project includes the development of a passive park with parking lot, paved areas for reflection and meditation, landscaping and lighting. Estimated cost for this project is$600,000. 911 OPERATIONS CENTER Renovations to the second floor of the Municipal Court Building will allow for the consolidation of public safety dispatch services,including Police,Fire and EMS.Dispatch services are currently provided from two separate locations. Consolidation provides for the better utilization of communication resources. Renovations include radio dispatch areas, employee break and lounge area, meeting and training rooms,and an area to be used in emergency situations as a Citywide command center.Federal funding in the amount of$68,000 has been received for this project.The total estimated cost for this project is $2,310,000. POLICE DEPARTMENT BUILDING The Police Department has outgrown their existing thirty-one year old building. Currently, three units of the Police Department are located in outlying facilities within the City. Additionally, the Police Department requires additional space for their Property Office. During periods of heavy rains the building is susceptible to flooding from the basement entrance to the building.The construction of a new building would allow the entire department to be at one location.The estimated cost of a new building is$11,000,000. PUBLIC HEALTH DEPARTMENT BUILDING The Health Department has outgrown their existing facilities on Washington Boulevard. In addition to the three buildings utilized by Health on Washington,they also have facilities on Laurel Street for EMS and Health Sanitation and offices in City Hall for Code Enforcement(formally Neighborhood Services). Two of the buildings on the Washington Boulevard site are expensive to maintain due to their age. The proposed building will house all of their offices in one facility. The estimated cost for this project is $2,500,000. PUBLIC SAFETY COMMUNICATIONS HARDWARE AND SOFTWARE Replacement of the A. L. Roark Public Safety Software, purchased in 1992 is necessary. This antiquated system has not been supported by the vendor for over six years,has lost functionality,and provides no growth or enhancements for public safety.The proposed project includes an update of the mobile infrastructure and will provide updated software for the 911 Center, Records Management, Investigations, Case Management, Field Reporting, State and Federal reporting, electronic searches, and analytical reporting for Police,Fire,and EMS. Several manual tasks will become automated with the implementation of this upgrade.Estimated cost forthis project is$3,000,000.The City has received a Federal Grant in the amount of$892,000. RIVERFRONT PARK IMPROVEMENTS The northern portion of the park is experiencing extensive erosion due to the currents in the river. Although not as severe,erosion is also occurring along several other sections of the park.This project would provide for bank stabilization along the entire length of the park.Also included in the project, is the replacement of the lighting system and renovations to the existing restrooms.The estimated cost for bank stabilization is$1,750,000 and$250,000 forthe new lighting system and restroom renovations. ROGERS PARK-WALKING TRAIL&PARKING LOT This project would provide for a walking trail and reconstruction of the parking lot at Rogers Park.Other amenities would include lighting,drinking fountains,landscaping and drainage. Estimated cost for this project is$200,000. SENIOR CENTER A new facility is proposed to replace the Best Years Center.The proposed facility would accommodate the activities of our senior citizen's program. Construction of a 15,000 square foot facility is proposed to replace the existing structure which was originally built in the 1950's but is no longer cost effective to repair. Estimated cost for this project is$2,300,000. TYRRELL HISTORICAL LIBRARY ADDITION The Tyrrell Historical Library needs additional space for expansion of the archival area.The proposed addition would be located on the north side of the existing building.The estimated cost for the addition is$1,933,000. TYRRELL PARK COMMUNITY BUILDING This project will include the construction of a new community facility building at Tyrrell Park. The existing Recreation Building was constructed in the 1930's by the Civilian Conservation Corp. The existing building is not air conditioned and will require extensive renovations to bring the building into a useable condition. The estimated cost of the new building is$600,000. VISITOR CENTER/CVB This project