HomeMy WebLinkAboutMIN JULY 08 1997 M I N U T E S - CITY OF BEAUMONT
Lulu L.Smith DAVID W. MOORE, MAYOR Becky Ames,Mayor Pro Tem
Guy N.Goodson CITY COUNCIL MEETING Andrew P.Cokinos
John K.Davis JULY 8,1997 Bobbie J. Patterson
Lane Nichols,City Attorney Ray A. Riley,City Manager Patrice Fogarty,City Clerk
The City Council of the City of Beaumont, Texas, met in a regular session on July 8, 1997,
at the City Hall Council Chambers, 801 Main Street, Beaumont, Texas, at 1:30 p.m. to
consider the following:
OPENING
*Invocation Pledge of Allegiance Roll Call
*Presentations and Recognition
*Public Comment: Persons may speak on scheduled agenda items (excluding Item 1)
Mayor Moore called the meeting to order at 1:32 p.m. Dr. Jim Killen, from Trinity United
Methodist Church, gave the invocation. Mayor Moore led the pledge of allegiance.
Present at the meeting were: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson. Also, present were Ray A. Riley, City Manager;
Lane Nichols, City Attorney; and Patrice Fogarty, City Clerk.
PRESENTATIONS AND RECOGNITION
Mayor Moore read a proclamation proclaiming July 6- 12, 1997, as "Senior Health Week."
Cindy Busch accepted the proclamation on behalf of Columbia Senior Health Center.
Mrs. Busch's two boys, John and Greg, were in the audience and were acknowledged.
Maurine Gray presented gifts to the City Council from the delegation visiting from our sister
city, Beppu, Japan. This delegation visited over the July 4th weekend, and greatly enjoyed
Beaumont's hospitality. On Saturday, they held a "festa" at City Hall, giving a
demonstration of cooking rice cakes. Crafts were sold by those from Beppu, and the
profits from the sales were donated to the City to be passed along to a local charity.
Toward this end, Maurine Gray presented their check in the amount of $350 to Mayor
Moore; and he asked that Paula O'Neal, with Some Other Place, come forward and accept
the donation. She gratefully accepted, stating that these funds will provide children with
much needed supplies and clothing to start school.
Mayor Moore recognized Delia Harrington's attendance at the Council meeting today. He
also recognized a young lady, Jile Eagland, in attendance at the meeting.
PUBLIC COMMENT: Citizens were invited to comment on the Consent Agenda and main
agenda items except Item 1. No one wished to address these topics.
CONSENT AGENDA
The following consent agenda items were considered:
Approval of the minutes of the June 24, 1997, regular meeting;
Confirmation of committee appointments - Resolution No. 97-150
A) Authorize contract extensions for purposes of audit deadlines with Southeast Texas
Community Development Corporation and Statewide Consolidated Community
Development Corporation - Resolution No. 97-151
B) Authorize the conveyance of property to Southeast Texas Community Development
Corporation, Inc., for the construction of homes for the Charlton Pollard
Neighborhood Revitalization Project - Resolution No. 97-152
C) Authorize an annual contract for the purchase of caustic soda for use in the Water
Utilities Department - Resolution No. 97-153
D) Authorize the purchase of a suspended ceiling to be installed at the Water
Production Plant - Resolution No. 97-154
E) Authorize the purchase of fill dirt for use at the City's landfill - Resolution No.
97-155; and
F) Authorize the submittal of a grant application to the Texas Natural Resource
Conservation Commission (TNRCC) and authorize the acceptance of the grant if
awarded - Resolution No. 97-156
Councilmember Cokinos moved to approve the consent agenda. Councilmember
Patterson seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
GENERAL BUSINESS
1. Consider a request for a specific use permit to allow a residential care facility in an
existing house in an RCR (Residential Conservation and Revitalization) District at
2390 Broadway;
City Council continued to express concerns due to lack of parking and the fact that
some neighbors are opposed to this residential care facility. Mayor Pro Tem Ames
Minutes;M97;Page 2
asked if Ms. Rich could meet with the neighbors and explain the nature of the
facility. Mayor Moore requested additional time to work on these problems.
Councilmember Cokinos moved to defer this item until the next agenda.
