HomeMy WebLinkAboutCity of Euless Capital Improvements Program FY2015CITY OF EULESS
Building on a Strong Foundation
201 North Ector Drive
Euless, Texas 76039
www.eulesstx.gov
CITY OF EULESS
LINDA MARTIN, MAYOR
Tim Stinneford, Council Member — Place One
Jeremy Tompkins, Council Member — Place Two
Eddie Price, Council Member — Place Three
Linda Eilenfeldt, Council Member — Place Four, Mayor Pro Tem
Glenn Porterfield, Council Member — Place Five
(Deceased August 16, 2014)
Perry Bynum, Council Member — Place Six
Gary McKamie, City Manager
Loretta Getchell, Deputy City Manager
Chris Barker, Assistant City Manager
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TABLE OF CONTENTS
CAPITAL IMPROVEMENTS PROGRAM
City Officials
Table of Contents .............................................................................................................. i-iv
Letter…………… ............................................................................................................... v-vi
Fund Balance Summary .................................................................................................... vii-ix
FUNDED PROJECTS
Summary of Funded Projects ............................................................................................ 01-02
FY14 Amendments ............................................................................................................ 03
Drainage Projects
Summary of Funded Drainage Projects .......................................................................... 05
DR9903 Miscellaneous Drainage Improvements ................................................... 06-07
DR1101 Flooding Mitigation ................................................................................... 08-09
DR1201 Miscellaneous Creek Maintenance .......................................................... 10-11
DR0000 Boyd Branch Improvements ..................................................................... 12-13
Street Projects
Summary of Funded Street Projects ............................................................................... 15
PS1102 Glade Parks Improvements ...................................................................... 16-17
PS1202 ADA/TAS Infrastructure Improvements..................................................... 18-19
PS1203 Miscellaneous Street Repairs ................................................................... 20-21
PS1303 Cullum Drive Improvements ..................................................................... 22-23
PS1401 FY2014 39th CDBG-ADA/TAS Infrastructure Improvements ..................... 24-25
Wastewater Projects
Summary of Funded Wastewater Projects ...................................................................... 27
WW0002 Miscellaneous Wastewater Rehabilitation .............................................. 28-29
WW0605 TRA Wastewater Payments – Impact ..................................................... 30-31
WW1203 SH183 Phase I Wastewater Relocation .................................................. 32-33
WW1401 Line Replacement – Denton Drive .......................................................... 34-35
Water Projects
Summary of Funded Water Projects ............................................................................... 37
WT0001 Miscellaneous Water Rehabilitation ......................................................... 38-39
WT0101 Water Tank Debt Payment – Impact ....................................................... 40-41
WT0104 Well Repairs ............................................................................................ 42-43
WT0803 Meters and Transponders........................................................................ 44-45
WT0901 TRA Water Payments – Impact ............................................................... 46-47
WT1201 Reclaimed Water Line Extension ............................................................. 48-49
WT1401 Line Replacement – El Camino Real ....................................................... 50-51
WT1402 Fixed Base Meter Reading and Water Meter Changeout ......................... 52-53
WT1403 Reclaimed Water Line Extension Debt Payment – Impact ...................... 54-55
Other Projects
Summary of Funded Other Projects ............................................................................... 57
AC1201 Texas Star Sports Complex Phase IV ...................................................... 58-59
CM0304 Entry Monument Sign Program................................................................ 60-61
CM0804 Redevelopment ....................................................................................... 62-63
DV9901 EDC Incentive Funds .............................................................................. 64-65
ED0101 Planning Consultants .............................................................................. 66-67
ED1002 EDC Contingency .................................................................................... 68-69
FM1201 ADA/TAS Facility Improvements .............................................................. 70-71
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GC1201 TSGC Miscellaneous Improvements ........................................................ 72-73
GC1401 Golf Course Upgrades ............................................................................. 74-75
PD9901 Police & Courts Facility ............................................................................ 76-77
PR0720 Miscellaneous Park Improvements ........................................................... 78-79
PR0804 Park Irrigation ........................................................................................... 80-81
PR1201 Euless Family Life Center Aquatics .......................................................... 82-83
PR1401 Glade Parks Trail Connection Design ...................................................... 84-85
PROPOSED & UNFUNDED PROJECTS
Summary of FY15 Proposed & Unfunded Projects – Sorted by Type ................................ 87-90
Drainage Projects
Summary of FY15 Proposed & Unfunded Drainage Projects .......................................... 91
Bell Hi Addition ...................................................................................................... 92-93
Blessing Branch – Main Street to SH360 ............................................................... 94-95
Hollow Oak Channel Erosion ................................................................................. 96-97
Kynette Drive Culvert Modifications ....................................................................... 98-99
Little Bear Creek Drainage Improvements ............................................................. 100-101
Marlene Drive Culvert Replacement ...................................................................... 102-103
Simmons Drive Culvert Improvements ................................................................... 104-105
Street Projects
Summary of FY15 Proposed & Unfunded Street Projects ............................................... 107
FY2015 40th CDBG – ADA/TAS Infrastructure Improvements ................................ 108-109
FY2015 Street Overlay ......................................................................................... 110-111
FY2016 41st CDGB – ADA/TAS Infrastructure Improvements ................................ 112-113
FY2016 Street Overlay .......................................................................................... 114-115
East Harwood Road Extension .............................................................................. 116-117
State Highway 183 East Improvements ................................................................. 118-119
FY2017 42nd CDBG – ADA/TAS Infrastructure Improvements ............................... 120-121
FY2017 Street Overlay .......................................................................................... 122-123
FY2018 43rd CDGB – ADA/TAS Infrastructure Improvements ............................... 124-125
FY2018 Street Overlay .......................................................................................... 126-127
Traffic Signal – Harwood Road at Bear Creek Parkway ......................................... 128-129
FY2019 44th CDGB – ADA/TAS Infrastructure Improvements ............................... 130-131
FY2019 Street Overlay .......................................................................................... 132-133
E Alexander Lane Reconstruction .......................................................................... 134-135
Bear Creek Parkway Reconstruction ..................................................................... 136-137
Cresthaven Drive Reconstruction .......................................................................... 138-139
Fuller-Wiser Road Reconstruction – Harwood Road to Mid Cities Boulevard ......... 140-141
Fuller-Wiser Road Reconstruction – SH183 to Harwood Road .............................. 142-143
Highland Drive Reconstruction ............................................................................... 144-145
Ross Avenue Extension ......................................................................................... 146-147
South Pipeline Road Reconstruction ...................................................................... 148-149
Vine Street Reconstruction – SH183 to SH10 ........................................................ 150-151
Wastewater Projects
Summary of FY15 Proposed & Unfunded Wastewater Projects ..................................... 153
Line Replacement – Crane Drive ........................................................................... 154-155
Line Replacement – Town Creek Drive .................................................................. 156-157
Line Replacement – Cedar Hills Estates/Hollywood Boulevard .............................. 158-159
Line Replacement – Milam Drive ........................................................................... 160-161
Line Replacement – Oakwood Terrace Addition Phase I ....................................... 162-163
SH183 Phase II Wastewater Relocation ............................................................... 164-165
Line Replacement – Ector Drive/Fayette Drive....................................................... 166-167
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Line Replacement – Oakwood Terrace Addition Phase II ...................................... 168-169
Line Replacement – Kynette Drive/Wilshire Drive .................................................. 170-171
Line Replacement – Huntington/Koen/Atkerson/E Huitt/Slaughter/Martin .............. 172-173
Line Replacement – NW Midway/Rusk/Parker/Rockwall ........................................ 174-175
Line Replacement – Collin Drive/Harris Drive/Irion Drive ....................................... 176-177
