HomeMy WebLinkAboutPACKET JUL 13 2010 RICH WITH OPPORTUNITY
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REGULAR MEETING OF THE CITY COUNCIL
COUNCIL CHAMBERS JULY 13, 2010 1:30 P.M.
CONSENT AGENDA
* Approval of minutes - June 29, 2010
* Confirmation of committee appointments
A) Approve a six month contract for the purchase of cement liner material
B) Approve the purchase of seven Pellerin washer-extractor systems for use by the Fire
Department
A
RICH WITH OPPORTUNITY
BEAUMON*
T • E • x • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider authorizing the award of a six(6) month
contract for cement liner material.
RECOMMENDATION
Administration recommends award of a contract to Standard Cement Materials, Inc., of Houston
in the estimated amount of$105,840.
BACKGROUND
The City sanitary sewer system utilizes thousands of brick and mortar manholes. Over time,
mortar deteriorates and gives way, creating voids which can allow the infiltration of storm water
into the sanitary sewer system. This infiltration creates the potential for sanitary sewer overflows,
which are public health risks, and are subject to fines by the Texas Commission on Environmental
Quality(TCEQ).
The Water Utilities Department has developed a Sanitary Sewer Overflow Initiative(SSOI)with
the TCEQ which removes the threat of fines for overflows during a five (5)year period, providing
the Department adheres to the action plan. A component of this plan is the rehabilitation of
damaged manholes by spray applying a cement liner material to the interior of the manhole, and
thereby filling the voids caused by deteriorated mortar. The SSOI requires the rehabilitation of
600 liner feet of manholes per month in order to avoid an administrative order or fine.
Six(6)vendors were solicited for bids, and there was one(1)response. The quoted price
represents no change. The contract has been held by Standard Cement Materials, Inc., for several
years.
BUDGETARY IMPACT
This expenditure is budgeted in the Water Utilities Fund.
RICE 71T7 eeroxfTir-, CITY OF BEAUMONT,BEAUMONT,TEXAS
BEAUNOWPURCHASING DIVISION BID TABULATION
Bid Nam: Six(6)Month Contract for Cement Liner for Manhole Rehabilitation
Bid Humber. BF041"
Bid Opening: 6117110
Contact Person: Robert(Bob)Hollar.Buyer 11
rho1ar2&beaumonLtx_us
Phone: 4DO-680-3758
Vendor Standard Cement Matt
City 1 State HOUSTON
Phone or Fax No_ 71 6511-0/82
QTY Unit Prim Extended
REM DESC (cgs) PliOe
Cement liner
1 Material 5.400 $119.60 $1185,111140.00
TOTAL BID $105,040.00
Additional Pricing 0
NOTE: AWARDED VENDOR LS HIGHLIGHTED.
No Bid: Enviro Remediation.Knife River,Transit Mix, Southwest Quickrete
RICH WITH OPPORTUNITY
T • E BEAUMON*x • A • s City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider approving the purchase of seven(7)
Pellerin washer-extractor systems.
RECOMMENDATION
The Administration recommends approval of the purchase from Pellerin Laundry Machinery Sales,
Inc., of Houston, in the amount of$60,625.
BACKGROUND
Fire Fighter bunker gear requires a special type of washing equipment to safely and effectively clean
and maintain heat resistance. The City presently has one(1)unit located at Fire Station 1. This single
location requires personnel from other stations to travel to that location to wash their equipment.The
Department requests that this equipment be placed in additional stations to provide an efficient use
of resources.
Pellerin Laundry Machine Sales is the manufacturer of the washer-extractor system. Vendor has
submitted documentation that they are the sole source and is exempt from competitive bidding.
BUDGETARY IMPACT
Funding for this purchase is provided by the FEMA Assistance to Fire Fighters Grant (80%)and
the City's required match (20%) is available in the Capital Reserve Fund.
RICH WITH OPPORTUNITY
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REGULAR MEETING OF THE CITY COUNCIL
COUNCIL CHAMBERS JULY 13, 2010 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
1. Consider approving the engagement of bond counsel and a placement agent
relating to the proposed issuance of up to $35 Million of Waterworks and Sewer
Revenue Bonds, Multiple Series 2010
2. Consider approving an ordinance authorizing the issuance of approximately
$19,200,000 in City of Beaumont, Texas, Waterworks and Sewer System
Revenue Bonds, Taxable Series 2010B (Build America Bonds - Direct Payment to
Issuer), the election to designate this series of bonds as`Build America Bonds,"
and containing other matters related thereto
3. Consider approving an ordinance authorizing the issuance of approximately
$7,200,000 in City of Beaumont,Texas, Waterworks and Sewer System Revenue
Refunding Bonds, Series 2010, and approximately$6,600,000 in City of
Beaumont, Texas,Waterworks and Sewer System Revenue Bonds, Series 2010A,
and containing other matters related thereto
4. Consider approving a resolution to provide for the reimbursement of costs
incurred prior to issuance of tax-exempt Waterworks and Sewer System Revenue
Bonds and taxable Waterworks and Sewer System Revenue Bonds (Build
America Bonds)
5. Consider approving a contract for the purchase of traffic marking materials
6. Consider authorizing the purchase of traffic signal cabinets and controllers
7. Consider approving Change Order No. 2 for the Downtown Brick Paver Sidewalk
Project 2008
8. Consider approving a contract to construct a new equipment maintenance shop
and an oil drum storage facility at the Landfill
9. Consider approving the purchase of eleven Thermal Imaging Systems for use by
the Fire Department
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 Mitchell Normand at 880-3777 three days prior to the meeting.