Councilmember Davis seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
2. Consider amending Section 26-23 of the Code of Ordinances relating to speed
limits on M. L. King, Jr., Parkway;
Councilmember Cokinos moved to adopt Ordinance No. 97-32, amending Section
26-23 of the Code of Ordinances relating to speed limits on M. L. King, Jr.,
Parkway. Councilmember Davis seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
3. Consider authorizing the purchase of a fire pumper;
Councilmember Smith moved to adopt Resolution No. 97-157, authorizing the
purchase of a fire pumper. Mayor Pro Tem Ames seconded the motion. MOTION
PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
4. Consider authorizing annual contracts for the purchase of materials utilized by the
Water Utilities Department, Water Distribution Division;
Councilmember Cokinos moved to adopt Resolution No. 97-158, authorizing annual
contracts for the purchase of materials utilized by the Water Utilities Department,
Water Distribution Division. Councilmember Goodson seconded the motion.
MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
Minutes;7/8/97;Page 3
5. Consider authorizing the purchase of two crew cab trucks equipped with utility
bodies for use in the Water Utilities Department, Sewer Maintenance Division;
Councilmember Smith moved to adopt Resolution No. 97-159, authorizing the
purchase of two crew cab trucks equipped with utility bodies for use in the Water
Utilities Department, Sewer Maintenance Division. Councilmember Goodson
seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
6. Consider approving the purchase of an Integrated Personal Computer Server
(IPCS) network processor and site licenses from the IBM Corporation of Beaumont.
Mayor Pro Tem Ames moved to adopt Resolution No. 97-160, approving the
purchase of an Integrated Personal Computer Server(IPCS) network processor and
site licenses from the IBM Corporation of Beaumont. Councilmember Goodson
seconded the motion. MOTION PASSED.
Ayes: Mayor Moore, Mayor Pro Tem Ames, Councilmembers Smith,
Goodson, Cokinos, Davis, and Patterson
Noes: None
OTHER BUSINESS
* Review details of the preliminary 1998 Capital Improvement Program
City Manager Ray Riley reviewed the preliminary 1998 CIP as attached to these
minutes and made a part hereof. City Councilmembers mentioned priority ratings
of several public works improvements such as South Park Relief, Prince Street
Outfall, and traffic problems in the area of Parkdale Mall and Old Dowlen Road.
Public Works Director Tom Warner answered several questions on engineering,
traffic patterns, TxDOT's plans, and the City's pursuit of state or federal funding.
No action taken.
COMMENTS
* Councilmembers comment on various matters:
Councilmember Goodson stated that the Acorn Neighborhood Association moved
its meetings to the 2nd Monday for the months of July, August, and September.
Minutes;7/8/97;Page 4
They lost their president, Carol Gauthier, for a year, as she has moved out of town.
Gene Landry has taken over. Councilmember Goodson publicly thanked Carol for
all her hard work in getting the organization started, and for her strong force.
Councilmember Smith stated that the 4th of July weekend was very fun. The
celebration was fine, and that Mayor Moore did a magnificent job as an emcee at
the program. The orchestra and fireworks were wonderful. Councilmember Smith
stated that she cannot say enough about how well Maurine Gray handled the
Beppu crowd; she did a fantastic job.
Councilmember Davis congratulated Dr. Jim Killen, of Trinity United Methodist
Church, Church's Chicken of America, and Habitat for Humanity on the building of
another new home in Habitat Park. He also stated that the Cable Street
Neighborhood Association had concerns for over a year regarding the `sex offender
center' located at 3495 Gulf Street. He thanked Jamie Johnson, Kyle Hayes, and
Angie Thomas for their help this past year in association with this facility.
Councilmember Davis states that the only reason this facility is located here is
because there are no laws prohibiting the facility in this neighborhood. A $1.3
million building permit was taken out on 1/27/97, and the City could not stop this
either. He has tried every avenue to stop this facility. There have been no
incidents called in by neighbors. In an unrelated item, Councilmember Davis stated
that he would like the police department to give more attention to Fletcher Park due
to illegal activities in that park.
Councilmember Patterson stated that the Pear Orchard Neighborhood Association
will be meeting this Thursday, 6:30 p.m., at Our Mother of Mercy. She stated that
the Mayor was a good emcee on the 4th of July celebration. Councilmember
Patterson reminded everyone to go out and vote on the Port improvements on
July 15, 1997. Early voting is through July 11.
Mayor Moore thanked all sponsors for assisting the City in a tremendous 4th of July
celebration. He specifically thanked Maurine Gray, Claudie Hawkins, and staff.
Further, he thanked Councilmembers for filling in for him while he was out of the
City attending the U. S. Conference of Mayors. After the conference, Mayor Moore
was one of seven mayors invited to Singapore to represent the U. S. Conference
of Mayors, participating with Singapore officials.
* Public Comment (Persons are limited to 3 minutes)
Delia Harrington addressed City Council and asked that a law be passed that only
charcoal briquets be used in barbeque pits. Her neighbor is barbequing with a
great deal of wood, and the smoke is very strong and upsetting to her.