will provide for the construction of a new office building and visitor's facility along the entrance corridorofthe Central Business District.Approximately 4,500 square feet of building area and adequate visitor parking is planned. Estimated cost for this project is $1,530,000. Construction costs for this project are eligible for reimbursement from Hotel Occupancy Tax receipts. D o� � T yD m WATER & SEWER PROJECTS FY 2007 - 2011 WATER AND SEWER PROJECTS 2 MG ELEVATED STORAGE TANK The City of Beaumont does not meet its elevated storage capacity needs and was cited by TCEQ. The City should complete the construction of the 2 MG Elevated Storage Tank before the end of FY- 2007. This tank will increase the water pressure in the area and will provide capacity needs for future development. Estimated cost of this project is$2,800,000. 36" TRANSMISSION LINE This project will extend a 36"water transmission line from the Water Treatment Plant on Pine Street to Dishman Road to supply the proposed 2 million gallon elevated storage tank on Dishman Road with water. In addition, it will increase the water pressure in areas along its path. Estimated cost of this project is$6,400,000. 54"CENTRAL TRUNK SANITARY SEWER INTERCEPTER REHAB -PHASE II This project was initiated due to the failing joints and large number of cavities in the existing concrete pipe causing infiltration of storm water,increasing the number of overflows and impacting the Waste Water Treatment Plant efficiency. Phase I of this project was completed in February 2006 and construction of Phase II will start in 2007. Estimated cost of this project is$5,500,000. 54"WEST TRUNK OUTFALL-PHASE I This sanitary sewer interceptor is approximately 5,000 linear feet and runs from Hillebrandt Bayou to Lafin Road. The existing pipe has deteriorated and infiltration through separated pipe joints is affecting the operation at the Waste Water Treatment Plant. This project will slipline the existing 54" concrete pipe with a 48" high density polyethylene pipe. In addition, this project will replace 2,000 linear feet of 12"concrete pipe on Fannett Road. Estimated cost of this project is$2,330,000. 54"WEST TRUNK OUTFALL-PHASE 11 This sanitary sewer interceptor is approximately 4,000 linear feet and runs from Hillebrandt Bayou to Washington Blvd. The existing pipe has deteriorated and infiltration through separated pipe joints is affecting the operation at the Waste Water Treatment Plant. This project will slipline the existing 54" concrete pipe with a 48" high density polyethylene pipe. Estimated cost of this project is $1,620,000. i 60"TRUNK LINE REHABILITATION The 60-Inch Trunk Line that extends 9,000 linear feet from the Waste Water Treatment Plant to Washington Blvd. Is over fifty(50) years old and has exceeded its life expectancy. The trunk line passes under Interstate 10 and several waterways. In the last year several cavities have occurred at several locations along the span of the line. The rehabilitation of this line will reduce infiltration of storm water into the sewer system, and decrease the number of sanitary sewer overflows. Estimated cost of this project is$3,390,000. AMMONIA EDITION to LOEB PLANT This project will provide improvements to the facilities and equipment at the LOEB Well in order to provide ammonia addition to the treatment process. Estimated cost for this project is$250,000. AUTOMATIC FLUSHING PROJECT The City of Beaumont is required by TCEQ and the EPA to maintain a chlorine residual in the water distribution system. The dead end lines in the system must be flushed on a weekly basis to be able to maintain the required residual and protect public health and safety. The increased cost of labor and equipment utilized in manually flushing the dead-end water lines will be eliminated by the installation of the automatic flushing devices. In addition, such devices will help the City measure and record the volume of water used during the flushing operations. Estimated cost of this project is$100,000. DEGRITTER at the WASTE WATER TREATMENT PLANT This project will provide a degritting system at the head of the Waste Water Treatment Plant to remove solids and protect the integrity of the pumps and equipment inside the Plant. Estimated cost for this project is$1,210,000. DREDGE PONDS 1 &2 0-WASTE WATER TREATMENT PLANT The 10'deep existing ponds are 2/3 full of sludge. The WWTP should have a holding capacity of 60 million gallons in order to minimize overflows in the system and meet State regulations. Once the third aeration lagoon is placed into service,the existing