1
July 13,2010
Consider approving the engagement of bond counsel and a placement agent relating to the
proposed issuance of up to $35 Million of Waterworks and Sewer Revenue Bonds, Multiple
Series 2010
RYCA WITH OPPORTUNITY
11EM . �
T • E • X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager ((��
PREPARED BY: Laura Clark, Chief Financial Officer Uvf
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider approving the engagement of bond
counsel and a placement agent relating to the proposed
issuance of up to $35 Million of Waterworks and Sewer
Revenue Bonds, Multiple Series 2010.
RECOMMENDATION
The administration requests approval of a resolution authorizing the engagement of Orgain, Bell
& Tucker, LLP, Beaumont, Texas, as bond counsel and RBC Capital Markets Corporation,
Houston, Texas, as placement agent in order to proceed with the issuance of Multiple Series
2010 Waterworks and Sewer Revenue Bonds, not to exceed $35 Million.
BACKGROUND
The revenue bonds will be issued to finance expansion, repair, renovation and related
improvements to the waterworks and sewer system and to refund Series 2000 revenue bonds .
Issuance of the Bonds is scheduled for July 13, 2010 with delivery and receipt of proceeds by the
City on August 12, 2010.
BUDGETARY IMPACT
All debt and other expenses related to the Revenue Bonds will be incurred by the Water Utilities
Fund and supported by revenues derived from the water and sewer system.
ORG.XIN BELL&TUCKER,LLP
"R7Rt•IEY'S AT LAW
Benny H.Hughes
470 Orleans Street I P.O.Box 1751
Beaumont,Texas 77704-1751
409.838.6412,ext.365 1 Direct 409.951.7465
Fax 409.951.7365
Email:bhh @obt.com or BennyHughes@msn.com
Other offices in Houston—The Woodlands
and Silsbee I online at www.obt.com
June 8, 2010
City of Beaumont
Attention: Kyle Hayes, City Manager
801 Main Street
Beaumont, Texas 77701
Re: Waterworks and Sewer Revenue Bonds, Multiple Series 2010
Dear Mr. Hayes:
This letter will confirm the terms of our engagement as bond counsel to the City of
Beaumont, Texas (the "City") relating to the City's proposed issuance of its Waterworks and
Sewer Revenue Bonds, Multiple Series 2010, in the principal amount of up to $35,000,000
(herein collectively referred to as the "Bonds").
As bond counsel, the services to be provided by our firm will include (1)preparation and
drafting of all documents customarily prepared by bond counsel in order to issue the Bonds, (2)
preparation and delivery of our firm's opinions relative to the tax-exempt status of the Bonds and
the absence of registration requirements, (3) review of any official statements used to market the
Bonds, as well as preparation of disclosure Bonds to be delivered by the City, (4)review of the
disclosure investigations made on behalf of the City, (5)preparation and filing of all documents
necessary to obtain approval of the Attorney General of the State of Texas and registration of the
Bonds with the Comptroller of Public Accounts, (6)review and examination of all bond
insurance agreements, if applicable, and (7) review of any Bond purchase agreement proposed
by the underwriters for the Bonds.
We will provide these services to the City for a fee equal to 15 basis points (i.e. 0.15%)
of the face amount of the Bonds issued, but subject to a minimum fee of$15,000. If the Bonds
are issued in more than one series, then this fee schedule will be applicable to each series of
Bonds, and the fee will be payable only at the time of delivery of the Bonds. This fee does not
include any fee for co-bond counsel, should the City elect to employ one.
In addition to payment of the fees set forth above, the City will reimburse our firm for the
reasonable and actual out-of-pocket expenses incurred in each financing transaction. Such
expenses typically average approximately$1,500 to $2,000 per transaction. These expenses are
City of Beaumont
June 8, 2010
Page 2 of 2
in addition to the expenses the City will incur for publication costs and the fee payable to the
Texas Attorney General's Office for its examination and approval of the Bonds.