Minutes;7/8/97;Page 5
Jewel Riley, 6021 Bedford, appealed to City Council on the behalf of the rental
rehabilitation program. She stated that there is a great need for it. She needs to
rehab her rental property in order to provide more housing for those in need. She
asked that Council please consider keeping this program.
Ed Sigee, 2695 Forest, addressed City Council regarding the 'sex offender facility.'
He stated he cannot understand why a state agency can say what goes on in his
neighborhood or his city. He asked City Council to take a look at this facility due
to its overcrowding, with no recreational activities. He also stated that at Magnolia
Park there is a problem with loud music. He asked for help with this problem.
Kenion Jackson, 4265 Inez, stated that the recent problem at the Melton "Y" was
not as bad as reported in the paper, and that he did not agree with the article in the
paper. He stated that it is certainly not necessary for seven to eight police cars to
rush onto the scene due to a complaint. Mayor Moore reminded him that police
response is directly correlated to how the complaint comes into the dispatch office.
Roberto Flores, 2425 Buchanan, also complained regarding loud music up and
down the street. He stated that some police officers are just trying to do their jobs
by handing out citations, and citizens must stand behind the officers.
EXECUTIVE SESSION
Executive Session in accordance with Section 551.071 of the Government
Code to discuss contemplated or pending litigation:
Municipal Administrative Services v. City of Beaumont
Mark Spivey v. City of Beaumont, et al
There being no further business, City Council recessed to closed session at 3:31 p.m.
M r Moore
e
Patrice Fogarty, e y CI
Minutes;7/8197;Page 6
�. City o Beaumont
May 13, 1997
To the Honorable Mayor and
Councilmembers
Subject: Capital Improvement Program (CIP) - 1998 Five Year Plan
Overview
The Capital Improvement Program, commonly referred to as the CIP, is a five year plan
prepared annually to provide for both short and long range physical development within
the City of Beaumont. Charter requires the submission of the CIP to Council by May 15.
It is adopted in September with the annual operating budget. The CIP 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 other than
buildings. Included within the above definition are the following specific items:
purchase, improvement and development of land; construction of new facilities for the
delivery of City services; remodeling of existing facilities; and the planning/engineering
costs related to specific improvements of the type listed above.
The CIP for 1998 includes a listing of all General and Public Works improvement
projects along with project descriptions and cost estimates. General Improvements
include Parks and Recreation, Public Safety and other general government municipal
facility improvements, whereas Public Works Improvements include street :and
stormwater drainage projects.
Projects are classified in three categories: the construction phase, planning/design
phas '-)or as a proposed addition. A project in the construction phase may be at various
leveof work in progress. Those in the planning/design phase have not broken ground
but are in a stage of preparation that will facilitate construction commencement. The
remaining projects proposed as additions are feasible and some level of analysis has
been performed.
Capital Improvement Program - 1998
May 13, 1997
Page 2
CAPITAL IMPROVEMENT PROGRAM
Both construction and planning/design phase projects have been updated to reflect
current estimates. As of the date of this report, these projects total $31.4M. The cost
estimate for projects in the proposed additions phase is $35.6M.
The following table identifies the specific cost associated with each phase of the CIP.
CAPITAL IMPROVEMENT PROGRAM SUMMARY
FY 1998 Budget
Project General Public Works Total
Phase Improvements Improvements Improvements
Construction $1,875,000 $13,320,000 $15,195,000
Planning/Design 2,725,000 13,500,000 16,225,000
Proposed Addition 9,740,000 25,900,000 35,640,000
Total Program Costs $14,340,000 $52,720,000 $67,060,000
Funding
Financing for the annual program is provided by the "cash flow" approach, whereby
debt is issued to generate enough cash to pay the actual expenditures during the year
for both existing and new projects. This approach provides the most efficient use of the
public tax 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 construction phase projects have sufficient funding through completion. Specifically
from the proceeds of $8M in Certificates of Obligation, state funds, a Community
Development Block Grant allocation and available fund balance.
Projects in the planning/design phase, which total $16.2M, will require funding in the
form of certificates of obligation or general obligation bonds. Because these projects
are in the initial planning stage it is anticipated that the additional funding requirements
will be phased in over two years with $6 - 8M being issued in 1998 and $6 - 8M in
1999. Interest earnings generated will provide additional resources.
Capital Improvement Program - 1998
May 13, 1997
Page 3
Debt Service Fund
In order to provide for the retirement of debt, the City maintains a Debt Service Fund.