Line Replacement – Donley Drive/Shelmar Drive .................................................. 178-179
Line Replacement – Eastcliff Drive/Windlea Drive/Signet Drive ............................. 180-181
Line Replacement – Ector Drive/Donley Drive/Crane Drive.................................... 182-183
Line Replacement – Evans Drive/Canyon Ridge Drive/N Kynette Drive ................. 184-185
Line Replacement – Glenn Drive ........................................................................... 186-187
Line Replacement – Janann Street/Brownstone Drive/Shelmar Drive .................... 188-189
Line Replacement – Lakewood Boulevard/Dogwood Circle/Bocowood Circle ........ 190-191
Line Replacement – Live Oak Drive/Silver Creek Drive/Marlene Drive .................. 192-193
Line Replacement – Mary/Marlene/Commerce/W ilshire/Greenbriar ....................... 194-195
Line Replacement – N Midway Park ...................................................................... 196-197
Line Replacement – Northcliff/Toplea/Windlea/Signet/Kynette/Westcliff ................ 198-199
Line Replacement – S Main Street......................................................................... 200-201
Line Replacement – Sagebrush/Toplea/Wilshire/Yorkshire/Tyler ........................... 202-203
Line Replacement – Sierra Drive ........................................................................... 204-205
Line Replacement – W Donley/Private/Mimosa/Magnolia/Redbud ......................... 206-207
Line Replacement – W Midway/Victoria/Delta/Lamar/Rockwall .............................. 208-209
Water Projects
Summary of FY15 Proposed & Unfunded Water Projects ............................................... 211
24-Inch Valve Replacement – Cinnamon Ln, Anice Ln, Fuller-Wiser Rd ............... 212-213
Line Replacement – S Pipeline Road West ............................................................ 214-215
SH183 Phase II Water Relocation ......................................................................... 216-217
Water System Security Camera Installation ........................................................... 218-219
Line Replacement – Ector Drive, Trojan Trail to Midway Drive ............................... 220-221
Line Replacement – Blessing Creek/Stony Creek/Rock Creek .............................. 222-223
Line Replacement – Kynette Drive, Cyclone Creek to Wilshire Drive ..................... 224-225
Line Replacement – Collin Drive, Dallas Drive to Harwood Road .......................... 226-227
Line Replacement – Collin Drive, Denton Drive to Dallas Drive ............................. 228-229
Line Replacement – Denton Drive, Tarrant Drive to Harwood Road ...................... 230-231
Line Replacement – Dickey Drive North, SH10 to E Huitt Lane ............................. 232-233
Line Replacement – Dickey Drive South, E Huitt Lane to Hilton Drive ................... 234-235
Line Replacement – Dunaway Drive, E Alexander Lane to E Ascot Drive .............. 236-237
Line Replacement – E Huitt Lane, S Main Street to Dunaway Drive ...................... 238-239
Line Replacement – Eastcliff Drive, Toplea Drive to Del Prado Apts ...................... 240-241
Line Replacement – Fuller Drive, Salem Drive to Carter Drive ............................... 242-243
Line Replacement – Hollow Oak Drive ................................................................... 244-245
Line Replacement – Live Oak Court/Live Oak Drive .............................................. 246-247
Line Replacement – Midcreek Drive/Rock Creek Drive/Stony Creek Drive ............ 248-249
Line Replacement – Midway Drive East, N Main Street to Freestone Drive ........... 250-251
Line Replacement – Midway Drive W est, Freestone Drive to Ector Drive .............. 252-253
Line Replacement – Needles Street, Paula Lane to Raider Drive .......................... 254-255
Line Replacement – Paula Lane, Needles Street to S Pipeline Road ..................... 256-257
Line Replacement – S Main Street (North), E Huitt Lane to SH10 ......................... 258-259
Line Replacement – S Main Street (South), Landover Drive to E Huitt Lane .......... 260-261
Line Replacement – S Pipeline Road East, Vine Street to S Main Street .............. 262-263
SH360 Water Crossing .......................................................................................... 264-265
Line Replacement – Shady Creek Drive/Cliffwood Road ....................................... 266-267
Line Replacement – Springwood Court .................................................................. 268-269
Line Replacement – Sunset Drive, S Pipeline Road to S Main Street .................... 270-271
Line Replacement – Westwood Drive, Fuller Drive to Carter Drive ........................ 272-273
Line Replacement – Wildwood Street .................................................................... 274-275
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Line Replacement – Woodvine Drive (East), Cliffwood Road to El Camino Real ... 276-277
Line Replacement – Woodvine Drive (West), Pebble Creek Drive to Cliffwood Rd 278-279
Other Projects
Summary of FY15 Proposed & Unfunded Other Projects ............................................... 281
Car Rental Contingency ......................................................................................... 282-283
Development/Engineering Building Design ............................................................ 284-285
Glade Parks Trail Connection Construction ........................................................... 286-287
Municipal Plaza Improvements Phase I ................................................................. 288-289
Blessing Branch Park Improvements ..................................................................... 290-291
Development/Engineering Building Construction ................................................... 292-293
Municipal Plaza Improvements Phase II ................................................................ 294-295
Texas Star Sports Complex Phase V Design ......................................................... 296-297
Trail Enhancements Phase I .................................................................................. 298-299
Texas Star Sports Complex Phase V Construction ................................................ 300-301
Trail Connection South Euless ............................................................................... 302-303
Trailwood Park Improvements ............................................................................... 304-305
Library Remodel Design ........................................................................................ 306-307
Library Remodel Construction ................................................................................ 308-309
Animal Shelter Expansion/Renovation ................................................................... 310-311
Fire Station #2 Remodel ........................................................................................ 312-313
Kiddie Carr Park Improvements ............................................................................ 314-315
South Euless Park Upgrades ................................................................................. 316-317
Trail Enhancements Phase II ................................................................................. 318-319
Trail Enhancements Villages of Bear Creek ........................................................... 320-321
Wilshire Park Upgrades ......................................................................................... 322-323
COMPLETED PROJECTS
Drainage Projects
Summary of Completed Drainage Projects ...................................................................... 325
Street Projects
Summary of Completed Street Projects .......................................................................... 327
PS1301 FY2013 38th CDBG – ADA/TAS Infrastructure Improvements .................. 328-329
PS1302 FY2013 County Overlay – Trailwood/Summit Ridge/Westpark/Baze ........ 330-331
PS1402 FY2014 County Overlay – Ector Dr/Midway Dr/Trojan Trail ...................... 332-333
Wastewater Projects
Summary of Completed Wastewater Projects ................................................................ 335
WW1301 Line Replacement – Ross Ave/Slaughter Ln/East and West Huitt Ln ..... 336-337
Water Projects
Summary of Completed Water Projects .......................................................................... 339
Other Projects
Summary of Completed Other Projects .......................................................................... 341
Fund Balance Summary - Capital
Estimated FY14 and Budgeted FY15 Capital Improvement Projects
EDC
Developer's Streets Half-Cent General
Escrow CIP CIP CIP
Beg. Working Capital FY14 $1,447,759 $1,656,622 $1,043,408 $681,021
FY14 Estimated Revenues 172,582 687,374 51,987 261,907
Total Available:1,620,341 2,343,996 1,095,395 942,928
FY14 Estimated Project Expenditures (101,830)(1,486,163)(108,162)0
Total Expenses:(101,830)(1,486,163)(108,162)0
Estimated Working Capital FY14 $1,518,511 $857,833 $987,233 $942,928
FY15 Budgeted Revenues 0 10,204,187 50,000 182,000
Total Available:1,518,511 11,062,020 1,037,233 1,124,928
FY15 Project Expenditures 0 (920,600)(50,000)0
Budgeted Carryover 0 (10,129,022)(569,437)0
Total Expenses:0 (11,049,622)(619,437)0
Estimated Working Capital FY15 $1,518,511 $12,398 $417,796 $1,124,928
FY15 Projects
FY2015 40th CDBG - ADA/TAS Improvements 0 495,600 0 0
FY2015 Street Overlay 0 300,000 0 0
Miscellaneous Street Repair 0 75,000 0 0
ADA/TAS Infrastructure Improvements 0 50,000 0 0
Park Irrigation Projects 0 0 25,000 0
Incentives 0 0 25,000 0
Total FY15 Projects $0 $920,600 $50,000 $0
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Fund Balance Summary - Capital
Estimated FY14 and Budgeted FY15 Capital Improvement Projects
Police Car Rental
Redevelopment Facility Tax TSGC TSSC
CIP CIP CIP CIP CIP
Beg. Working Capital FY14 $205,396 $77,526 $762,965 $0 $752,857
FY14 Estimated Revenues 36 26 169,740 599,383 249
Total Available:205,432 77,552 932,705 599,383 753,106
FY14 Estimated Project Expenditures (137,695)(73,480)(452,514)(599,383)0
Total Expenses:(137,695)(73,480)(452,514)(599,383)0
Estimated Working Capital FY14 $67,737 $4,072 $480,191 $0 $753,106
FY15 Budgeted Revenues 400,000 0 1,271,895 65,000 0
Total Available:467,737 4,072 1,752,086 65,000 753,106
FY15 Project Expenditures (400,000)0 (1,271,895)(65,000)0
Budgeted Carryover (66,449)(4,060)(255,672)0 0
Total Expenses:(466,449)(4,060)(1,527,567)(65,000)0
Estimated Working Capital FY15 $1,288 $12 $224,519 $0 $753,106
FY15 Projects
Redevelopment 400,000 0 0 0 0
Glade Parks Trail Connection Construction 0 0 357,545 0 0
Entry Monument Sign 0 0 20,000 0 0