We very much appreciate the opportunity to serve the City in this matter.
Sincerely yours,
ORG BE & TUCKER, LLP
Benny H. H es
BHH/lr
ACCEPTED ANDAGREED TO this day of 2010.
THE CITY OF BEAUMONT, TEXAS
By:
Its:
Z
July 13,2010
Consider approving an ordinance authorizing the issuance of approximately $19,200,000 in City
of Beaumont, Texas, Waterworks and Sewer System Revenue Bonds, Taxable Series 2010B
(Build America Bonds - Direct Payment to Issuer), the election to designate this series of bonds
as `Build America Bonds," and containing other matters related thereto
RICH WITH OPPORTUNITY
[I I'Ll ► �
T • E • X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager yy�`��
PREPARED BY: Laura Clark, Chief Financial Officerw-1
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider an ordinance authorizing the issuance of
approximately $19,200,000 in City of Beaumont, Texas,
Waterworks and Sewer System Revenue Bonds, Taxable
Series 2010B (Build America Bonds - Direct Payment to
Issuer), the election to designate this series of bonds as
"Build America Bonds," and containing other matters
related thereto.
RECOMMENDATION
Administration requests approval.
BACKGROUND
Results of the sale will be presented by the City's Financial Advisor, Ryan O'Hara of RBC
Capital Markets. A recommendation will be made to award the bonds to the underwriters.
The American Recovery and Investment Act of 2009 authorizes the City to issue taxable bonds
known as "Build America Bonds (Direct Payment to Issuer)" to finance capital expenditures that
could be financed with the issuance of tax-exempt bonds and to elect to receive a subsidy payment
from the federal government equal to 35% of each interest payment on such taxable bonds. The
City has determined to treat the Series 2010B Bonds as Build America Bonds, which will mature
September 1, 2021 through September 1, 2036 with interest payable semiannually in March and
September beginning March 1, 2021.
Delivery and receipt of proceeds by the City is scheduled for August 12, 2010 Proceeds will be
used to provide funds for the expansion, repair, renovation and related improvements to the
waterworks and sewer system.
BUDGETARYIMPACT
All debt shall be incurred in the Water Utilities Fund which is supported by revenues of the
waterworks and sewer system. Increased Water and Sewer rates, necessary to meet debt service
requirements on the Revenue Refunding Bonds, will be presented in a future work session.
3
July 13,2010
Consider approving an ordinance authorizing the issuance of approximately $7,200,000 in City
of Beaumont, Texas, Waterworks and Sewer System Revenue Refunding Bonds, Series 2010,
and approximately $6,600,000 in City of Beaumont, Texas, Waterworks and Sewer System
Revenue Bonds, Series 2010A, and containing other matters related thereto
RICH WITH OPPORTUNITY
[1EA,[11�1U1111
T • E • X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer '
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider an ordinance authorizing the issuance of
approximately $7,200,000 in City of Beaumont, Texas,
Waterworks and Sewer System Revenue Refunding
Bonds, Series 2010, and approximately $6,600,000 in
City of Beaumont, Texas, Waterworks and Sewer System
Revenue Bonds, Series 2010A, and containing other
matters related thereto.
RECOMMENDATION
Administration requests approval.
BACKGROUND
Results of the sale will be presented by the City's Financial Advisor, Ryan O'Hara of RBC
Capital Markets. A recommendation will be made to award the bonds to the underwriters.
Proceeds from the Series 2010 Bonds will be used to refund Series 2000 Bonds issued on August
1, 2000, maturing on September 1, 2019 and September 1, 2020. The refunding bonds will
mature September 1, 2011 through September 1, 2036 with interest payable semiannually in
March and September beginning March 1, 2011.
Proceeds from the Series 2010A Bonds will be used to provide funds for the expansion, repair,
renovation and related improvements to the waterworks and sewer system. The Bonds will
mature September 1, 2011 through September 1, 2020 with interest payable semiannually in
March and September beginning March 1, 2011.
The Bank of New York Trust Company, N.A., Dallas, Texas, will serve as paying
agent/registrar. Delivery and receipt of proceeds by the City is scheduled for August 12, 2010.
BUDGETARYIMPACT
All debt shall be incurred in the Water Utilities Fund which is supported by revenues of the
waterworks and sewer system. Increased Water and Sewer rates, necessary to meet debt service
requirements on the Revenue Bonds, will be presented in a future work session.
4
July 13,2010
Consider approving a resolution to provide for the reimbursement of costs incurred prior to
issuance of tax-exempt Waterworks and Sewer System Revenue Bonds and taxable Waterworks
and Sewer System Revenue Bonds (Build America Bonds)
RICH WITH OPPORTUNITY
I'Em ► �
T • E • X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer
1
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider a resolution to provide for the
reimbursement of costs incurred prior to issuance of tax-
exempt Waterworks and Sewer System Revenue Bonds and
taxable Waterworks and Sewer System Revenue Bonds
(Build America Bonds).