Funded by the dedication of $0.265 of the $0.615 property tax rate, it provides the
necessary resources sufficient to pay interest as it comes due and to provide a reserve
fund which is adequate to meet principal requirements as it matures. The projected
Debt Service fund balance at 9/30/97 is $4.8M. Refinancing of the callable portion of
the 1987 and 1993 Refunding Bonds combined with the issuance of $27M Refunding
Bonds in December 1996 produced a savings of$2M in interest over a nine year period
beginning FY 1997.
The following illustration shows the effect of this diminishing debt service requirement
which has created increased future capacity in the Debt Service Fund.
Debt Service Fund
10,200
a 9,700
9,200
ip-
0
L
8,700
8,200
1998 1999 2000 2001 2002
Fscal Year
-W Property Tax Revenue *-Current Requirements
Estimated debt service requirements for FY 1998, calculated to include new debt, will
increase to $9.5M and grow to $10.4 in FY 2002. Based on current assumptions
relative to assessed valuation, the effect of increased debt capacity and the systematic
reduction of fund balance in excess of 20% of the annual requirement, no increase in
the $0.265 property tax rate dedicated to Debt Service is anticipated to fund the
$16.2M planning/design phase projects.
The current outstanding balance in the Debt Service Fund is $72M.
Capital Improvement Program - 1998
May 13, 1997
Page 4
Conclusion
The Capital Improvement Program is a five year plan designed to annually review the
development and continuing maintenance of the City's infrastructure. The 1998 CIP
includes a detail listing of projects, with estimated costs to complete, for street,
drainage and general government facility improvement projects. Revisions and
amendments may be incorporated into the plan as desired by Council.
Respectfully submitted,
G I.,
Beverly P. �odq4s, CPA
Finance Offic r
I
CAPITAL IMPROVEMENT PROGRAM
1998-2002
AMOUNT
3ENERAL IMPROVEMENTS
A. Construction Phase
Elmo Willard Library $ 1,650,000
Julie Rogers Theatre - Site Improvements 225,000
1,875,000
B. Planning/Design Phase
Amelia Neighborhood Park 150,000
Fire Station No. 6 425,000
Fire Training Center- Improvements 800,000
Municipal Court - Relocation 1,000,000
Parks Maintenance Facility 350,000
2,7_25,000
C. Proposed Additions
Alice Keith Pool - Replacement 1,100,000
Athletic Complex - Lighted sand volleyball court 140,000
Fire Stations No. 3 & 15 900,000
Southend Activity Center 2,000,000
Spindletop Branch Library- Relocation 1,000,000
5,140,000
Total General Improvements $ 9,740,000
?UBLIC WORKS IMPROVEMENTS
A. Construction Phase
Royal Street Outfall - Phase 1 $ 720,000
South Park Relief- Phase 1 3,350,000
Twenty-Third - Calder to Laurel 390,000
West Lucas 8,860,000
13,320,000
B. Planning/Design Phase
Concord Road - IH-10 to Lucas 7,500,000
Eleventh Street - Washington to Fannett 1,500,000
Folsom Road - Crow to Dowlen 1,500,000
Neches River Hike and Bike Trail l Ti ce"-r6-Y 4ALI�, 3,000,000
13,500,000
C. Proposed Additions
Caldwood Outfall 3,000,000
Folsom - Dowlen to Major 3,000,000
Moore Street Relief 3,700,000
Old Dowlen - SH 105 Connector 2,000,000
Prince Street Outfall 9,200,000
Walden- IH-10 to Major 5,000,000
25,900,000
Total Public Works Improvements $ 52,720,000
1
Capital Improvement Program
1998 - 2002
(Listed Alphabetically3
ALICE KEITH POOL - Replacement
The maintenance required on the Alice Keith Pool is increasing annually and
renovation is not a viable option. This project will provide for demolition of the
old pool and construction of a new pneumatically placed below grade concrete
municipal plunge. The proposed project contains approximately 6,000 square
feet of pool area, a 4,000 square foot pool house and off street parking. Site is
yet to be determined. Total project cost is estimated to be $1,100,000.
AMELIA NEIGHBORHOOD PARK
The Park and Open Space Element of the Comprehensive Plan calls for a
neighborhood park in the Amelia area. A 7.2 acre tract of land in the Gulf
Terrace addition has been recommended as the site for the new park. Property
acquisition is underway. Proposed improvements include a parking lot, exercise
trails/stations, spray device, creative playground and shelter. Total project cost
is estimated to be $150,000.
ATHLETIC COMPLEX - Lighted sand volleyball court
Increased league and tournament play warrant the addition of one (1) sand
volleyball court. Additionally, lighting is also recommended for all courts to allow
for play after daylight hours. Project cost is estimated at $140,000.