Development & Engineering Building Design 0 0 94,350 0 0
Car Rental Contingency 0 0 700,000 0 0
Municipal Plaza Improvements 0 0 100,000 0 0
Miscellaneous Golf Course Improvements 0 0 0 65,000 0
Total FY15 Projects $400,000 $0 $1,271,895 $65,000 $0
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Fund Balance Summary - Capital
Estimated FY14 and Budgeted FY15 Capital Improvement Projects
Water Wastewater
W&WW Impact Impact Drainage
CIP Fee Fee CIP
Beg. Working Capital FY14 $4,012,491 $1,599,717 $480,530 $1,246,778
FY14 Estimated Revenues 1,200,581 245,151 72,757 27,737
Total Available: 5,213,072 1,844,868 553,287 1,274,515
FY14 Estimated Project Expenditures (3,253,151)(420,901)(100,000)(251,403)
Total Expenses: (3,253,151)(420,901) (100,000) (251,403)
Estimated Working Capital FY14 $1,959,921 $1,423,967 $453,287 $1,023,112
FY15 Budgeted Revenues 10,599,337 517,183 110,856 125,000
Total Available: 12,559,258 1,941,150 564,143 1,148,112
FY15 Project Expenditures (1,540,000) (369,034) (100,000) (125,000)
Budgeted Carryover (10,832,218)0 0 (1,014,426)
Total Expenses: (12,372,218)(369,034)(100,000)(1,139,426)
Estimated Working Capital FY15 $187,040 $1,572,116 $464,143 $8,686
FY15 Projects
Wastewater Line Replacement 622,000 0 0 0
Water Line Replacement 220,000 0 0 0
Meters/Transponders 158,000 0 0 0
Water and Wastewater Rehab 240,000 0 0 0
Well Repairs 300,000 0 0 0
Water Tank Debt Payment 0 248,140 0 0
Reclaimed Water Line Extension Debt Payment 0 120,894 0 0
TRA Payments 0 0 100,000 0
Miscellaneous Drainage Improvements 0 0 0 95,000
Miscellaneous Creek Improvements 0 0 0 30,000
Total FY15 Projects $1,540,000 $369,034 $100,000 $125,000
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CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) DRAINAGE PROJECTSDR9903Misc. Drainage Improvements 812,833$ 25,000$ 837,833$ 143,783$ 694,050$ 932,833$ 95,000$ DR1101Flooding Mitigation500,000$ -$ 500,000$ 18,334$ 481,666$ 500,000$ -$ DR1201 Misc. Creek Maintenance (min bal $100,000)105,000$ -$ 105,000$ 34,534$ 70,466$ 135,000$ 30,000$ DR0000Boyd Branch Improvements 10,000,000$ -$ 10,000,000$ -$ 10,000,000$ 10,000,000$ -$ (1)FB9902Fund Balance - Drainage CIP-$ -$ -$ -$ -$ -$ (6,823)$ 11,417,833$ 25,000$ 11,442,833$ 196,651$ 11,246,182$ 11,567,833$ 118,177$ STREET PROJECTSPS1102Glade Parks Improvements 12,100,604$ -$ 12,100,604$ 2,625,092$ 9,475,512$ 12,100,604$ -$ (2)PS1202ADA/TAS Infrastructure Improvements413,800$ -$ 413,800$ 366,927$ 46,873$ 463,800$ 50,000$ PS1203 Misc. Street Repairs (min bal $150,000)300,000$ 30,000$ 330,000$ 170,649$ 159,351$ 405,000$ 75,000$ PS1303Cullum Drive Improvements200,000$ 1,095,738$ 1,295,738$ 516,265$ 779,473$ 1,295,738$ -$ PS1401FY2014 39th CDBG-ADA/TAS Infrastructure Improvements-$ 300,000$ 300,000$ -$ 300,000$ 300,000$ -$ FB9907Fund Balance - Street CIP-$ -$ -$ -$ -$ -$ (7,456)$ 13,014,404$ 1,425,738$ 14,440,142$ 3,678,933$ 10,761,209$ 14,565,142$ 117,544$ WASTEWATER PROJECTSWW0002 Misc. Wastewater Rehab (min bal $100,000)341,086$ 75,000$ 416,086$ 375,547$ 40,539$ 506,086$ 90,000$ WW0605 TRA Wastewater Payments - Impact 480,000$ 100,000$ 580,000$ 480,000$ 100,000$ 680,000$ 100,000$ WW1203 SH183 Phase I Wastewater Relocation 454,000$ -$ 454,000$ -$ 454,000$ 454,000$ -$ WW1401 Line Rep - Denton Drive -$ 629,000$ 629,000$ 25,067$ 603,933$ 629,000$ -$ FB9911 FB - Wastewater Impact (Restricted) -$ -$ -$ -$ -$ -$ (549,027)$ 1,275,086$ 804,000$ 2,079,086$ 880,614$ 1,198,472$ 2,269,086$ (359,027)$ 1 Debt not yet issued.2 Portion of debt not yet issued.Sub-Total Street ProjectsSub-Total Drainage ProjectsSub-Total Wastewater Projects 1
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) WATER PROJECTSWT0001 Misc. Water Rehab (min bal $150,000)418,511$ 25,000$ 443,511$ 442,952$ 559$ 593,511$ 150,000$ WT0101 Water Tank Debt Payment-Impact 3,480,048$ 250,232$ 3,730,280$ 3,647,064$ 83,216$ 3,978,420$ 248,140$ WT0104 Well Repairs (min bal $200,000)1,113,992$ 200,000$ 1,313,992$ 1,156,935$ 157,057$ 1,613,992$ 300,000$ WT0803 Meters/Transponders (annual transfer $158,000)1,295,750$ 158,000$ 1,453,750$ 994,134$ 459,616$ 1,611,750$ 158,000$ WT0901 TRA Water Payments-Impact 700,000$ 50,000$ 750,000$ 700,000$ 50,000$ 750,000$ -$ WT1201 Reclaimed Water Line Extension 6,500,000$ 150,000$ 6,650,000$ 3,035,320$ 3,614,680$ 6,650,000$ -$ (3)WT1401 Line Rep - El Camino Real-$ 515,000$ 515,000$ 58,757$ 456,243$ 515,000$ -$ WT1402 Fixed Base Meter Reading and Water Meter Changeout-$ 5,500,000$ 5,500,000$ -$ 5,500,000$ 5,500,000$ -$ (4)WT1403 Reclaimed Water Line Extension Debt Payment-Impact-$ 120,369$ 120,369$ 80,248$ 40,121$ 241,263$ 120,894$ FB9910 FB- Water Impact (Restricted)-$ -$ -$ -$ -$ -$ (1,192,157)$ FB9901 FB - Water & Wastewater CIP-$ -$ -$ -$ -$ -$ (208,121)$ 13,508,301$ 6,968,601$ 20,476,902$ 10,115,410$ 10,361,492$ 21,453,936$ (423,244)$ OTHERAC1201 Texas Star Sports Complex Phase IV840,687$ -$ 840,687$ 556,196$ 284,491$ 840,687$ -$ CM0304 Entry Monument Sign Program115,782$ -$ 115,782$ 93,027$ 22,755$ 135,782$ 20,000$ CM0804 Redevelopment 974,022$ 278$ 974,300$ 907,847$ 66,453$ 1,374,300$ 400,000$ DV9901 EDC Incentive Funds475,854$ 25,000$ 500,854$ 450,853$ 50,001$ 525,854$ 25,000$ ED0101 Planning Consultants204,869$ -$ 204,869$ 104,869$ 100,000$ 204,869$ -$ ED1002 EDC Contingency250,000$ -$ 250,000$ -$ 250,000$ 250,000$ -$ FM1201 ADA/TAS Facility Improvements (min bal $75,000)50,000$ 50,000$ 100,000$ 26,586$ 73,414$ 100,000$ -$ GC1201 TSGC Misc. Improvements (min bal $150,000)250,000$ -$ 250,000$ 145,247$ 104,753$ 315,000$ 65,000$ GC1401 Golf Course Upgrades -$ 587,000$ 587,000$ 5,221$ 581,779$ 587,000$ -$ PD9901 Police and Courts Facility 11,718,184$ 109$ 11,718,293$ 11,640,751$ 77,542$ 11,718,293$ -$ PR0720 Misc. Park Improvements (min bal $100,000)575,000$ -$ 575,000$ 457,469$ 117,531$ 575,000$ -$ PR0804 Park Irrigation 150,000$ 25,000$ 175,000$ 83,761$ 91,239$ 200,000$ 25,000$ PR1201 Euless Family Life Center Aquatics 7,504,972$ -$ 7,504,972$ 7,305,539$ 199,433$ 7,504,972$ -$ PR1401 Glade Parks Trail Connection Design -$ 117,000$ 117,000$ 28,104$ 88,896$ 117,000$ -$ FB9906 FB-EDC CIP -$ -$ -$ -$ -$ -$ (417,694)$ FB9908 FB-Texas Star Sports Complex CIP -$ -$ -$ -$ -$ -$ (753,029)$ FB9909 FB-General CIP -$ -$ -$ -$ -$ -$ (189,246)$ FB9913 FB-Car Rental CIP -$ -$ -$ -$ -$ -$ (37,660)$ 23,109,370$ 804,387$ 23,913,757$ 21,805,470$ 2,108,287$ 24,448,757$ (862,629)$ 62,324,994$ 10,027,726$ 72,352,720$ 36,677,078$ 35,675,642$ 74,304,754$ (1,409,179)$ 3 Portion of debt not yet issued.4 Debt not yet issued.TOTAL FUNDED PROJECTSSub-Total Water ProjectsSub-Total Other Projects 2
CITY OF EULESS
CAPITAL IMPROVEMENT PROGRAM
AMENDMENTS -- FUNDED PROJECTS
PROJECT#PROJECT DESCRIPTION DATE AMENDMENTS & ACTIONS
CM0804 Redevelopment 05/31/2014 Increase funding for additional earned interest of $278.
DR9903 Miscellaneous Drainage Improvements 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$25,000
from Drainage Operating Fund.
DV9901 EDC Incentive Funds 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$25,000
from EDC Operating Fund.
FM1201 ADA/TAS Facility Improvements 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$50,000
from General Fund.
GC1401 Golf Course Upgrades 10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$512,000 from TSGC
Reserve Fund and $75,000 from Car Rental Fund.
PD9901 Police and Courts Facility 05/31/2014 Increase funding for additional earned interest of $109.
PR0804 Park Irrigation 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$25,000
from EDC Operating Fund.
PR1401 Glade Parks Trail Connection Design 10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$117,000 from Car
Rental Fund.
PS1203 Miscellaneous Street Repairs 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$30,000
from Street CIP Fund Balance.
PS1301 FY2013 38th CDBG‐ADA/TAS Infrastructure
Improvements
05/31/2014 To close project. Any unused funds will be allocated to future CDBG
projects.
PS1302 FY2013 County Overlay‐Trailwood/Summit
Ridge/Westpark/Baze
05/31/2014 To close project and transfer excess funding of $6,005 to Street CIP Fund
Balance.
PS1303 Cullum Drive Design 10/01/2013 To transfer excess design funding per FY2014Approved CIP Plan ‐$43,000
to Street CIP Fund Balance.
PS1303 Cullum Drive Construction 10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$643,000 from Street
CIP Fund Balance,$67,214 from Escrow Funds and $189,786 from Car
Rental Fund.
PS1303 Cullum Drive Construction 11/12/2013 To provide additional funding of $192,610 from Street CIP Fund Balance
and $46,128 from Car Rental CIP Fund Balance.
PS1401 FY2014 39th CDBG‐ADA Infrastructure
Improvements
10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$300,000 from
Community Development Block Grant.
PS1402 FY2014 County Overlay‐Ector Drive/Midway
Drive/Trojan Trail
10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$300,000 from Car
Rental Fund.
PS1402 FY2014 County Overlay‐Ector Drive/Midway
Drive/Trojan Trail
05/31/2014 To close project.
WT0001 Miscellaneous Water Rehabilitation 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$25,000
from W/WW CIP Fund Balance.
WT0101 Water Tank Debt Payment‐Impact 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$250,232
from Water Impact Fee Fund Balance.
WT0104 Well Repairs 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$200,000
from W/WW CIP Fund Balance.
WT0803 Meters/Transponders 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$158,000
from W/WW Operating Fund.
WT0901 TRA Water Payments‐Impact 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$50,000
from Water Impact Fee Fund Balance.
WT1201 Reclaimed Water Line Extension 10/01/2013 To provide additional funding of $150,000 from W/WW CIP Fund Balance.
WT1401 Line Rep ‐ El Camino Real 10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$515,000 from
W/WW Operating Fund.
WT1402 Fixed Base Meter Reading and Water Meter
Changeout
10/01/2013 To establish budget per FY2014 Approved CIP Plan ‐$4,500,000 (Future
Bond Issue).
WT1402 Fixed Base Meter Reading and Water Meter
Changeout
05/31/2014 To increase budget by $1,000,000 (Future Bond Issue).
WT1403 Reclaimed Water Line Extension Debt Payment‐
Impact
10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$120,369 from Water
Impact Fee Fund Balance.
WW0002 Miscellaneous Water Rehabilitation 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$75,000
from W/WW CIP Fund Balance.
WW0605 TRA Wastewater Payments‐Impact 10/01/2013 To provide additional funding per FY2014 Approved CIP Plan ‐$100,000
from WW Impact Fee Fund Balance.
WW1301 Line Rep ‐ Ross/Slaughter/East and West Huitt 10/01/2013 To transfer excess funding of $200,000 to W/WW CIP Fund Balance.
WW1301 Line Rep ‐ Ross/Slaughter/East and West Huitt 05/31/2014 To close project and transfer excess funding of $103,360 to W/WW CIP
Fund Balance.