RECOMMENDATION
Administration recommends approval.
BACKGROUND
A maximum aggregate amount of$27 Million in Waterworks and Sewer System Revenue Bonds
and taxable Build America Bonds will be issued in August 2010 to fund water and sewer
projects that have been previously approved by Council and are listed in the 2010 Capital
Program. It is necessary to incur some of the costs associated with these projects prior to the
issuance of the obligations. A resolution allowing for the reimbursement of costs is routine and
will allow the City to continue projects that are currently underway. It is the intent of the City to
reimburse itself out of proceeds of the obligations for all such costs which are paid prior to
issuance. These costs shall include fees paid for engineering and other professional services,
expenditures for materials, and construction costs.
BUDGETARYIMPACT
All debt and related expenses shall be incurred by the Water Utilities Fund which is supported by
revenues derived from the water and sewer system.
A.7
RESOLUTION CONCERNING ISSUANCE OF THE CITY OF BEAUMONT,
TEXAS WATERWORKS AND SEWER SYSTEM REVENUE BONDS,
SERIES 2010A AND THE CITY OF BEAUMONT, TEXAS WATERWORKS
AND SEWER SYSTEM REVENUE BONDS, TAXABLE SERIES 2010B
(BUILD AMERICA BONDS — DIRECT PAYMENT TO ISSUER), AND
OFFICIAL INTENT TO USE PROCEEDS THEREFROM TO REIMBURSE
THE CITY FOR ORIGINAL EXPENDITURES PAID PRIOR TO THE ISSUE
DATE OF SUCH BONDS ON PROJECTS TO BE FINANCED THEREBY
WHEREAS, the City of Beaumont, Texas (the "City") desires and intends to acquire,
expand, renovate, construct, reconstruct, equip, and improve in the Waterworks and Sewer
System located within the City described in Exhibit A attached hereto (collectively, the "Project");
and
WHEREAS, in order to finance and pay the costs of the Project, the City intends to issue
Waterworks and Sewer System Revenue Bonds, Series 2010A and City of Beaumont, Texas
Waterworks and Sewer System Revenue Bonds, Taxable Series 201013 (Build America Bonds —
Direct Payment to Issuer), in the maximum aggregate principal amount of up to $27,000,000 (the
"Obligations"), payable from Waterworks and Sewer System revenues and other sources pledged
to the payment thereof; and
WHEREAS, the City reasonably expects to pay a portion of the capital expenditures for
the Project prior to the issue date of the Obligations from other available sources ("Original
Expenditures")
WHEREAS, the City finds, intends and declares that this resolution and order shall
constitute its official binding commitment and official declaration of intent made pursuant to the
Internal Revenue Code of 1986, as amended (the "Code") and the regulations pertaining thereto,
including but not limited to Treasury Regulation Section 1.150-2, whereas, subject to the terms
hereof, the City declares that it intends to reimburse itself out of the proceeds of the Obligations
for some of the Original Expenditures in connection with the Project paid prior to the issuance of
the Obligations; and
WHEREAS, the City Council, on behalf of the City, finds, considers and declares that the
issuance and sale of the Obligations in the amount and for the purposes set forth will be
appropriate and consistent with the objectives of the City and the laws authorizing the issuance of
the Obligations, and that the adoption of this resolution and order is and constitutes and is
intended as (1) an inducement to proceed with providing for the acquisition, expansion,
renovation, construction, reconstruction, equipping and improvement of the Project, and (2)the
taking of affirmative official action by the City, acting by and through the City Council, toward
the issuance of the Obligations and the reimbursement to the City out of the proceeds of the
Obligations for Original Expenditures paid in connection with the Project prior to the issuance of
the Obligations, all within the meaning of federal income tax laws and regulations with respect to
issuance of tax-exempt obligations; and
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A.7
WHEREAS, the City has given notice of the meeting at which this Resolution is to be
adopted as required by the Texas Open Meetings Law, Chapter 551 of the Texas Government
Code Annotated Vernon's 1994, as amended.