ponds will be dried one at a time and the sludge removed and disposed of at the City of Beaumont landfill. Estimated cost of this project is $1,200,000. FILTER REHABILITATION at the WASTE WATER TREATMENT PLANT The existing filters at the Waste Water Treatment Plant were built in the 1950's and have deteriorated. The condition of the filters is requiring constant maintenance. This project will replace the filter arms,thickner lines and the bearings. Estimated cost of this project is$1,900,000. FLORIDA LIFT STATION This project will rehabilitate the Florida Street lift station which requires constant maintenance. Estimated cost of this project is$510,000.. GENERATOR(2)INSTALLATION at the WASTE WATER TREATMENT PLANT The Waste Water Treatment Plant does not have backup power. Power outages lasting longer than 3-days can cause sanitary sewer overflows in the system. The generators will provide the power required to process sanitary sewer in case of power outages and hence protect public safety and health. Estimated cost of this project is$2,500,000. GRIT PUMPS REPLACEMENT at the WASTE WATER TREATMENT PLANT This project was designed in-house and will replace twelve (12) pumps at the Waste Water Treatment Plant to increase the efficiency of the Plant and minimize maintenance efforts. The existing pumps have exceeded their life expectancy and had required constant maintenance. Estimated cost of this project is$150,000. INITIAL DISTRIBUTION SYSTEM EVALUATION IDSE IDSE is the tool utilized to take system sampling from Stage 1 Running Annual Averages(RAAs) to Stage 2 Locational Running Annual Averages(LRAAs). LRAAs are Stage 2 required water quality results based on key sampling locations identified in the IDSE for Total Trihalomethane(TTHM)and Halcacetic Acids (HAA). When the EPA promulgates Stage 2,water systems will be expected to select an IDSE and notify the Texas Commission on Environmental Quality(TCEQ)with an updated monitoring plan;and complete the IDSE and submit a detailed report of the IDSE determination to TCEQ. This was mandated in June 2005. Estimated cost of this project is$100,000. LEAK DETECTION PROJECT The City of Beaumont treats and distributes on an average 24 million gallons a day(MGD)of water. Thirty percent of the processed water is not metered or accounted for. This project will use state of the art equipment to test every foot of water lines, valves, water meters, and fire hydrants for leaks. During the leak detection process the contractor will GPS the existing valves, hydrants and water meters. The cost of the project will be replenished through the money saved on chemicals that is used in treating the lost water. In addition,this project will help the Water Dept.meet its water conservation goals set by the TCEQ. Estimated cost of this project is$350,000. LIFT STATION REPAIRS The City of Beaumont owns,operates and maintains 97 sanitary sewer lift stations throughout the City. This project will rehabilitate deteriorated stations that require constant maintenance. Estimated cost of this project is$900,000 or$300,000 per year. MASTER PLAN for WATER and SEWER SYSTEM The Master Plan will assist Water Utilities in future planning of new facilities and rehabilitating existing ones. The Water Distribution System Master Plan will update the Water Computer Aided Drafting(CAD) Water System Model; review water system pressure concerns; conduct pressure testing; conduct site visits;review system operation of pumping and storage facilities. The plan will develop demand data for the existing water model input;distribute existing water demands throughout the City to the water system model; conduct model calibration;develop water demand projections; review water rights and the well supply reliability;evaluate water supply needs through 2025;repair water system models; develop a draft capital improvement for the Water Distribution System; and prepare a Water System Master Plan. The Sewer Collection System Master Plan will analyze the sewer system basin and sub basin delineation; identify critical lines needed in model review asset data and lift stations;develop H2O MAP Waste Water System Model;conduct flowmonitoring;calibrate the existing hydraulic computer model;evaluate the existing sewer system;develop sewer flows throughout the collection system; prepare sewer system models and develop a capital improvement plan for the sewer system. Total estimated cost of this project is$400,000. NORTHWEST ELEVATED STORAGE TANK REHABILITATION The existing elevated storage tank has been cited by TCEQ and is in need of structural