WW1401 Line Rep ‐ Denton Drive 10/01/2013 To provide funding per FY2014 Approved CIP Plan ‐$539,000 from
W/WW Operating Fund.
WW1401 Line Rep ‐ Denton Drive 05/31/2014 To provide additional funding of $90,000 from W/WW CIP Fund Balance.
3
4
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) DRAINAGE PROJECTSDR9903 Misc. Drainage Improvements 812,833$ 25,000$ 837,833$ 143,783$ 694,050$ 932,833$ 95,000$ DR1101 Flooding Mitigation500,000$ -$ 500,000$ 18,334$ 481,666$ 500,000$ -$ DR1201 Misc. Creek Maintenance (min bal $100,000)105,000$ -$ 105,000$ 34,534$ 70,466$ 135,000$ 30,000$ DR0000 Boyd Branch Improvements 10,000,000$ -$ 10,000,000$ -$ 10,000,000$ 10,000,000$ -$ (1)FB9902 Fund Balance - Drainage CIP-$ -$ -$ -$ -$ -$ (6,823)$ 11,417,833$ 25,000$ 11,442,833$ 196,651$ 11,246,182$ 11,567,833$ 118,177$ 1 Debt not yet issued.Sub-Total Drainage Projects 5
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 23,1999
RON YOUNG
MISCELLANEOUS DRAINAGE IMPROVEMENTS
DRAINAGE IMPROVEMENTS
DR9903
May 27, 2014: Awarded Bid No. 007-14 for a construction contract to Knight Erosion Control, Inc. for Drainage
Channel Improvements along Hurricane Creek and authorized the City Manager to enter into a contract with
Knight Erosion Control, Inc. The estimated expenditure is $135,487.82.
The project provides funding for various drainage projects or emergency repairs identified throughout the year.
Often correction of these problems requires design services and other improvements such as bank stabilization.
As major projects are identified, they will be tracked separately and assigned a different project number.
Failure to correct these problems often causes damage to existing infrastructure.
6
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Improvements $932,833
$0
$0
$0
$0 $932,833
Transfer from:
Drainage Operating Fund $654,609
Drainage CIP Fund Balance $183,224
$0
$0 Additional Funding Needed:
Transfer from:
Drainage Operating Fund $95,000
$0 $932,833
Fence $559 $559 0 100%
Storm Drain $932,079 $143,029 789,050 15%
Meters & Setting $195 $195 0 100%
$932,833 $143,783 $789,050 15%
MISCELLANEOUS DRAINAGE IMPROVEMENTS DR9903
7
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 30,2010
RON YOUNG
FLOODING MITIGATION
DRAINAGE IMPROVEMENTS
DR1101
This project consists of identifying chronic flooding locations within the City of Euless and determining the
cost/benefit of property acquisition and protection compared to extensive drainage relief projects. Property
acquisition will be recommended after consideration of flooding history, appraisals, and feasible alternative
drainage solutions have been evaluated. It is recommended that this be established as an ongoing project.
Properties throughout the City of Euless situated adjacent to creeks have experienced drainage problems for
several years. The cost for implementing drainage improvement projects to mitigate flooding at isolated locations
may be much greater than the cost of property acquisition. Chronic flooding lowers the property values and this
program will offer a means of relief for affected property owners.
8
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Flooding Mitigation $500,000
$0
$0
$0
$0 $500,000
Transfer from:
Drainage Operating Fund $150,000
Drainage CIP Fund Balance $350,000
$0
$0
$0 $500,000
Storm Sewer $500,000 $18,334 $481,666 4%
$500,000 $18,334 $481,666 4%
FLOODING MITIGATION DR1101
9
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 22,2011
RON YOUNG
MISCELLANEOUS CREEK MAINTENANCE
DRAINAGE CREEK MAINTENANCE
DR1201
The City of Euless completed drainage master plan studies for the major creeks that traverse the City. They
include Little Bear Creek, Hurricane Creek, Boyd Branch and Blessing Branch.
The project provides for maintenance in the creeks described above including removal of fallen trees that impede
the flow of creek water in the natural creek channels, clearing brush and debris at major bridge crossings, and
preventative maintenance. This project does not address items that are deemed cosmetic enhancements.
Creek maintenance will occur between mid October and mid March.
Natural creek erosion undermines the root systems of trees adjacent to creek banks which results in trees falling
into or across creek channels. These fallen trees together with accumulated brush and debris can impede the
flow of storm water in the natural creek channels resulting in a rise in the normal water surface elevation. Fallen
trees that are conveyed down stream in the natural creek channels may cause damage to the substructure of
bridges spanning the creek channels.
10
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Improvements
(Minimum balance $100,000)
$0
$0
$0
$0
Transfer from:
Drainage CIP Fund Balance $105,000
$0
$0 Additional Funding Needed:
Transfer from:
Drainage Operating Fund $30,000
$0 $135,000
Storm Sewers $135,000 $34,534 $100,466 26%
$135,000 $34,534 $100,466 26%
MISCELLANEOUS CREEK MAINTENANCE DR1201
11
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 17,2009
RON YOUNG
BOYD BRANCH IMPROVEMENTS
DRAINAGE IMPROVEMENTS
DR0000
Authorized in the FY2011 Capital Improvement Plan.
Drainage improvements are included in the Boyd Branch Watershed Study.
This project includes the portion of Boyd Branch from S Pipeline Road to SH183 and may include structural and
non-structural activities to reduce or minimize the effects of large stormwater events. A large portion of this
project occurs on a section of Boyd Branch that lies in a platted private drainage easement which also shows the
maintenance responsibility to rest on the property owner(s). Since the City of Euless has no easement rights
along these sections of Boyd Branch, the City is of the opinion that improving the capacity of Boyd Branch to
handle large stormwater events is the responsibility of the property owner(s). The City of Euless may have some
expenses related to improvements made to Boyd Branch.
Large stormwater events result in runoff exceeding the capacity of Boyd Branch. This project is intended to
reduce or minimize property losses associated with stormwater runoff exceeding the capacity of Boyd Branch.
12
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Construction $10,000,000
$0
$0
$0
$0 $10,000,000
$0
$0 Additional Funding Needed:
Developer Contribution $6,000,000
Future Revenue Bond Issue $4,000,000
$0 $10,000,000
Construction $10,000,000 $0 $10,000,000 0%
$10,000,000 $0 $10,000,000 0%
BOYD BRANCH IMPROVEMENTS DR0000
13
14
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) STREET PROJECTSPS1102Glade Parks Improvements 12,100,604$ -$ 12,100,604$ 2,625,092$ 9,475,512$ 12,100,604$ -$ (1)PS1202ADA/TAS Infrastructure Improvements413,800$ -$ 413,800$ 366,927$ 46,873$ 463,800$ 50,000$ PS1203Misc. Street Repairs (min bal $150,000)300,000$ 30,000$ 330,000$ 170,649$ 159,351$ 405,000$ 75,000$ PS1303Cullum Drive Improvements200,000$ 1,095,738$ 1,295,738$ 516,265$ 779,473$ 1,295,738$ -$ PS1401FY2014 39th CDBG-ADA/TAS Infrastructure Improvements-$ 300,000$ 300,000$ -$ 300,000$ 300,000$ -$ FB9907Fund Balance - Street CIP-$ -$ -$ -$ -$ -$ (7,456)$ 13,014,404$ 1,425,738$ 14,440,142$ 3,678,933$ 10,761,209$ 14,565,142$ 117,544$ (3)Total Street Projects1 Portion of debt not yet issued. 15
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
GLADE PARKS IMPROVEMENTS
STREET CONSTRUCTION
PS1102
December 14, 2010: Approval of Resolution #10-1352 authorizing the publication of intention to issue COs.
January 25, 2011: Consider all matters incident and related to the issuance of and sale of up to $3.1M in COs.
January 25, 2011: Consider acceptance of ROW and easements necessary for public improvements.
January 25, 2011: Awarded Bid #001-11 for a construction contract to McMahon Contracting LP in the amount of
$1,973,615.95 for the construction of Rio Grande Boulevard, Heritage Avenue, and widening of the SH121
service road.
February 24, 2011: Issued COs for funding of first segment of public improvements at Glade Parks.
February 14, 2012: Authorized the City Manager to enter into a contract with Jackson Construction, LTD in the
amount of $1,696,277.25 for the construction of Glade Parks Phase II streets (Brazos Drive, Red River Drive, and
Heritage Avenue).
October 23, 2012: Authorized the City Manager to enter into a contract with All Around Lawn Care, Inc. in the
amount of $213,925.65 for the construction of the Glade Parks Phase II Streetscape project.
August 13, 2013: Authorized the City Manager to execute an Engineering Design Contract with Mycoskie,
McInnis & Associates for the design of portions of the Glade Parks Infrastructure. The estimated expenditure is
$114,800, plus reimbursable expenses and additional services.
March 25, 2014: Authorized the City Manager to execute an Engineering Design Contract with Mycoskie McInnis
Associates, Inc. for the design of the Glade Parks Trail Connection Project with an estimated expenditure of
$119,000. A portion of this amount is authorized for project PR1401-Glade Parks Trail Connection.
The infrastructure located in the Glade Parks development is included in the City's Master Thoroughfare Plan.
The project represents the initial funding required for the infrastructure improvements at the Glade Parks
Development as approved in the Project and Financing Plan. The project scope includes the construction of Rio
Grande Boulevard, portions of Heritage Avenue, the Little Bear Creek bridge, SH121 improvements,
landscaping, wetland mitigation, Brazos Boulevard and remaining streets, main entrance and medians,
underground drainage, and associated utility installations, as well as administrative and financing costs.
Design: Winter 2010 Phase I Complete: FY2012
ROW: Winter 2010 Phase II Complete: August 2012
Construction: Spring 2011 Phase II Streetscapes Complete: April 2013
The construction of public infrastructure at Glade Parks will spur economic development in the area and complete
an access route to existing Euless businesses.
16
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Design $297,000
Construction $11,785,604
$0 Miscellaneous $15,000
$0 Other Professional Services $3,000
$0
$0 $12,100,604
2011 COs $2,854,870
Street CIP Fund Balance $180,130
$0
$0 Additional Funding Needed:
Future Bond Issue $9,065,604
$0 $12,100,604
Design $297,000 $192,826 $104,174 65%
Construction $11,785,604 $2,416,166 $9,369,438 21%
Transfer to Debt Service $15,000 $15,000 $0 100%
Other Professional Services $3,000 $1,100 $1,900 37%
$12,100,604 $2,625,092 $9,475,512 22%
GLADE PARKS IMPROVEMENTS PS1102
17
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREETS SIDEWALKS
PS1202
October 23, 2012: Authorized the City Manager to enter into a contract with Estrada Concrete, LLC in the
amount of $111,026 for the construction of ADA ramp improvements.