CALDWOOD OUTFALL
When completed, this project will double the capacity of the Caldwood Addition
Outfall and relieve street flooding. The project, broken up into two phases
includes installation of a trunk system on East Caldwood, 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 50
inlets and reconstruction of Cross, North Caldwood, Central Caldwood, and
South Caldwood Streets. The estimated cost of this project is $3,000,000.
2
CONCORD ROAD - IH-10 to Lucas
This project is needed to relieve the north/south traffic congestion on Eastex
Freeway as well as to provide an extension of MLK Parkway. Concord Road has
an indefinite right-of-way and as a result, additional right-of-way requirements
are difficult to determine. The addition of a curb and gutter section will also
require the construction of an outfall to complement this project as well as the
Prince Street Outfall Drainage Project. This project will provide for the
reconstruction of Concord Road from IH-10 to East Lucas into an arterial
roadway. Right-of-way acquisition and construction costs are included in the
estimate. Estimated cost to complete is $7,500,000.
ELEVENTH STREET -Washington to Fannett
Washington Boulevard to Fannett Road is the only section of 11th Street that is
not four lanes. Heavy traffic has caused failures in the existing roadway. The
11th Street project provides for reconstruction of this section of roadway into a
four-lane concrete curb and gutter arterial. The construction of an underground
storm sewer is also included. This construction will not require any right-of-way
acquisition. The cost of this project is estimated at $1,500,000.
ELMO WILLARD LIBRARY
This project provides for the site acquisition and construction of a new library
facility in the north end of Beaumont. Approximately 7 acres of land was
acquired in February 1996 at the comer of Helbig Road and Lucas Drive.
Construction began in October and should be completed by September 1997.
Estimated cost of this project is $1,650,000.
FIRE STATION NO. 6
The current building, which was acquired from Drainage District #6 in 1958, is
subject to flooding and plumbing problems. This station serves the Amelia and
southwestern areas of the city. This project would provide for the construction of
a new standard station. A permanent facility would include a vehicle bay for first
responder assignments and provide a more substantial shelter for the engine
companies. Total project cost is estimated at$425,000.
FIRE STATIONS - No. 3 & 15
This project would provide for the construction of two new standard fire stations.
One to replace Station No. 3 and a new station, No. 15, to provide fire protection
to the southwest portion of the city. These permanent facilities would include a
vehicle bay for first responder assignments and provide a shelter for the engine
companies. Total project cost is estimated at $900,000.
3
FIRE TRAINING CENTER - Improvements_
In order to provide for proper drainage at the Fire Training center, the
construction of a retention pond and slow release system for waste water
generated on the field during fire training exercises and heavy rains is required.
Also included in this project will be modifications to the drafting pond and
pumping system; the construction and installation of an oil/water separator; fire
extinguisher reconstruction; and drainage and berm construction. Total cost of
this project is estimated at $800,000.
FOLSOM ROAD - Crow to Dowlen
Folsom is currently four lanes from West Lucas to Crow Road; however, from
Crow to Dowlen it is only two lanes with ditches on both sides. Upon completion
of this project, Folsom will be a four lane concrete curb and gutter arterial from
East Lucas to Dowlen Road, which will provide for improved traffic flow. The
construction of an underground storm water sewer is also included. The cost of
this project is estimated at $1,500,000.
Dowlen to Major
Continuation of this project by developing a new roadway through to Major Drive
will provide a much needed connection in the vicinity of the Parkdale Mall area.
It will provide some relief from the current and future levels of traffic demand.
Other development on Major Drive (private school, residential) will further create
a demand for this roadway. The right-of-way for this project has been secured.
The estimated cost for this project is $3,000,000.
JULIE ROGERS THEATRE - Site Improvements
Site improvements include construction of sidewalks, a storm drain system,
grading, installation of a roof drain system, installation of electric conduit and the
construction of a parking lot. The parking lot will be constructed across the street
at the site of the former LaSalle Hotel. Estimated cost for this project is
$225,000.
4
MOORE STREET RELIEF
The lack of roadside drainage 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.
Drainage generally flows westward from Highland Avenue and southerly from
East Lavaca to University Drive, where storm sewer pipes convey the storm
water to the Moore Ditch. Proposed improvements include the construction of
storm sewers, the removal of a concrete restriction at old Lower Neches Valley
Authority Crossing and realignment of the channel, the installation of a box
culvert crossing Highland Avenue and the replacement or modification to
existing inlets. The preliminary engineering design is complete. The cost of this
project is estimated at $3,700,000.