NOW, THEREFORE, BE IT RESOLVED BY THE CITY COUNCIL OF THE CITY OF
BEAUMONT, TEXAS, THAT:
Section 1. Subject to the terms hereof, the City Council adopts this resolution on behalf of
the City of its official intent to
a. Issue the Obligations after the date hereof to provide for the financing of
the Project, in the maximum aggregate principal amount up to $27,000,000, if the City
Council determines that the terms of such financing are in the City's best interest;
b. Take such action and authorize the execution of such documents as may be
necessary in connection with the issuance of the Obligations, providing, among other
things, for payment of the principal of, interest on, paying agents' charges and other fees, if
any, on the Obligations, and the acquisition, expansion, renovation, construction,
reconstruction, equipping and improvement, of the Project, all as shall be authorized,
required or permitted by law and shall be satisfactory to the City;
C. Pay such Original Expenditures on the Projects as are necessary to be
incurred and paid prior to the issue date of the Obligations;
d. Pay such Original Expenditures out of one or more of the following funds
or accounts:
Waterworks and Sewer System Fund
e. Reimburse the City out of proceeds of the Obligations, when issued, for
Original Expenditures paid not more than sixty (60) days prior to the date of adoption of
this resolution of official intent;
f. Take or cause to be taken such other actions as may be required to
implement the aforesaid undertakings or as the City may deem appropriate in pursuance
thereof.
Section 2. The City Manager and Chief Financial Officer are authorized to make
reimbursement allocations from the proceeds of the Obligations in writing that evidences the use
of such proceeds to reimburse the Original Expenditures paid not more than sixty (60) days prior
to the date of adoption of this resolution of Official Intent and to do so in compliance with the
requirements of Treasury Regulation Section 1.150-2.
Section 3. This resolution shall constitute the official declaration of Official Intent by the
City pursuant to which the City declares that it intends to reimburse itself out of the proceeds of
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A.7
the Obligations for Original Expenditures as provided herein, and is made pursuant to Treasury
Regulation Section 1.150-2 and generally with the laws and regulations of the federal income tax
laws governing the issuance of tax-exempt obligations.
Section 4. This resolution and order and the declaration of official intent herein shall be
available for public inspection at all times at the City's business office and shall remain available
for public inspection until the Obligations are issued and thereafter this resolution shall be
maintained as part of the permanent records of the City Council of the City.
[The remainder of this page is intentionally left blank]
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A.7
PASSED AND APPROVED this day of , 2010.
THE CITY OF BEAUMONT, TEXAS
By:
MAYOR
ATTEST:
CITY CLERK
THE CITY OF BEAUMONT, TEXAS
(SEAL)
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A.7
EXHIBIT "A"
Design or Construction Phase Estimated Cost
Master Plan for Water& Sewer System $ 400,000
Water Department Security System 250,000
Water Projects:
36"Transmission Line 8,800,000
Ammonia Addition to Loeb Well 550,000
Automatic Flushing Devices 100,000
Lawson's Pump Station 700,000
Loeb Tank Rehabilitation 230,000
Water Bottling Plant 1,500,000
Water Line and Fire Hydrant Installation/Replacement 3,000,000
Water Rights Study 200,000
Water Treatment Plant Improvements—Phase II 8,750,000
Sewer Projects:
54"Central Trunk Rehabilitation 6,000,000
60"Trunk Line Rehabilitation 5,000,000
72"and 36"Trunk Lines Rehabilitation 6,000,000
Degritter—Wastewater Treatment Plant 8,000,000
Dredge Ponds 1 and 2 at Wastewater Treatment Plant 800,000
East Lucas Relief Project 2,200,000
Florida Avenue& Fannett Road Interceptors 3,000,000
Frint Lift Station 1,200,000
Grit Pump Replacement—Wastewater Treatment Plant 1,150,000
Lift Station Repairs 1,200,000
Sanitary Sewer Rehabilitation—Small Mains(Pipe Bursting) 6,000,000
Twenty-Third Street Lift Station 1,500,000
Wastewater Treatment Plant Aerobic Digesters 350,000
Wastewater Treatment Plant Bar Screens 1,300,000
Wastewater Treatment Plant Clarifiers Rehabilitation 3,800,000
Wastewater Treatment Plant Generators 2,200,000
Wastewater Treatment Plant Holding Pond 2,700,000
Wastewater Treatment Plant Master Plan 600,000
Wastewater Treatment Plant Piping Rehabilitation 1,200,000
Wetlands Design& Rehabilitation 10,250,000
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A.7
Design or Construction Phase(continued) Estimated Cost
Water/Sewer for Street Projects:
Avenue A—Washington to US 69S $ 780,000
Belvedere—Regina to Dead End 380,000
Calder—Main to Phelan 2,496,000
College Street—IH-10 to Goliad 1,008,000
Concord Road—Phase IV—East Lucas to Hwy 105 1,368,000
Delaware—Concord to Dowlen 3,276,000
Dowlen—College to Walden 1,872,000
Dowlen—IS 69N to Delaware 1,092,000
Downtown Improvements:
Park—Century Tower 50,000
Willow—North to Laurel 50,000
Pearl, Park,Neches, Liberty&College 150,000
East Lucas—US 69N to Pine 2,304,000
Eleventh Street—Washington to US 69N 528,000
Fannett Road 240,000
Fannin—Fourth to Eleventh 997,000
Gladys Street—IH-10 to Dowlen 1,536,000
Gulf Street- Live Oak to Delaware 624,000
Howell—Regina to Sue 467,000
Laurel—IH-10 to Office Park 588,000
Madison—Irving to Grove 132,000
Magnolia—Bowie to East Lucas 2,928,000
North Street—ML King to Twenty-Third 1,152,000
Old Dowlen—Dowlen to Hwy 105 636,000
Regina—Howell to Thomas 456,000
Seventh Street—IH-10 to Laurel 612,000
Washington— IH-10 to ML King 2,400,000
Washington—Langham to Major 2,076,000
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July 13,2010
Consider approving a contract for the purchase of traffic marking materials
RICH WITH OPPORTUNITY
11LM ► (
T • E • X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider authorizing the award of annual contracts
for the purchase of traffic marking materials.