The Master Thoroughfare Plan includes and addresses sidewalks, crosswalks, and curb ramps for City streets.
This project provides for the continued improvements to City infrastructure as required by Federal and State
mandated Americans with Disabilities Act/Texas Accessibility Standards ("ADA/TAS"). City sidewalks,
crosswalks, curb ramps, and other areas covered under both ADA and TAS requirements will be part of these
improvements.
Many sidewalks, curb ramps, and other similar items are outdated and do not meet current ADA/TAS standards.
Updating accessibility on a continuing basis will help keep the City in compliance with government standards and
will address the growing needs of citizens with accessibility issues.
18
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Improvements $463,800
$0
$0
$0
$0 $463,800
Transfer from:
Car Rental $250,000
Harwood Road - PS9904 $83,655
$0 Escrow Funds $80,145
$0 Additional Funding Needed:
Transfer from:
Car Rental Fund $50,000
$0 $463,800
Sidewalks/Curbs $380,145 $300,339 $79,806 79%
Utility Relocation $83,655 $66,588 $17,067 80%
$463,800 $366,927 $96,873 79%
ADA/TAS INFRASTRUCTURE IMPROVEMENTS PS1202
19
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
MISCELLANEOUS STREET REPAIRS
STREET IMPROVEMENTS
PS1203
April 24, 2012: Authorized the City Manager to enter into a contract with Estrada Concrete Co. LLC for concrete
road repairs at various locations on North Main Street, Fuller-Wiser Road and Bear Creek Parkway in the amount
of $93,390.
March 11, 2014: Authorized the City Manager to negotiate and execute a contract for a citywide pavement
management analysis and asset management inventory with Infrastructure Management Services (IMS), 1820
West Drake Drive, Tempe, Arizona. The estimated expenditure is $82,155.
The Master Thoroughfare Plan identifies the various street types within the City of Euless. These street types
include residential streets through regional arterial streets.
This project includes the removal and replacement of deteriorated sections of pavement along identified
roadways.
Continuing repair of the existing street pavement will maintain safe driving conditions and will extend the overall
life of the City streets.
20
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Construction
(Minimum balance $150,000)
$0
$0
$0
$0
Transfer from:
Street CIP Fund Balance $330,000
$0
$0 Additional Funding Needed:
Transfer from:
Car Rental Fund $75,000
$0 $405,000
Construction $405,000 $170,649 $234,351 42%
$405,000 $170,649 $234,351 42%
MISCELLANEOUS STREET REPAIRS PS1203
21
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
CULLUM DRIVE IMPROVEMENTS-SH10 TO HUITT LANE
STREET CONSTRUCTION
PS1303
January 22, 2013: Authorized the City Manager to execute an engineering design contract with Neel-Schaffer,
Inc. consulting engineers with an amount not to exceed $137,000 for the design of Cullum Drive from SH10 to
East Huitt Lane.
November 12, 2013: Authorized the City Manager to enter into a construction contract with McClendon
Construction in the amount of $1,138,738, which includes a $50,000 contingency, for the construction of street
improvements to Cullum Drive from SH10 to East Huitt Lane.
Cullum Drive is a roadway that connects an arterial thoroughfare (SH10) and a residential collector thoroughfare
(Huitt Lane) both of which are identified in the City's Master Thoroughfare Plan.
The project consists of the engineering, required right-of-way acquisition and construction for a 31' wide concrete
roadway to replace an existing deteriorating asphalt roadway from SH10 to Huitt Lane. The project scope
includes underground storm drainage, sidewalks and wastewater main replacement.
Design Complete: September 2013
Construction Began: January 2014
Anticipate Construction Complete: September 2014
Reconstruction of this street will decrease the annual maintenance and provide compliance with current City
standards.
22
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $137,000
Right-of-Way $20,000
$0 Construction $1,138,738
$0
$0
$0 $1,295,738
Transfer from:
Street CIP Fund Balance $992,610
Car Rental Fund $189,786
$0 Car Rental CIP Fund Balance $46,128
$0 Escrow Funds $67,214
$0 $1,295,738
Engineering $137,000 $141,133 ($4,133)103%
Right-of-Way $20,000 $0 $20,000 0%
Construction $1,138,738 $375,132 $763,606 33%
$1,295,738 $516,265 $779,473 40%
CULLUM DRIVE IMPROVEMENTS-SH10 TO HUITT LANE PS1303
23
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 17,2011
CHRIS BARKER
39TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
PS1401
February 12, 2013: Conduct a Public Hearing for the proposed 39th Year CDBG project, for the installation of
sidewalk accessibility ramps located along North Main Street, Midway Drive, and within several neighborhoods
and motion to approve a recommendation regarding the selected CDBG project.
May 13, 2014: Approved Resolution No. 14-1433, recommending award of a construction contract for the 39th
Year Community Development Block Grant (CDBG) Project (No. B13-UC-48-0001-22-30) to Reliable Paving,
Inc., 1903 Peyco Drive N., Arlington, Texas, for the replacement of sidewalk accessibility ramps. The estimated
expenditure is $265,598.
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(39th year CDBG project)
Begin Construction: July 2014
Anticipate Construction Complete: November 2014
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
24
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $45,000
Construction $255,000
$0
$0
$0
$0 $300,000
CDBG Award $300,000
$0
$0
$0 $300,000
Engineering $45,000 $0 $45,000 0%
Construction $255,000 $0 $255,000 0%
$300,000 $0 $300,000 0%
39TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS PS1401
25
26
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) WASTEWATER PROJECTSWW0002Misc. Wastewater Rehab (min bal $100,000)341,086$ 75,000$ 416,086$ 375,547$ 40,539$ 506,086$ 90,000$ WW0605 TRA Wastewater Payments - Impact 480,000$ 100,000$ 580,000$ 480,000$ 100,000$ 680,000$ 100,000$ WW1203 SH183 Phase I Wastewater Relocation 454,000$ -$ 454,000$ -$ 454,000$ 454,000$ -$ WW1401 Line Rep - Denton Drive -$ 629,000$ 629,000$ 25,067$ 603,933$ 629,000$ -$ FB9911 FB - Wastewater Impact (Restricted) -$ -$ -$ -$ -$ -$ (549,027)$ 1,275,086$ 804,000$ 2,079,086$ 880,614$ 1,198,472$ 2,269,086$ (359,027)$ Total Wastewater Projects 27
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 26,1999
RON YOUNG
MISCELLANEOUS WASTEWATER REHABILITATION
WASTEWATER MAIN REPLACEMENT
WW0002
March 8, 2005: Awarded contract to Hall-Albert Construction Company for the replacement of various
wastewater lines in the amount of $977,857.50. (This award was only partially for the WW0002 project.)
March 28, 2006: Authorized the city manager to proceed with emergency repair by GRA-TEX Utilities to the
aerial wastewater main crossing Hurricane Creek at a cost of $55,000.
This project is for funding of small wastewater main projects identified throughout the fiscal year. Larger projects
will be determined on an "as needed" basis and presented for funding under a new project number.
Most of these lines are clay tile and are seriously deteriorated.
28
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Wastewater Mains
(Minimum balance $100,000)
$0
$0
$0
$0
Transfer from:
W/WW Operating Fund $165,000
WW9903 $37,013
$0 W/WW CIP Fund Balance $214,073
$0 Additional Funding Needed:
Transfer from:
W/WW CIP Fund Balance $90,000
$0 $506,086
Wastewater Mains $473,567 $343,028 130,539 72%
Engineering $1,939 $1,939 0 100%
Contingency $30,580 $30,580 0 100%
$506,086 $375,547 $130,539 74%
MISCELLANEOUS WASTEWATER REHABILITATION WW0002
29
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 03,2006
RON YOUNG
TRINITY RIVER AUTHORITY WASTEWATER PAYMENT
WASTEWATER IMPACT FEE
WW0605
Based on a review by Birkhoff, Hendricks, and Conway of the water and wastewater impact fees, it was
determined that a substantial portion of the wastewater impact fee is attributed to Trinity River Authority ("TRA")
capital projects. Therefore, these fees should be used to pay a portion of the annual TRA expense, as these
funds are directly attributed to the expansion of TRA. Based on the available fund balance, a systematic
drawdown over a ten year period has been developed.
The expansion at TRA provides additional capacity and it was determined through the wastewater impact fee
study that these funds could be used to pay a portion of TRA wastewater payments. It was determined a ten
year drawdown would approximate the Capital Improvement Plan Review time frame, as well as provide for a
systematic drawdown that would not impact the annual budget.
30
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
TRA Wastewater Payments $680,000
$0
$0
($100,000)
($100,000) $680,000
Transfer from:
WW Impact Fee Fund Balance $580,000
$0
$0 Additional Funding Needed:
Transfer from:
WW Impact Fee Fund Balance $100,000
($100,000) $680,000
Wastewater - TRA Service $680,000 $480,000 $200,000 71%
$680,000 $480,000 $200,000 71%
TRINITY RIVER AUTHORITY WASTEWATER PAYMENT WW0605
31
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 10, 2010
RON YOUNG
SH183 PHASE I WASTEWATER RELOCATION
WASTEWATER LINE RELOCATION
WW1203
The Texas Department of Transportation ("TxDoT") has entered into a developer agreement with North Tarrant
Express Mobility Partners ("NTEMP") for the expansion of SH183. A portion of the Phase I construction will affect
the City of Euless utilities along SH183 between Westpark Way and FM157.
The City of Euless has approximately 2,400 linear feet of wastewater mains and several manholes located within
the SH183 right-of-way. These facilities must be relocated to accommodate the SH183 expansion. It is
anticipated that the City will enter into a relocation agreement with NTEMP to authorize them to design and
relocate the wastewater lines. The City will be responsible for 50% of the cost of the line relocation.
Anticipate Construction Complete: June 2014
City of Euless wastewater facilities are located within TxDoT right-of-way. As such, the City must provide for
utility relocation to accommodate the roadway expansion.