MUNICIPAL COURT - Relocation
The City acquired the former White House building located at 700 Orleans and
the first floor has been targeted as the site to relocate Municipal Court. Activity
at Municipal Court is currently over capacity. Renovation to the 16,000 square
foot ground level includes two courtrooms, office area for prosecutors and
judges, secured staff work area with storage rooms, public restrooms and an
employee lounge. Parking is provided at the rear of the building with potential
lease options on additional parking on Park Street. Estimated cost to renovate
the first floor is $1,000,000.
NECHES RIVER HIKE AND BIKE TRAIL
This project would provide for the construction of a hike and bike trail from
Riverfront Park to Collier's Ferry Recreational Area and Nature Preserve. The
project is located on the IH-10 viewshed and would provide an opportunity for
travelers on IH-10 to stop and view the Neches River and its habitat. Because of
the project's location, it has been selected to receive federal funding from the
Statewide Transportation Enhancement Program through the Texas Department
of Transportation (TxDOT). Total project cost is estimated at $3,000,000 with
TxDOT funding 80% of the cost.
5
OLD DOWLEN - SH 105 Connector
Due to the significant development in the Parkdale Mall area, a very high
demand has been placed on Old Dowlen Road between Dowlen and SH 105.
While the Dowlen/Old Dowlen intersection has been signalized, little room for
improvement exists at the Old Dowlen/SH 105 intersection due to its close
proximity to US 69. Accommodating the various intersection movements and
traffic queuing will require the relocation of the north section of Old Dowlen
Road several hundred feet west. This change would move the intersection
further away from US 69, and it would allow the installation of a traffic signal.
Pavement widening to provide a curb and gutter street will allow greater traffic
loads with much less required maintenance. The estimated cost for this project is
$2,000,000.
PARKS MAINTENANCE FACILITY
The Parks Division operations/maintenance function is relocating from the Water
Production facility on Pine Street and requires a storage facility for fleet
equipment and tools. This project will provide for the construction of such a
facility. Total project cost is estimated to be $350,000.
PRINCE STREET OUTFALL
The Prince Street drainage area covers approximately 1,350 acres. This area is
bounded roughly by East Lucas on the north, Pine Street on the east, Maple
Avenue on the south, Concord Road on the southwest and Detroit Avenue on
the west. Natural ground elevation in the study area varies from 33 feet in the
Fair Park area to 5 feet in the area east of Pine Street and 10 feet in the area
north of Lucas, the Hayes Gully outfall. Roadside ditches, which are not
adequate to handle the amount of runoff, comprise 70% of the drainage system
in the project area. This area is also comprised of four sections which drain
independently of each other. The northwest area drains into Hayes Gully Outfall,
and the other three areas drain to the east into Brakes Bayou. The completion of
this project will require the installation of trunk lines, inlets, manholes and
connecting pipe improvements, which will provide for a more consolidated and
effective drainage system. The preliminary design is complete. Total cost of this
project is estimated at $9,200,000.
6
ROYAL STREET OUTFALL - Phase I
This project is necessary to relieve drainage problems encountered around the
area of Royal Streets from MLK Boulevard to the Southern Pacific Railroad
tracks. The project will consist of the installation of a trunk line system and the
replacement of approximately 350 substandard inlets. The first of four phases
includes the installation of a 5' x 5' box on Craig Street from MLK to Avenue C
and then on Avenue C from Craig Street to Royal Street. The existing trunk line
on Royal is being relocated to Craig in order to accommodate the Beaumont
Independent School District's plans to construct the new ML King School. The
estimated cost of the City's share for Phase I is $720,000.
SOUTH PARK RELIEF - Phase I
The South Park watershed area is prone to flooding during moderate to heavy
rainfalls. There are approximately 445 acres in the watershed which drains in a
southerly direction through two main trunk lines in Ector and Park Streets.
These main trunk lines combine at the intersection of Ector and Virginia Streets
and then continue south to Jefferson County Drainage District No. 6 Outfall
Ditch 104-B (Ector Street Ditch). The South Park Relief project to be constructed
in several phases includes the construction of the Chaison Street trunk line from
the Southern Pacific Railroad right-of-way to Threadneedle, the Brockman Street
lateral from Fonville Avenue to Avenue A. The estimated total cost for this
project is $3,350,000. Construction contract was awarded March 26, 1996.
SOUTHEND ACTIVITY CENTER
This project would provide for construction of a new activity center in the south
end of the City in order to make program opportunities available to area citizens.
Estimated cost of this project is $2,000,000.