RECOMMENDATION
Administration recommends the award of annual contracts to various vendors which are included
in the attached bid tabulation, totaling an estimated aggregate amount of$511,804.90.
BACKGROUND
Sealed bids were received for annual contracts to purchase a variety of traffic marking materials
on an as needed basis by the Transportation Division of the Public Works Department. These
materials will be used in the construction, maintenance, and installation of traffic signs,
pavement marking, and street repair projects.
The specifications divide products into groups of similar items, such as vinyl reflective sheeting,
ceramic raised markers, pavement marking paint, sign posts, and sign blanks. Specifications
indicate that all sections of similar products are awarded to the lowest overall bidder per section.
Contracts are recommended as follows:
Award of Contracts for Traffic Marking Materials
July 13, 2010
Page 2
ITEMS VENDOR TOTAL
Section 1 - Sign Blanks Vulcan Signs of $44,289.70
Foley, AL
Section 2 - Sign Faces Vulcan Signs of $41,486.50
Foley, AL
Section 3 - Finished Custom Products, Inc. of $53,763.50
Signs Jackson, MS
Section 4 - Sheet 3M Company of $67,026.20
Material St. Paul, MN
Section 5 - Hardware Allied Tube, Inc., of $245,340.00
Harvey, IL
Section 6 - Marking Tantex, Inc., of $32,195.00
Materials Houston
Section 7 - Paint Pathmark, Inc., of $9,217.50
San Marcos, TX
Section 8 - Traffic Trantex, Inc. of $18,486.50
Control Equipment Houston
BUDGETARYIMPACT
These expenditures are provided for in the Public Works Transportation Division's operating
budget and in the Capital Program.
BEAUMON CITY OF BEAUMONT,BEAUMONT,TEXAS
PURCHASING DIVISION BID TABULATION
7 - i - I - ♦♦
Bid Name: ANNUAL CONTRACT FOR TRAFFIC MARKING MATERIALS
Bid Number: SF0510-39
Bid Opening: 6f24110
Contact Person:Robert(Bob)Holler,Buyer 11
rhollar9ki.beaumont.h.us
Phone: 409.880-3758
Vendor PATHMARK SWARCO 3M COMPANY TRANTEX,INC. ALLIED TUBE VULCAN SIGNS ENNIS PAINT CUSTOM PRODUCTS
City I State SAN MARCOS,T X COLUMBIA,TN ST PAUL,MN HOUSTON HARVEY,IL FOLEY,AL ENIS,TX JACKSON,MS
Phone or Fax No. 800 547-0874 931 386-5900 800 553-1380 281 448-7711 800 882-5543 800 633-6845 331-8118 801 933-8282
SECTION DESCRIPTION SECTION TOTAL SECTION TOTAL SECTION TOTAL SECTION TOTAL SECTION TOTAL SECTION TOTAL SECTION TOTAL SECTION TOTAL
1 SIGN BLANKS $58,643.55 $0.00 .00 .00 .00 0 $0.00 $50,266.30
2 SIGN FACES $62,232.00 $0.00 $0.00 $0.00 $0.00 $41AN.50 $0.00 $45,036.00
3 FINISHED SIGNS $69,061.00 $0.00 $0.00 $0,00 $0.00 $53,942.00 $0.00 63 753.50
4 SHEET MATERIAL $0.00 $0.00 $67,026.20 $0.00 $0,00 $0.00 $0.00
5 HARDWARE $276,040.00 $0.00 $0.00 $305,577.00 $24155S340.00 $332,223.00 $0.00 $309,613.00
6 MARKING MATERIALS $40595.00 $18.025.00 $0.00 21!5.00 $0.00 $0.00 $17,665.00 $41,524.60
7 PAINT 217.50 $0.00 $0.00 $9,378.70 $0.00 $0.00 $35,527.50
8 TRAFFIC CONTROL EQUIP $21,625.00 $0.00 $0.00 1 .50 $0.00 $0.00 1 $0.001 $19.882.00
TO AL BID $537,414.05 $18,025.00 7,026.20 1 $365,637.201 $245,340.00 1 $471,941.201 $53,192.501 $520.085.40
** Section Totals in red represent incomplete bid from vendor
I
6
July 13,2010
Consider authorizing the purchase of traffic signal cabinets and controllers
RICH WITH OPPORTUNITY
I'Lm ► �
T • E • X • A • s City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer(/L
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider authorizing the purchase of traffic signal
cabinets and controllers.