32
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $68,000
Construction $386,000
$0
$0
$0
$0 $454,000
Transfer from:
W/WW Operating Fund $151,000
R-O-W Proceeds $201,000
$0 Plan Review/Inspection Fees $102,000
$0
$0 $454,000
Engineering $68,000 $0 $68,000 0%
Construction $386,000 $0 $386,000 0%
$454,000 $0 $454,000 0%
SH183 PHASE I WASTEWATER RELOCATION WW1203
33
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 05,2007
HAL CRANOR
LINE REPLACEMENT-DENTON DRIVE
WASTEWATER MAIN REPLACEMENT
WW1401
December 10, 2013: Authorized the City Manager to execute an engineering design contract with Elliott and
Hughes, Inc. for the design of Fiscal Year 2014 Sanitary Sewer Rehabilitation Project. The estimated expenditure
is $60,000.
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The project
is part of the systematic replacement of wastewater mains using a worst first approach.
This project consists of the replacement of the following wastewater mains:
1. Denton Drive between Collin Drive and Harwood Drive to include a portion of Bell Drive,
2. Dallas Drive between Denton Drive and Irion Drive, and
3. Irion Drive between Dallas Drive and Harwood Drive.
Begin Construction: September 2014
Anticipate Construction Complete: December 2014
Many wastewater mains throughout the city are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
34
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $62,000
Construction $567,000
$0
$0
$0
$0 $629,000
Transfer from:
W/WW Operating Fund $539,000
W/WW CIP Fund Balance $90,000
$0
$0
$0 $629,000
Engineering $62,000 $25,067 $36,933 40%
Construction $567,000 $0 $567,000 0%
$629,000 $25,067 $603,933 4%
LINE REPLACEMENT-DENTON DRIVE WW1401
35
36
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) WATER PROJECTSWT0001 Misc. Water Rehab (min bal $150,000)418,511$ 25,000$ 443,511$ 442,952$ 559$ 593,511$ 150,000$ WT0101 Water Tank Debt Payment-Impact3,480,048$ 250,232$ 3,730,280$ 3,647,064$ 83,216$ 3,978,420$ 248,140$ WT0104 Well Repairs (min bal $200,000)1,113,992$ 200,000$ 1,313,992$ 1,156,935$ 157,057$ 1,613,992$ 300,000$ WT0803 Meters/Transponders (annual transfer $158,000)1,295,750$ 158,000$ 1,453,750$ 994,134$ 459,616$ 1,611,750$ 158,000$ WT0901 TRA Water Payments-Impact700,000$ 50,000$ 750,000$ 700,000$ 50,000$ 750,000$ -$ WT1201 Reclaimed Water Line Extension6,500,000$ 150,000$ 6,650,000$ 3,035,320$ 3,614,680$ 6,650,000$ -$ (1)WT1401 Line Rep - El Camino Real-$ 515,000$ 515,000$ 58,757$ 456,243$ 515,000$ -$ WT1402 Fixed Base Meter Reading and Water Meter Changeout-$ 5,500,000$ 5,500,000$ -$ 5,500,000$ 5,500,000$ -$ (2)WT1403 Reclaimed Water Line Extension Debt Payment-Impact-$ 120,369$ 120,369$ 80,248$ 40,121$ 241,263$ 120,894$ FB9910 FB- Water Impact (Restricted)-$ -$ -$ -$ -$ -$ (1,192,157)$ FB9901 FB - Water & Wastewater CIP-$ -$ -$ -$ -$ -$ (208,121)$ Total Water Projects$13,508,301 $6,968,601 $20,476,902 $10,115,410 $10,361,492 $21,453,936 ($423,244)1 Portion of debt not yet issued.2 Debt not yet issued. 37
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 10,2014
HAL CRANOR
MISCELLANEOUS WATER REHABILITATION
WATER MAIN REPLACEMENT
WT0001
This project provides funding for small water main projects identified throughout the fiscal year. Large projects
that are identified will be presented for funding under a new project number.
Some of the City's older water mains have deteriorated and need replacement or repair.
38
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Water Mains
(Minimum balance $150,000)
$0
$0
$0
$0
Transfers from:
W/WW CIP Fund Balance $390,000
W/WW Operating Fund $200,000
$0 Project Transfers ($146,489)
$0 Additional Funding Needed:
Transfer from:
W/WW Operating Fund $150,000
$0 $593,511
Contingency $49,231 $24,852 $24,379 50%
Water Mains $544,280 $418,100 $126,180 77%
$593,511 $442,952 $150,559 75%
MISCELLANEOUS WATER REHABILITATION WT0001
39
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 01,2001
RON YOUNG
WATER TANK DEBT PAYMENT - IMPACT
WATER IMPACT FEE
WT0101
Approved in the annual budget.
The water tower was included in the water impact fee study.
This project includes the transfer of funds from the water impact fee to pay debt service (W/S System Revenue
Refunding Bonds, Series 2012) related to the construction of the new water tower (Heritage Park).
Last debt payment for the water tower is scheduled for July 15, 2020.
The water tower provides additional capacity and was included in the water impact fee study.
40
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Debt Service - FY2001-FY2014 $3,730,280
Debt Service - FY2015 $248,140
$0
$0
$0
Annual debt payment - water impact fee $250,000
$0
$250,000 $3,978,420
WT Impact Fee Fund Balance $3,730,280
$0
$0 Additional Funding Needed:
Transfer from:
WT Impact Fee Fund Balance $248,140
$250,000 $3,978,420
Transfer to Debt Service $3,978,420 $3,647,064 331,356 92%
$3,978,420 $3,647,064 $331,356 92%
WATER TANK DEBT PAYMENT - IMPACT WT0101
41
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
WELL REPAIRS
WATER WELL REPAIR
WT0104
April 22, 2003: Awarded bid 018-03 for Far North Well pump repair to Layne-Texas for $32,790.
February 14, 2006: Awarded bid 011-06 to Millican Well Service, LLC for rehabilitation and installation of the new
Centrilift submersible motor and pump for the Far North Well in the amount of $250,035.
January 25, 2011: Authorized Millican Well Service, LLC to repair Fuller Well in an amount not to exceed
$117,000, budget increase and additional funding of $117,000 required.
July 20, 2011: Transferred $95,000 from FB9901 to WT0104 for emergency well repairs.
August 9, 2011: Ratified City Manager action to proceed with emergency repairs to the Far North Well site, by
Millican Well Service, LLC in an amount not to exceed $95,000.
June 26, 2012: Ratified City Manager action to proceed with emergency repairs to the well located at 1400 North
Main Street, by Millican Well Service, LLC for an estimated amount of $64,950.
May 14, 2013: Authorized well repairs to the well located at 118 W. Fuller Drive (Fuller Well Site) by Millican Well
Service, LLC for an estimated amount of $120,000.
August 13, 2013: Ratified the City Manager action to proceed with emergency repairs to the city owned and
operated water well located at 1400 North Main Street, by Millican Well Service, LLC. The estimated expenditure
is $75,178.02.
The funding is being utilized to repair well pumps and for other unexpected well repairs.
Maintaining the City's wells results in the ability to produce water at a substantial reduction in cost.
42
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Well Rehabilitation
(Minimum balance $200,000)
Transfer from:
WT0001 - Misc Water Rehab $145,720
W/WW CIP Fund Balance $793,272
W/WW Operating Fund $375,000
Additional Funding Needed:
W/WW Operating Fund $200,000
W/WW CIP Fund Balance $100,000
$1,613,992
Well Rehabilitation $1,613,992 $1,156,935 $457,057 72%
$1,613,992 $1,156,935 $457,057 72%
WELL REPAIRS WT0104
43
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 10,2014
HAL CRANOR
METERS AND TRANSPONDERS
WATER METERS/TRANSPONDERS
WT0803
November 13, 2007: Awarded the annual contract for the purchase of water meters and transponders, and
authorized the City Manager to enter into an agreement with Atlas Utility Supply Company in the amount of
$383,875. Amount for project not to exceed $331,875.
November 11, 2008: Awarded the annual contract for the purchase of water meters and transponders, and
authorized the City Manager to enter into an agreement with Atlas Utility Supply Company in the amount of
$356,875. Amount for project not to exceed $331,875.
February 14, 2012: Awarded the annual contract for the purchase of water meters and transponders, and
authorized the City Manager to enter into an agreement with Atlas Utility Company in the amount of $200,000.
January 14, 2014: Authorized the City Manager to execute an Engineering Services Contract with Alan Plummer
and Associates, Inc. for services in assisting the City with the Texas Water Development Board State Revolving
Fund loan applications and the United States Bureau of Reclamation WaterSMART grant application. The
estimated amount is $78,000 and a portion of this amount is also authorized for project WT1201-Reclaimed
Water Line Extension.
Partial replacement of transponders occurred in FY2006 and FY2007. This project proposes to replace the
balance of the old transponders. The systematic replacement of meters and transponders at or near end of life is
included in the Water System Master Plan.
Purchase and installation of electronic transponders affixed to water meters allowing for electronic or remote
reading of customer water consumption. These water meters (transponders) are read with an electronic device
located inside a vehicle which is driven along a predefined route. System-wide replacement of older meters
beginning with the larger meters first is also included in the scope of the project. Scope also includes engineering
services for WT1402 and debt issuance costs.
Ongoing
This project provides funding for the systematic replacement of meters and transponders on a regular schedule at
or near end of asset life.
44
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
(Annual Funding $158,000)
Transponders/Meters
$0 FY2008 through FY2014 $1,453,750
$0 Transponders/Meters FY2015 $158,000
$0
$0 $1,611,750
Transfer from:
W/WW CIP Fund Balance $347,750
W/WW Operating Fund $1,106,000
$0
$0 Additional Funding Needed:
Transfer from:
W/WW Operating Fund $158,000
$0 $1,611,750
Meters/Transponders $1,449,593 $994,134 $455,459 69%
Debt Service $162,157 $0 $162,157 0%
$1,611,750 $994,134 $617,616 62%
METERS AND TRANSPONDERS WT0803
45
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2008
RON YOUNG
TRINITY RIVER AUTHORITY WATER PAYMENT-IMPACT
WATER IMPACT FEE
WT0901
Based on a review by Birkhoff, Hendricks, and Conway of the water and wastewater impact fees, it was
determined that a substantial portion of the water impact fee is attributed to Trinity River Authority ("TRA") capital
projects. Therefore, these fees should be used to pay a portion of the annual TRA expense, as these funds are
directly attributed to the expansion of TRA. Based on the available fund balance, a systematic drawdown over a
ten year period has been developed.