repairs as well as inside, outside blasting and painting. Estimated cost of this project is$620,000. SANITARY SEWER REHABILITATION of SMALL MAINS-"PIPE BURSTING" The City of Beaumont owns, operated and maintains 750 miles of sanitary sewer lines that range in size from 4 to 72 inches. Some of these lines were built in the early 1950's and have exceeded their life expectancy. This project will rehabilitate 60,000 linear feet per year for a four year period. Estimated cost is$2,000,000 a year for a total of$10,000,000. SANITARY SEWER LINE EXTENSION ON IH-10 (between Walden Road to Brooks Road) This project will extend sewer lines from Walden Road to Brooks Road to provide service for development and loop the water system. Estimated cost of this project is$890,000. WASTE WATER TREATMENT PLANT GROUND IMPROVEMENTS The Waste Water Treatment Plant has undergone major improvements in the last four years. This proposed project will rehabilitate the existing roads, buildings, and the grounds. Estimated cost of this project is$1,000,000. WATER LINE EXTENSION ON IH-10 (WALDEN to BROOKS) This project will extend water lines from Walden Road to Brooks Road to provide service for development and loop the water system. Estimated cost of this project is$890,000. WATER LINE EXTENSIONS 1 REPLACEMENTS The City of Beaumont owns and operates 750 miles of water lines that distribute water for approximately 124,000 customers. Sixty percent of the water lines have shown signs of deterioration. This pro-active project will replace deteriorated water lines priorto failure to ensure uninterrupted service and adequate fire protection to the customers. The estimated cost of this project is$1,000,000 per year for a total project cost of$5,000,000. WATER METER RELOCATION Three years ago the City of Beaumont Water Utilities Department initiated a project to relocate water meters from back alleys to the street right-of-ways. This project will relocate the remaining 140 meters. The project was initiated to optimize meter reading and better detect water leaks. Estimated cost of this project is$810,000. WATER TREATMENT PLANT IMPROVEMENTS -PHASE I This project will provide the required engineering design and construction of the following improvements at the Water Treatment Plant: Renovate pulsators; bulk chlorine; chemical building improvements; filter backwash Clarifier System; generators; and miscellaneous mechanical and electrical improvements. Estimated cost of this project is$7,000,000. • Pulsators: The existing pulsators have deteriorated as a result of adding coagulant to the raw water. The renovations of the concrete walls and the replacement of related equipment is essential for the uninterrupted operations of the Water Treatment Plant. • Bulk Chlorine Feed System:The existing chlorine feed relies on 1-ton cylinders. A city the size of Beaumont can use several chlorine cylinders requiring the operators to replace them frequently. By switching to bulk chlorine we minimize the labor costs and pay less for chlorine on a per pound basis. • Chemical Building Improvements: The existing chemical building was built in 1960 and is in need of rehabilitation. The improvements will include, modification to piping, instrumentation and control and chemical feed pumps. • Filter backwash:The purpose of this system is to recycle filter backwash waste to the head of the plant. Fitter backwash would flow b gravity to the clarifiers equipped with a sludge P Y 9 riY scrapping mechanism.Once the sludge settles,the water would be pumped to the head of the Plant. WATER/SEWER FOR STREET PROJECTS AVENUE A -Washington to US 69S This project will rehabilitate approximately 3,610 linear feet of sanitary sewer lines and replace 8,955 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant maintenance. Estimated cost of this project is $650,000. CALDER -Main to Phelan This project will rehabilitate approximately 12,300 linear feet of sanitary sewer lines and replace 24,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$2,080,000. COLLEGE STREET-Goliad to IH-10 t This project will rehabilitate approximately 4,400 linear feet of sanitary sewer lines and replace 8,700 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$840,000. CONCORD ROAD PHASE IV-East Lucas to Hwy. 105 This project will rehabilitate approximately 10,000 linear feet of sanitary sewer lines and replace 9,500 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$1,140,000. DELAWARE-Concord to Dowlen This project will rehabilitate approximately 9,500 linear feet of sanitary sewer lines and replace 18,200 