RECOMMENDATION
The Administration recommends the purchase of traffic signal cabinets and controllers from
Naztec, Inc., in the estimated amount of$388,800.
BACKGROUND
The City of Beaumont was awarded a grant to replace outdated traffic signal equipment, install
traffic signal communications, and implement an Advanced Traffic Management System. The
signal cabinets and controllers are an essential component of traffic signal efficiency and vital to
traffic management.
The cabinets and controllers are needed to replace existing units which are failing and to provide
additional signal operational capabilities. Cabinets and controllers were replaced at thirty (30)
intersections in 2009. This purchase will replace existing cabinets and controllers at an additional
thirty-two (32) intersections. In accordance with the requirements of the grant, the project is to
be completed by December 2011. These units will require approximately four (4) months for
delivery, installation will begin upon delivery.
Naztec, Inc., is the sole vendor for this equipment, which is utilized throughout the City and is
the only equipment which is fully compatible with the City's existing traffic signal infrastructure
and the requirements of the grant.
BUDGETARY IMPACT
Funds are available for this expenditure through the Transportation Energy Efficiency Traffic
Signal Synchronization or Stimulus Replacement Grant. The total project is $2,566,853 with
grant award amounting to $2,061,968. The remainder of$504,885 is the City's match which has
already been satisfied through an in-kind match of existing equipment and a cash match on a
prior purchase.
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7
July 13, 2010
Consider approving Change Order No. 2 for the Downtown Brick Paver Sidewalk Project 2008
RICH WITH OPPORTUNITY
IIEA,111�ICIIII
City Council Agenda Item
T • E • X • A • S
TO: City Council
FROM: Kyle Hayes, City Manager
iL'9
PREPARED BY: Tom Warner, Director of Public Works
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider a resolution authorizing approval of
Change Order No. 2 for the Downtown Brick Paver
Sidewalk Project 2008.
RECOMMENDATION
The Administration recommends approval of Change Order No. 2 in the amount of$371,755.55,
for adding construction item quantities to the Downtown Brick Paver Sidewalk Project 2008.
BACKGROUND
On November 4, 2008, City Council awarded Brystar Contracting the contract for the Downtown
Brick Paver Sidewalk Project in the amount of$8,595,437.53. Change Order No. 1 was issued to
increase the construction item quantities for roadway and sidewalk improvements in the amount
of$337,559.00 increasing the contract amount to $8,932,996.53.
Change Order No. 2 is required to add construction item quantities for Brick Sidewalk
improvements for Neches Street (College St. to the railroad tracks), Trinity Street (College St. to
the railroad tracks), south side of College Street(Neches St. to Trinity St.) and Crockett Street
(Park St. to Orleans St.) to the contract. This Change Order in the amount of$371,755.55 will
increase the contract amount to $9,304,752.08. A copy of the change order is attached.
BUDGETARY IMPACT
Funds are available through the Capital Program.
CITY OF BEAUMONT
DO: June 28,2010
P Downtown Brick Paved Sidewalk Project 2008
OWNER: City of Beaumont
CONTRACTOR: BRYSTAR CONTRACTING
CHANGE ORDER NO.: 2
9 AB£O>LO�PIIfQHARA31#}T8 I1F.3RP;; L1li9R llllill� I172E3E&;AE
Add all construction items to the contract outlined below:
Description AMOUNT
EXTRA BRICK SIDEWALK WORK ON NECHES ST.,FROM COLLEGE ST.SOUTH TO THE RAILROAD TRACKS ON BOTH SIDES OF ROAD $151,163.00
EXTRA BRICK SIDEWALK WORK ON TRINITY ST.,FROM COLLEGE ST.SOUTH TO THE RAILROAD TRACKS ON EAST SIDE IF ROAD $96,798.80
EXTRA BRICK SIDEWALK WORK ON COLLEGE ST.FROM NECHES ST.TO TRINITY ST.ON THE SOUTH SIDE OF ROAD $60,157.50
EXTRA BRICK SIDEWALK WORK ON CROCKETT ST.FROM PARK ST.TO ORLEANS ST.ON THE SOUTH SIDE OF ROAD $63,636.25
$371,755.55
O L CONTRACT AMOUNT: $8,595,437.53
N M PREVIOUS CHANGE ORDER NOA: $8,932,996.53
TOTAL AMOUNT OF THIS CHANGE ORDER: $371,755.55
PERCENT OF THIS CHANGE ORDER: 4.32%
TOTAL PERCENT CHANGE ORDER TO DATE: 8.25%
NEW CONTRACT AMOUNT: $9,304,752.08
1 DA7f.A�IDI�D T�3 ff�l7R'!"I?AL'r�3tE�BIB CSXltA6�RDE�
ACCEPTED BY:
CONTRACTOR
APPROVED BY:
JORIS P.COLBERT,CITY ENGINEER
TOM WARNER,DIRECTOR OF PUBLIC WORKS
KYLE HAYES,CITY MANAGER
ABY:
TINA BROUSSARD,CITY CLERK
8
July 13,2010
Consider approving a contract to construct a new equipment maintenance shop and an oil drum
storage facility at the Landfill
RICH WITH OPPORTUNITY
BEA,UMON*
T - E • x • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Tom Warner, Director of Public Works
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider the award of a bid to construct a new
equipment maintenance shop and an oil drum storage
facility at the Landfill.