SPINDLETOP BRANCH LIBRARY - Relocation
This project will provide for the construction of an 8,000 - 10,000 foot library
facility in the south end of the city. The current location of the Spindletop Branch
Library is very crowded and unable to grow. Due to this space limitation, an
adequate supply of books is not available and children's activities are limited.
Cost of site acquisition and construction is estimated at$1,000,000.
TWENTY-THIRD - Calder to Laurel
This project provides for the rehabilitation of 23rd Street from Calder to Laurel
which is considered a higher priority than the remaining section (a separate CIP
project for an overpass) due to the impact of the Liberty/Laurel and Lucas Street
Projects. The cost of this project is estimated at$390,000
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WALDEN - IH-10 to Major
A development trend is driving the need to improve Walden Road between IH-10
and Major Drive. There are also businesses along Walden that utilize a number
of heavy trucks. The total cost for the construction of this roadway is estimated
to be $5,000,000.
WEST LUCAS
In order to provide an additional north/south corridor, it is necessary to
reconstruct West Lucas into an arterial roadway. Installation of the concrete curb
and gutter street will also require an outfall to be constructed capable of
handling the runoff from adjacent property and from the newly constructed street.
A review of the drainage requirements disclosed the lack of adequate outfall for
the project. Without an outfall, the runoff will have to be carried from Folsom to
Hiilebrandt Bayou, which is approximately two miles. The limits of this project are
from Phelan Boulevard to Folsom Road. Construction is underway for this
project and completion is expected mid 1997. Total project cost is estimated at
$8,860,000.
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CAPITAL IMPROVEMENT PROGRAM
ether Projects for Future Considers+ion
AMOUNT
GENERAL IMPROVEMENTS
Airport Runway Extension $ 350,000
Athletic Complex - Softball fields 1,350,000
Lefler Park - Basketball court and parking lot 110,000
Tyrrell Park- Golf course parking lot 150,000
$ 1,960,000
PUBLIC WORKS IMPROVEMENTS
Avenue A -Virginia to Cardinal Drive $ 2,000,000
Broadway Box 1,500,000
Calder Avenue - 18th to West Lucas 1,000,000
Concord - Lucas to Hwy 105 7,000,000
Delaware - Dowlen to Major 3,500,000
Dowlen Road - College to Walden 4,000,000
Fannett Road Outfall 700,000
Fannin Street Box 8,400,000
High School Ditch 8,000,000
Laurel Avenue & Laurel/Phelan Connector 1,500,000
Phelan Boulevard 1,500,000
Royal Street Outfall 1,680,000
(South Park Relief 3,600,000
Twenty-Third Street Overpass 2,500,000
Virginia - Mercantile to Avenue A 2,500,000
Washington Boulevard - Langham to Major 2,500,000
$ 51,880,000
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CAPITAL IMPROVEMENT PROGRAM
Other Projects for Future Consideration
(Listed Alphabetically)
AIRPORT RUNWAY EXTENSION
Lengthening the existing runway will allow larger aircraft to use the Beaumont
Municipal Airport, which could increase facility use. This project provides for the
extension of runway 13-31 and taxiway, including runway lighting and marking of
displaced thresholds. This has the potential for TX Department of Transportation
(TxDOT) grant funding of 90%. Estimated cost for this project is $350,000.
ATHLETIC COMPLEX - Softball fields
Three new softball fields are needed to meet the increasing demand of the
women's leagues and younger groups. The popularity of softball is
overburdening the existing fields. This project will provide for the preparation of
the site and entry road, fencing, scoring structures, parking lot, restrooms,
lighting and concessions. Estimated cost for this project is $1,350,000.
AVENUE A -Virginia to Cardinal Drive
Avenue A from Virginia to Cardinal Drive is currently a two lane asphalt roadway
that will connect to the TxDOT proposed Spur 93. This new TxDOT highway will
provide better access to the prison system located in mid Jefferson County. With
the reconstruction of Avenue A into a four lane roadway, the increased traffic
along this corridor will be relieved. Estimated cost for this project is $2,000,000.
BROADWAY BOX
This project is designed to relieve the 204 acre area served by the Broadway
Box, by cross connecting the box with a parallel box in the abandoned Southern
Pacific Railroad right-of-way and reconstructing or replacing damaged or
overloaded inlets. This area runs between Eighth Street and the Neches River.
This project was originally included in the High School Ditch project, but was
removed due to the outfall location. Estimated cost for this project is $1,500,000.