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$2,730,000. t DOWLEN ROAD-College to Walden t This project will rehabilitate approximately 650 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. In addition,this project will extend 12,000 linear feet of water and 12,000 linear feet of sewer lines to serve the proposed developments. Estimated cost of this project is$1,560,000. DOWLEN ROAD-Delaware to Gladys t This project will rehabilitate approximately 3,900 linearfeet of sanitary sewer lines and replace 5,900 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$630,000. DOWLEN ROAD-Hwy. 69 N to Delaware This project will rehabilitate approximately 7,000 linear feet of sanitary sewer lines and replace 11,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$910,000. • Generators: The existing generator cannot operate all the new 800hp pumps. In case of a power failure,the Water Treatment Plant would be able to pump only 10-15 million gallons a day to the distribution system. The new generators will increase the pumping capacity to 40 million gallons a day and provide uninterrupted service to the customers. WATER TREATMENT PLANT IMPROVEMENTS -PHASE II Sludge Dewatering Facilities, High Service Pumps, and Raw Water Pumps to increase the Plants efficiency and capacity. The estimated cost of this project is $18,000,000. The design or construction phase is estimated at$3,000,000. The remainder is a planned project and is estimated at $15,000,000. • Sludge:Currently the sludge from the pulsators is discharged into the sanitary sewer system and goes to the Waste Water Treatment Plant. By adding sludge dewatering facilities,the Plant would dewater its sludge reducing the load on the Waste Water Treatment Plant. Typical sludge dewatering facilities include centrifuges,conveyors,and truck loading areas. • High Service & Raw Water Pump Additions are required to increase the Plants capacity from 40 to 50 MGD. WIESS BLUFF PUMP STATION BANK STABILIZATION Wiess Bluff Pump Station is located in Jasper County approximately 5 miles from Bunn's Bluff Canal. The station is used to pump raw water from the Neches River to the Water Treatment Plant during drought conditions and in emergency cases. The project will rehabilitate the river banks that have deteriorated as a result of the last two storms. Natural Resources and Conservation Service will pay seventy-five percent of the construction cost. The City's estimated share of the project cost is$500,000. Total estimated project cost is$1,500,000. WETLANDS EVALUATION-PHASE I Since the wetlands were built in 1990, several changes have taken place forcing the elevations of the water in cells to increase affecting the aquatic and vegetative life. This project will include surveying the grounds,animal and plant populations and designing the necessary changes to bring the wetlands to their original condition. Estimated project cost is$170,000. WETLANDS EVALUATION-PHASE 11 This project is an extension of the Wetland Evaluation Phase I. This project will provide the necessary engineering design recommended by Phase I to modify the Wetlands in order for them to achieve the treatment they were originally built for. Estimated cost is$200,000. WETLANDS REHABILITATION Since 1990 when the Wetlands were built, the facilities have undergone major changes that are preventing the Wetlands from meeting the designed criteria. This project will implement the modifications recommended by the Wetlands Evaluation Project-Phase ll. Estimated cost of this project is$3,000,000. t t DOWNTOWN IMPROVEMENTS NECHES(Laurel to College)-This project will rehabilitate approximately 2,100 linearfeet of sanitary sewer lines and replace 1,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$210,000. WILLOW&PARK(North to College)-This project will rehabilitate approximately 1,800 linearfeet of sanitary sewer lines and replace 5,600 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$700,000. PEARL (Calder to North) - This project will rehabilitate approximately 60 linear feet of sanitary sewer lines and replace 930 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$140,000. E. LUCAS-US 69 N to Pine This project will rehabilitate approximately 9,030 linear feet of sanitary sewer lines and replace 21,537 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant maintenance. Estimated cost of this project is$1,920,000. ELEVENTH STREET-Washington Blvd.to US 69 N This projectwill rehabilitate approximately 3,300 linearfeet of sanitary sewer lines and replace 6,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$440,000. GLADYS -IH-10 to Dowlen This project will rehabilitate approximately 3,800 linear feet of sanitary sewer lines and replace 14,500 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$1,280,000. LAUREL-Office Park to IH-10 This projectwill rehabilitate approximately 2,500 linearfeet of sanitary sewer lines and replace 3,800 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$490,000. MADISON -Irving to Grove This project will rehabilitate approximately 120 linear feet of sanitary sewer lines and replace 2,900 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$110,000. MAGNOLIA-Liberty to E. Lucas This project will rehabilitate approximately 8,700 linear feet of sanitary sewer lines and replace 25,100 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$1,770,000. MAIN STREET-Calder to Blanchette This projectwill rehabilitate approximately 8,200 linearfeet of sanitary sewer lines and replace 5,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$840,000. NORTH MAIN STREET-Calder to Railroad Tracks This project will rehabilitate approximately 550 linear feet of sanitary sewer lines and replace 2,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$170,000. NORTH STREET-ML King to Twenty-Third This project will rehabilitate approximately 4,100 linear feet of sanitary sewer lines and replace I 12,900 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is $960,000. OLD DOWLEN -Dowlen to Hwy. 105 This project will rehabilitate approximately 6,000 linear feet of sanitary sewer lines and replace 13,050 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$530,000. PEARL-College to Calder This project will rehabilitate approximately 1,800 linearfeet of sanitary sewer lines and replace 3,800 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$410,000. PHELAN -Major to Keith Rd This project will rehabilitate approximately 6,600 linearfeet of sanitary sewer lines and replace 7,300 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$720,000. PHELAN 4H-10 to Dowlen Road This project will rehabilitate approximately 2,500 linear feet of sanitary sewer lines and replace 5,200 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$590,000. PINE STREET-Crockett to IH40 This project will rehabilitate approximately 7,000 linear feet of sanitary sewer lines and replace 11,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$440,000. t ROLFE CHRISTOPHER-US 69 S to Virginia " This project will rehabilitate approximately 2,900 linear feet of sanitary sewer lines and replace 2,400 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$330,000. SEVENTH STREET-IH40 to Laurel This project will rehabilitate approximately 5,300 linear feet of sanitary sewer lines and replace 3,500 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$510,000. TYRRELL PARK ROAD RESURFACING The Water Utilities Department replaced sanitary sewer and water lines on Tyrrell Paris Road during the last two years. In the process of installing the new lines,Tyrrell Park Road was damaged. This project will restore the integrity of the road. Estimated cost of this project is $1,560,000. WASHINGTON -MLK to IH-10 This project will rehabilitate approximately 7,800 linear feet of sanitary sewer lines and replace 27,000 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and require constant or regular maintenance. Estimated cost of this project is$2,000,000. WASHINGTON BLVD-Langham to Maior This project will rehabilitate approximately 7,600 linear feet of sanitary sewer lines and replace 8,200 1 linear feet of water lines with all related appurtenances. The existing lines have deteriorated and i require constant or regular maintenance. Estimated cost of this project is$1,730,000. 1 a i i � f n O 3 O Q� �n n Completed Projects (FY 2002-2006) Since 2002, approximately$50.1 M in projects, both general improvement and public works, have been completed or will be completed prior to fiscal year end 2006. The costs for all public works projects topped $43.1 M. The general improvement projects completed during this five-year period totaled $7M. An average of$10M in projects was completed annually during this period. A summary of the projects completed from 2002-2006 follows: Public Works Projects 2003 Walden Road- Major Dr. To Fannett 6,557,000 Concord Road Phase 1 8,370,000 Concord Road Phase II 8,325,000 Concord Road Phase III 6,070,000 2005 Major Drive 4,000,000 Downtown Improvements-Orleans-Wall to Crockett 910,000 Phelan Blvd Drainage Participation Project 200,000 Twenty-Third Street-College to Washington 1,930,000 Delaware Extension 3,660,000 2006 Virginia