Annual payment FY2009: $100,000
Annual payments FY2010-2013: $150,000
Annual payment FY2014: $50,000
The expansion at TRA provides additional capacity and it was determined through the water impact fee study that
these funds could be used to pay a portion of TRA water payments. It was determined a ten year drawdown
would approximate the Capital Improvement Plan Review time frame, as well as provide for a systematic
drawdown that would not impact the annual budget.
46
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
TRA Water Pmts FY2009-2013 $700,000
TRA Water Payments FY2014 $50,000
$0
$0
($50,000)
($50,000) $750,000
Transfer from:
WT Impact Fee Fund Balance $750,000
$0
$0
($50,000) $750,000
Water - TRA Service $750,000 $700,000 $50,000 93%
$750,000 $700,000 $50,000 93%
TRINITY RIVER AUTHORITY WATER PAYMENT-IMPACT WT0901
47
Department:Date Prepared:May 17, 2011
Submitted By:Date Completed:
Project Title:
Project Type:WATER Sub-Type:
Project CODE:WT1201 Priority: A
COUNCIL AUTHORIZATION:
January 22, 2013: Authorized the City Manager to execute an engineering design contract with Alan Plummer and
Associates, Inc. (APAI) with an amount not to exceed $294,678 for the design of a reclaimed water system line
extension project.
May 14, 2013: Authorized the City Manager to seek bids for Phase I of the extended reclaimed water distribution system.
June 25, 2013: Authorized the City Manager to execute a construction contract to Crescent Constructors, Inc. for the
Reclaimed Water Delivery System Extension, Phase I. The estimated expenditure is $3,110,758 which includes a
contingency of $150,000.
January 14, 2014: Authorized the City Manager to execute an Engineering Services Contract with Alan Plummer and
Associates, Inc. for services in assisting the City with the Texas Water Development Board State Revolving Fund loan
applications.
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
City of Euless
Capital Project Request
PUBLIC WORKS
CHRIS BARKER
RECLAIMED WATER LINE EXTENSION
Feasibility Study Complete: July 2012
Construction of the project will provide a non-potable water source for irrigation which will offset future potable water
purchases by the City and will serve to responsibly conserve potable water resources for the City and the region.
The project will extend the City's Reclaimed Water Utility System from a point near the northeast corner of Bear Creek
Parkway and Midway Drive, northward to a point near Mid Cities Boulevard. Extension of this system will ultimately provide
reclaimed water service to several multi-family properties from Harwood Road to Mid Cities Boulevard as well as the City's
Bear Creek Park. Additional system expansion would be possible in the future.
RECLAIMED WATER SYSTEM
The reclaimed water line extension is a continuation of the City's Reclaimed Water Utility System. The feasibility study
completed in FY2012 recommends breaking the project into six phases with the first phase beginning in FY2013.
Phase I Construction Began: July 2013
Anticipate Phase I Construction Complete: July 2014
48
PROJECT TITLE:PROJECT CODE:WT1201
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost Preliminary Design/Feasibility $100,000
Personnel:Full Time Engineering $400,000
Part Time Construction $6,050,000
$0 Multi-Family Connections & $100,000
Customer Education
Estimated avg. annual debt service $275,000
Total Estimated Capital Cost $6,650,000
$275,000
Maintenance Costs
$750,000
$1,000,000
$1,500,000
$143,663
$0
$3,256,337
Total Estimated Annual Cost $275,000 Total Funding $6,650,000 (1)
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +) % EXPENDED
$500,000 $329,945 $170,055 66%
$6,050,000 $2,705,375 $3,344,625 45%
$100,000 $0 $100,000 0%
significantly due to scope of service expansion and construction cost increases. Current funding authorized
will likely cover Phase II and portions of Phase III. Additional funding will likely be necessary to complete
future phases.
$6,650,000 $3,035,320 $3,614,680 46%
Additional Funding Needed:
RECLAIMED WATER LINE EXTENSION
Revenue Bond Issue
Subtotal:
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Future Revenue Bond Issue
Construction
CURRENT STATUS
Engineering
Reclaimed Water - WT0202
TOTAL PROJECT
Utility Relocation
(1) Revised cost estimates for Phase II-VI, which will be constructed over a number of years, have increased
W/WW Operating Fund
FUNDING SOURCE:
Transfer from:
W/WW CIP Fund Balance
49
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR
LINE REPLACEMENT-EL CAMINO REAL
WATER MAIN REPLACEMENT
WT1401
January 28, 2014: Authorized the City Manager to execute an Engineering Design Contract to Wier and
Associates, Inc. for the design of El Camino Real waterline. The estimated expenditure is $63,595.
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of an existing 8" AC water main with a 10" PVC water main on El Camino
Real from W Pipeline Road to the south City limits. The project scope includes approximately 3200 linear feet of
10" PVC, 20 valves, and 8 fire hydrants. New water service connections to the apartments and townhomes will
also be included in the project.
Begin Construction: August 2014
Anticipate Construction Complete: December 2014
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic replacement of old deteriorated or substandard size water mains will
reduce maintenance costs. The water main on El Camino Real has experienced several breaks within the last
two years.
50
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $65,000
Construction $450,000
$0
$0
$0
$0 $515,000
Transfer from:
W/WW Operating Fund $515,000
$0
$0
$0 $515,000
Engineering $65,000 $58,757 $6,243 90%
Construction $450,000 $0 $450,000 0%
$515,000 $58,757 $456,243 11%
LINE REPLACEMENT-EL CAMINO REAL WT1401
51
Department:Date Prepared:March 25, 2013
Submitted By:Date Completed:
Project Title:
Project Type:WATER Sub-Type:
Project CODE:WT1402 Priority: A
COUNCIL AUTHORIZATION:
January 14, 2014: Alan Plummer and Associates, Inc. (APAI) will assist the City through the preparation of information
forms, application forms and follow-up administration of loan(s) for Texas Water Development Board (TWDB) funding and
with the preparation of a U.S. Bureau of Reclamation (USBR) WaterSMART grant application. The Engineering
Services Contract to APAI is authorized for project WT0803-Meters and Transponders and WT1201-Reclaimed Water Line
Extension. The funding requested from TWDB and USBR is for project WT1402.
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FY2014/FY2015
Implementing the new system will:
1. allow real time reading of approximately 15,000 meters,
2. allow for more timely billing to coincide with billings from TRA,
3. provide the ability to track water efficiency (billed vs produced and purchased) with greater accuracy,
4. replace the high percentage of meters nearing the point at which there is a loss of accuracy due to age and volume,
5. store consumption history allowing for pinpointing of consumption patterns for suspected leak resolution,
6. facilitate enforcement of time of day irrigation violations during times of drought and watering restrictions,
7. depending upon manufacturer chosen, offer system wide leak monitoring/detection as an option,
8. allow customer to access to water use patterns, and
9. replace meters with low/no lead brass meters to meet EPA requirements.
Replace existing drive by meter reading system to a fixed base reading system. Currently, City water meters are divided into
one of four reading cycles with each cycle being read on a monthly basis. The reading occurs as a City vehicle traverses
each street within the cycle that is being read for that week. By implementing a fixed base system, all City water meters can
be read at the same time with the readings transmitted to the Utility Billing Office utilizing current City infrastructure.
METER
Replacement of existing meter reading capital project of 1992.
City of Euless
Capital Project Request
PUBLIC WORKS
RON YOUNG
FIXED BASE METER READING & WATER METER CHANGEOUT
52
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost Fixed Base Equipment $4,750,000
Personnel:Full Time Meter Installation $450,000
Part Time Contingency $300,000
$0
Total Estimated Capital Cost $5,500,000
$0
Maintenance Costs
$5,500,000
$0
Total Estimated Annual Cost $0 Total Funding $5,500,000
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +) % EXPENDED
$4,750,000 $0 $4,750,000 0%
$450,000 $0 $450,000 0%
$300,000 $0 $300,000 0%
$5,500,000 $0 $5,500,000 0%
Total Salary
Purchase of Services
Materials & Supplies
Subtotal:
Utilities
Subtotal:
Meter Installation
CURRENT STATUS
Fixed Base Equipment
TOTAL PROJECT
Contingency
FIXED BASE METER READING & WATER METER CHANGEOUT PROJECT CODE: WT1402
FUNDING SOURCE:
Funding Needed:
Future Bond Issue
53
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2013
CHRIS BARKER
RECLAIMED WATER LINE EXTENSION DEBT PAYMENT
WATER IMPACT FEE
WT1403
The reclaimed water system extension was included in the impact fee study.
This project includes the transfer of funds from the water impact fee to pay debt service (W/S System Revenue
Bonds, 2013) related to the extension of the reclaimed water system.
Last debt payment is scheduled for July 15, 2033.
The project provides a non-potable water source for irrigation which will offset future potable water purchases by
the City and will serve to responsibly conserve potable water resources for the City and the region.