RECOMMENDATION
Administration recommends the award of a contract to L&L General Contractors of Beaumont
in the amount of$146,916.
BACKGROUND
Bids were solicited for the construction of a new equipment maintenance shop to replace the
open-sided wooden barn previously used for this purpose which was destroyed by Hurricane Rita
in 2005. Specifications requested a Base Bid for all labor, materials, and equipment necessary to
construct an enclosed 3,000 sq. ft. metal structure. The new maintenance shop will feature three
bays with overhead rolling doors measuring 17' high and 18' wide.
Bidders were asked to provide pricing for two alternates. Alternate No. 1 is to construct a
separate 465 sq. ft. metal structure to house lubricants. A separate structure is recommended due
to the flammable nature of the products to be stored.
Alternate No. 2 is for the fabrication and installation of wood floor runners in two of the three
maintenance shop bays. After further review, it was determined that portable mats would provide
the mechanics with a better workspace than permanently installed mats, thus Alternate No. 2 is
not recommended for award.
The following bids were received:
Landfill Equipment Maintenance Facility
July 8, 2010
Page 2
Vendor Location Base Bid & Alt. No. 1 Completion Time
L&L General Contractors Beaumont $146,916 130 days
Goss Building, Inc. Beaumont $150,030 80 days
Cleveland Construction, Inc. Mauriceville $150,984 195 days
Bruce's General Construction Beaumont $155,200 90 days
McInnis Construction Silsbee $159,200 100 days
Cleveco Construction Co., Inc. Lumberton $173,505 70 days
Brammer Construction, Inc. Nederland $174,298 90 days
Lange Brothers, Inc. Pt. Arthur $198,212 90 days
Work is expected to commence in July and be completed within 130 days. There is no MBE
participation on this project.
BUDGETARY IMPACT
Partial funding in the amount of$47,432 is available from the insurance settlement claim received
from Hurricane Rita. The balance, or$99,484 is budgeted in the Solid Waste Management Fund.
9
July 13, 2010
Consider approving the purchase of eleven Thermal Imaging Systems for use by the Fire
Department
RICH WITH OPPORTUNITY
T • E BEAUMON*X • A • S City Council Agenda Item
TO: City Council
FROM: Kyle Hayes, City Manager
PREPARED BY: Laura Clark, Chief Financial Officer
MEETING DATE: July 13, 2010
REQUESTED ACTION: Council consider approving the purchase of eleven(11)
Bullard T3 Max Thermal Imaging Systems for use by the
Fire Department.
RECOMMENDATION
The Administration recommends approval of the purchase from Metro Fire Apparatus Specialists,
Inc., of Houston, in the amount of$109,945.
BACKGROUND
Pricing for these units is obtained through Buy Board. Buy Board is a cooperative purchasing
association providing cities and political subdivisions with the means to purchase specialized
equipment at volume pricing. Buy Board complies with State of Texas procurement statutes, and
satisfies the requirement for competitive bidding.
Thermal Imaging cameras provide real-time imaging through smoke and fire. They offer increased
fire fighting efficiency by locating persons in smoke filled environments.In addition,they substantially
improve firefighter safety by revealing hidden fires within structures. Each system consists of a
camera with a truck mounted charger.
The Department currently has sixteen (16) of these systems. Three(3) are placed on District Chief
cars and thirteen (13) on various fire units throughout the department. These eleven (11) will be
placed on additional fire units.
BUDGETARY IMPACT
Funding for six(6) systems is available through the State Homeland Security Program(SHSP)
Grant, funded at 100%. Funding for the remaining five(5) systems is provided by the FEMA
Assistance to Fire Fighters Grant and the City's Capital Reserve Fund.