Street- Mercantile to Avenue A 2,700,000 General Improvement Projects 2002 Airport Runway Extension 268,000 Miller Library Expansion 475,000 T. R. Johns, Sr. Library 1,950,000 Playground Renovations 410,000 Perlstein Park 266,000 2003 Chariton Pollard Park 950,000 McLean Park 120,000 Roberts Park 210,000 Athletic Complex-Tennis Courts 260,000 2004 Art Museum Roof Replacement 390,000 Fletcher Mini Park Improvements 60,000 Julie Rogers Theatre Fire Alarm System 75,000 2005 Sprott, Rogers and Central Parks Spray Devices 181,000 Pedstein Park Walking Trail 110,000 Wuthering Heights Walking Trail 95,000 Central Park Tennis Courts 85,000 Cottonwood&Magnolia Park Improvements 350,000 2006 Central Park Tennis Courts 85,000 Tyrrell Park Clubhouse and Parking Lot 700,000 Completed Projects (FY 2002-2006) Since 2002, approximately $60.9M in Water Utilities projects have been completed or will be completed prior to fiscal year end 2006. Water and Sewer Projects 2002 Upgrade Electrical Substation at WTP 95,000 Prison Tank Rehabilitation 320,000 Dowlen Road Sanitary Sewer Interceptor 2,790,000 Replace 2-10 MGD Pumps and Motors at WWTP 175,000 Replacement of 20 MGD pump at WWTP 150,000 Small Sanitary Sewer Mains Rehabilitation Contract III 1,900,000 Prison Force Main 1,392,000 Water Line Replacement Contract 1 126,000 Water Line Replacement Contract II 226,000 2003 Replace Electric System Phase I at WWTP 492,000 Digesters Conversion at WWTP 492,000 Water Line Replacement Contract III 640,000 4-Inch Raw Water Pipeline at Lawsons 3,894,000 Lawson's Pump Station Rehabilitation 3,802,000 Repair and Paint Loeb Steel Tank 553,000 Repair and Repaint the West Tank 281,000 Eleventh Street Sanitary Sewer Interceptor 2,928,000 Small Sanitary Sewer Mains Rehabilitation Contract IV 571,000 Small Sanitary Sewer Mains Rehabilitation Contract V 536,000 2004 Repair and Repaint South Tank 329,000 5 MG Ground Storage Tank 6,958,000 Chlorine Building at Loeb Well No 1 211,000 Small Sanitary Sewer Mains Rehabilitation Contract VII 1,042,000 Small Sanitary Sewer Mains Rehabilitation Contract IX 430,000 2005 Repair and Repaint the South West Tank 364,000 Barscreen Replacement at WWTP 834,000 2006 2.2 Meter Belt Press 292,000 14 MGD Water Plant Expansion 15,021,000 30"Force Main 1,096,000 54"Central Trunk Rehabilitation 1,426,000 20-Acre Treatment Pond 3,939,000 Bar Screen Area- Beltpress 1,052,000 Bunn's Bluff Canal Improvements 2,638,000 East Lucas Sewer Interceptor 2,616,000 Howell/Yount Outfall 864,000 Initial Distribution System Evaluation (I.D.S.E.) 100,000 Lab Addition-Waste Water Treatment Plant 343,000 Outstanding Debt Relative to the assessed value of property within the Beaumont city limits, the outstanding general obligation debt has ranged between a high of 2.41% at 10/01/99 and a low of 1.71% at 10/01/04. The increasing assessed valuation of property is attributable to both the addition of new property on the tax roll and increasing values of existing properties. Due to Hurricane Rita damage,2006 values are estimated to equal 2005 values. In 2007,growth in value is expected to return to Pre-Rita levels. The normal growth in assessed value mirrors the level of debt issued by the City for improvements to infrastructure which support a growing economy. The debt level has fluctuated between $68.3M at 10/01/97 and$94.6M at 10/01/05 while maintaining an average basis of 2.00%over the past 10- year period. The projected debt level for 10/01/06 is$86AM with a debt ratio of 1.76%of assessed value. The following table illustrates this discussion. Outstanding Assessed Debt Debt(1) Value Ratio 10/01/97 68,286,391 3,499,102,595 1.95% 10/01/98 76,723,691 3,661,785,240 2.10% 10/01/99 89,243,491 3,701,491,226 2.41% 10/01/00 81,093,791 3,779,873,302 2.15% 10/01/01 80,276,091 3,908,466,045 2.05% 10/01/02 76,362,576 3,935,778,866 1.94% 10/01/03 81,463,042 4,188,524,756 1.94% 10/01/04 78,050,071 4,568,576,349 1.71% 10/01/05 94,580,000 4,913,341,853 1.92% 10/01/06 (est) 86,410,000 4,913,341,853 1.76% ' Outstanding debt shown net of self-supporting HUD Section 108 loan. As a percentage of total general government expenditures(General Fund and Debt Service),annual tax supported debt service payments have ranged from 13.56%to 15.11% during the period FY03 through FY06. This ratio is projected at 14.18% for FY 2007. Fiscal Year General Govt. Debt Service Percent Expenditures Payments of Total 2003 83,886,889 12,762,066 14.69% 2004 84,197,207 12,724,564 15.11% 2005 87,693,163 12,246,141 13.97% 2006 (Est) 92,753,295 12,580,745 13.56% 2007 (Proj) 96,092,836 13,627,225 14.18% I