CALDER AVENUE - 18th to West Lucas
To relieve traffic congestion on Phelan Boulevard during peak hours, the
widening of Calder into a four-lane roadway from 18th to West Lucas is
necessary. Additionally, a significant increase in traffic has been realized due to
the substantial completion of the West Lucas and Liberty/Laurel Overpass
Projects. Estimated cost for this project is $1,000,000
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CONCORD ROAD - Lucas to Hwy 105
This project will provide for a continuation of the reconstruction of Concord Road
through to Hwy 105. Estimated cost for this project is $7,000,000.
DELAWARE - Dowlen to Major
The extension of Delaware is required to provide an additional east/west corridor
from Eastex Freeway through to Major Drive. The limits of this project would run
from Dowlen Road to Major Drive. Most of the street right-of-way has been
donated, except in the area where an active tank farm exists. The oil field
company anticipates closing the tank farm by 2005. Upon completion of oil field
activities, it is anticipated that the property will become available for
development. Property acquisition could delay completion of the middle portion
of the project, and may require construction to be completed in more than one
phase. The remaining right-of-way requirements are contingent upon oil field
activity completion. Estimated cost for this project is $3,500,000.
DOWLEN ROAD - 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 $4,000,000.
FANNETT ROAD OUTFALL
This project is required to improve the drainage in the Fannett Road area. The
construction of a trunk line system along Fannett Road to Harriot was recently
completed. It is now necessary to redirect the flows of existing ditches on each
side of Fannett Road into this trunk line system. Estimated cost for this project is
$700,000.
FANNIN STREET BOX
This project is needed to provide for more effective drainage of the Fannin Street
Box System which is approximately 490 acres. This project will include the
construction of 2,850 feet of concrete lined ditch, 8,200 feet of concrete boxes
and approximately 1,000 feet of pipe ranging from 18 inches to 72 inches.
Engineering for this project is complete. Estimated cost for this project is
$8,400,000.
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. The primary outfall for the High School Ditch Drainage area is a 9 foot x
6 foot concrete box culvert which runs from Oxford Street under the Southern
Pacific Railroad tracks and South 11th Street to a concrete lined ditch section
near 13th Street. The concrete lined ditch runs to near Highway 69, 96, 287, and
IH-10, where the flow is carried under the highway by three 7 foot x 8 foot
concrete box culverts. The lined concrete ditch then conveys the flow from the
west side of the highway approximately 1,300 feet to Hillebrandt Bayou Oxbow.
The engineering phase of this project is complete. Estimated cost for this project
is $8,000,000.
LAUREL AVENUE & LAUREL/PHELAN CONNECTOR
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 for a 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 1-10 Overpass. This project, in conjunction with the Calder project, will
complete the arterial system in this area. Estimated cost for this project is
$1,500,000.
LEFLER PARK - Basketball court and parking lot
The demand for playing time and parking space indicates the need for an
additional basketball court and parking area for Lefler Park. This project will
provide for the construction of both. Estimated cost for this project is $110,000.
PHELAN BOULEVARD
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 Bea:urnont.
The current roadway cannot adequately handle the traffic demand and requires
widening to a four lane curb and gutter section. Estimated cost for this project is
$1,500,000.
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ROYAL STREET OUTFALL - Remaining Phases
Provides for the completion of Phases II, 111, and IV of the Royal Street Outfall
Project. Estimated cost for this project is $1,680,000.
SOUTH PARK RELIEF - Remaining Phases
The remaining Phases of the South Park Relief project includes 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 $3,600,000.
TWENTY-THIRD STREET OVERPASS
Due to the impact of the Liberty/Laurel and West Lucas projects, the extension
of 23rd Street will be needed to maintain a smooth flow of traffic in this area.
This project will involve the rehabilitation of 23rd Street from Laurel Street to the
Southern Pacific Railroad tracks with the construction of an overpass at the
railroad tracks. Estimated cost for this project is $2,500,000.
TYRRELL PARK - Golf course parking lot
This project will provide for the renovation of the parking lot at the Henry
Homberg Golf Course. Present parking is inadequate. Problems to be addressed
include layout and drainage. Estimated cost for this project is $150,000.
VIRGINIA - Mercantile to Avenue A
Virginia Street is currently four lanes from Fourth Street to Mercantile Street.
The section from Mercantile to Avenue A is only two lanes with ditches on both
sides. The reconstruction of this section into a four lane concrete curb and gutter
roadway would provide a continuous collector between Fourth Street and
Avenue A. This construction would not require any additional right-of-way.
Estimated cost for this project is $2,500,000.
WASHINGTON BOULEVARD - 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 Road was a
participation project with TxDOT and has been completed for several years. The
completion of the last section should be scheduled to coincide with
improvements on Major Drive. Estimated cost for this project is $2,500,000.
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