54
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Debt Service FY2014 $120,369
Debt Service FY2015 $120,894
$0
$0
$0
$0 $241,263
Annual debt payment - water impact fee $120,000 Transfer from:
WT Impact Fee Fund Balance $120,369
$0
$120,000 Additional Funding Needed:
Transfer from:
WT Impact Fee Fund Balance $120,894
$120,000 $241,263
Transfer to Debt Service $241,263 $80,248 $161,015 33%
$241,263 $80,248 $161,015 33%
RECLAIMED WATER LINE EXTENSION DEBT PAYMENT WT1403
55
56
CAPITAL IMPROVEMENTS PROGRAMFUNDED PROJECTS SUMMARYProject Number Project DescriptionBudget as of 5/31/13Appropriation/ AmendmentBudget as of 5/31/14Expended as of 5/31/14Remaining FundsRevised Project Cost EstimatesUnfunded/ (Excess Funding) OTHERAC1201 Texas Star Sports Complex Phase IV840,687$ -$ 840,687$ 556,196$ 284,491$ 840,687$ -$ CM0304 Entry Monument Sign Program115,782$ -$ 115,782$ 93,027$ 22,755$ 135,782$ 20,000$ CM0804 Redevelopment 974,022$ 278$ 974,300$ 907,847$ 66,453$ 1,374,300$ 400,000$ DV9901 EDC Incentive Funds475,854$ 25,000$ 500,854$ 450,853$ 50,001$ 525,854$ 25,000$ ED0101 Planning Consultants204,869$ -$ 204,869$ 104,869$ 100,000$ 204,869$ -$ ED1002 EDC Contingency250,000$ -$ 250,000$ -$ 250,000$ 250,000$ -$ FM1201ADA/TAS Facility Improvements (min bal $75,000)50,000$ 50,000$ 100,000$ 26,586$ 73,414$ 100,000$ -$ GC1201TSGC Misc. Improvements (min bal $150,000)250,000$ -$ 250,000$ 145,247$ 104,753$ 315,000$ 65,000$ GC1401 Golf Course Upgrades-$ 587,000$ 587,000$ 5,221$ 581,779$ 587,000$ -$ PD9901 Police and Courts Facility11,718,184$ 109$ 11,718,293$ 11,640,751$ 77,542$ 11,718,293$ -$ PR0720Misc. Park Improvements (min bal $100,000)575,000$ -$ 575,000$ 457,469$ 117,531$ 575,000$ -$ PR0804 Park Irrigation150,000$ 25,000$ 175,000$ 83,761$ 91,239$ 200,000$ 25,000$ PR1201 Euless Family Life Center Aquatics 7,504,972$ -$ 7,504,972$ 7,305,539$ 199,433$ 7,504,972$ -$ PR1401 Glade Parks Trail Connection Design-$ 117,000$ 117,000$ 28,104$ 88,896$ 117,000$ -$ FB9906 FB-EDC CIP-$ -$ -$ -$ -$ -$ (417,694)$ FB9908 FB-Texas Star Sports Complex CIP-$ -$ -$ -$ -$ -$ (753,029)$ FB9909 FB-General CIP-$ -$ -$ -$ -$ -$ (189,246)$ FB9913 FB-Car Rental CIP-$ -$ -$ -$ -$ -$ (37,660)$ Total Other Projects$23,109,370$804,387 $23,913,757 $21,805,470 $2,108,287 $24,448,757 ($862,629) 57
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 01,2010
RAY MCDONALD
TEXAS STAR SPORTS COMPLEX PHASE IV
PARK/RECREATION TSSC IMPROVEMENTS
AC1201
January 24, 2012: Authorized the City Manager to negotiate and execute a Field Use and Lease Agreement with
Sting Soccer Group, LP and Texas Titans FC, LLC, (collectively "Sting") for the use of a portion of the property
located at 1501 South Pipeline Road Euless, Texas 76040 (The Parks at Texas Star Sports Complex) as a
practice and training facility for youth soccer. In consideration of its use of the property, Sting will construct
certain facility improvements on the property.
August 28, 2012: Ratified the Euless Development Corporation action taken on August 28, 2012, approving Bid
No. 015-12, to award a contract to Reliable Paving, Inc. in the amount of $494,823 for parking improvements at
the Parks at Texas Star.
Texas Star Sports Complex Phase IV incorporates the addition of a concession and rest room facility and parking
for 200 vehicles. This addition will ensure that the Texas Star Sports Complex is positioned as a premier facility
that serves the athletic and recreational programming needs of the City.
The project scope includes the design and construction of a parking lot and a concession/rest room facility at the
Texas Star Sports Complex. Related support facilities such as electrical service, lighting, fencing, etc. are also
included in the scope of the project.
Began Construction: September 2012
Construction Complete: December 2013
Anticipate Concession Complete: December 2014
Since the completion of Phase III at the Texas Star Sports Complex, the facility has been severely under served
in parking, rest room facilities, and concessions. With the completion of Phase IV, the Texas Star Sports
Complex will be positioned to serve the ever-increasing athletic needs of the community and spur economic
opportunities for the City.
58
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Parking Lot $412,000
$0 Concessions & Rest Room $195,000
$0 Lights/Electrical $90,000
$0 Material storage bin $15,600
$0 Entry walk $35,000
$7,500 Fencing $18,000
$3,500 Concession equipment $16,000
Retaining Wall $18,000
5% Contingency $41,087
$11,000 $840,687
$0 Transfer from:
EDC CIP Fund Balance $645,687
Contributed Capital (Sting) $195,000
$0
$11,000 $840,687
Parking Improvements $489,561 $489,561 $0 100%
Lighting $33,000 $33,000 $0 100%
Remodel / Improvements $8,030 $8,030 $0 100%
Land Betterments $45,000 $7,260 $37,740 16%
Construction $1,585 $1,584 $1 100%
Buildings $195,000 $0 $195,000 0%
Contingencies $12,111 $0 $12,111 0%
Special Services $56,400 $16,760 $39,640 30%
$840,687 $556,196 $284,491 66%
TEXAS STAR SPORTS COMPLEX PHASE IV AC1201
59
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
CITY MANAGER July 11,2006
JOE HENNIG
ENTRY MONUMENT SIGN PROGRAM
MISCELLANEOUS IMPROVEMENTS
CM0304
Continuation of the original City of Euless Entry Monument Sign Program.
Continued construction of City of Euless entry monument signs at key high visibility points throughout the City
extending Euless beautification and branding efforts.
To enable continuous efforts to identify, beautify, and brand the City of Euless.
60
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Land Betterments $135,782
$0
$0
$0
$0 $135,782
Transfer from:
Car Rental Fund $115,782
$0
$0 Additional Funding Needed:
Transfer from:
Car Rental Fund $20,000
$0 $135,782
Land Betterments $135,782 $93,027 42,755 69%
$135,782 $93,027 $42,755 69%
ENTRY MONUMENT SIGN PROGRAM CM0304
61
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
CITY MANAGER July 11,2006
GARY MCKAMIE
REDEVELOPMENT
MISCELLANEOUS DEVELOPMENT
CM0804
Oct 23, 2007: Authorized the purchase of property on Lot 27, Block 2, Cresthaven Addn, 1010 Highland Dr
Nov 27, 2007: Authorized the purchase of property on Lot 24, Block 1, Cresthaven Addn, 1010 Cresthaven Dr
Dec 11, 2007: Authorized the purchase of property on Lots 17&18, Block 8, Cedar Hill Estates Addn, 710 S Main
Oct 28, 2008: Authorized the purchase of property on Lot 3, Block 2, Cresthaven Addn, 1007 Cresthaven Dr
Jan 13, 2009: Authorized the purchase of property on Lot 18, Block 1, Cresthaven Addn, 912 Cresthaven Dr; Lot
4, Block 2, Cresthaven Addn, 1005 Cresthaven Dr; and Lot 23, Block 2, Cresthaven Addn, 1002 Highland Dr
This project provides funding to allow the City to participate in redevelopment projects and other community
improvements or make acquisitions of property that will be of economic benefit to the City of Euless.
Project includes City participation in community redevelopment projects and property acquisitions that will be of
economic benefit to the City.
Long-term on-going project for continuous improvement of the community.
As the City ages, it is imperative that the economic vitality of the City remain strong. Reinvestment into the
community will protect property values from deterioration and keep commercial properties occupied and
vibrant.
62
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Land Acquisition $875,880
Demolition $87,823
$0 Minor Apparatus $597
$0 Incentives $10,000
Redevelopment $400,000
$0
$0 $1,374,300
Transfer from:
General Fund $930,000
Interest Earnings $34,300
$0 Drill Site Surface Damage $10,000
$0 Additional Funding Needed:
Transfer from:
Car Rental Fund $400,000
$0 $1,374,300
Land Acquisition $875,880 $810,465 65,415 93%
Demolition $87,823 $87,215 608 99%
Minor Apparatus $597 $167 430 28%
Incentives $10,000 $10,000 0 100%
Redevelopment $400,000 $0 400,000 0%
$1,374,300 $907,847 $466,453 66%
REDEVELOPMENT CM0804
63
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
ECONOMIC DEVELOPMENT July 26,1999
BILL RIDGWAY
EULESS DEVELOPMENT CORPORATION INCENTIVE
EDC DEVELOPMENT
DV9901
March 27, 2001: Approved transfer of $325,000 to North Main Street for right-of-way to free up funds for a sign
program.
May 30, 2006: Approved payment to Professional Turf Products, Inc. in the amount of $300,000 per agreement.
Euless Development Corporation funds that have been set aside to aid the City of Euless in attracting
development opportunities.
This would enable the City to act quickly on development opportunities that may arise throughout the year.
64
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Will be based on the merits of
each opportunity.
$0
$0
$0
$0
Transfers from:
EDC CIP Fund Balance $913,454
EDC Operating Fund $375,000
$0 Transfer to FS#2 SS0010 ($432,600)
$0 Transfer to N Main PS9901 ($355,000)
Additional Funding Needed:
EDC Operating Fund $25,000
$0 $525,854
Economic Development Incentives $525,000 $450,000 $75,000 86%
Irrigation Supplies $854 $853 $1 100%
$525,854 $450,853 $75,001 86%
EULESS DEVELOPMENT CORPORATION INCENTIVE DV9901
65
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
ECONOMIC DEVELOPMENT July 07,2000
BILL RIDGWAY
PLANNING CONSULTANTS
MISCELLANEOUS DEVELOPMENT
ED0101
This project provides funding for evaluating various development opportunities.
Commission a study to determine the highest and best use of valuable undeveloped commercial land.
Poor planning can result in lower than desired tax revenue, hodge podge development activity, and less than
optimal development quality. The City needs to be proactive to guide the development of these vital tracts.
66
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Planning Study $204,869
$0
$0
$0
$0 $204,869
Transfer from:
Car Rental Fund $200,000
Car Rental CIP Fund Balance $4,869
$0
$0
$0 $204,869
Planning Study $204,869 $104,869 100,000 51%
$204,869 $104,869 $100,000 51%
PLANNING CONSULTANTS ED0101
67
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
ECONOMIC DEVELOPMENT Sept 30,2010
GARY MCKAMIE
EDC CONTINGENCY
EDC MISCELLANEOUS
ED1002
To provide funding for emergencies or unforeseen projects that arise throughout the year.
This would enable the City to act quickly on emergency or unforeseen projects. Without funding, these types of
projects would have to wait until the next budget cycle which could increase costs or impede economic
development opportunities.
68
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Contingency $250,000
$0
$0
$0
$0 $250,000
Transfer from:
EDC CIP Fund Balance $250,000
$0
$0
$0 $250,000
Contingency $250,000 $0 $250,000 0%
$250,000 $0 $250,000 0%
EDC CONTINGENCY ED1002
69
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FACILITIES April 11,2011
KYLE MCADAMS
ADA/TAS FACILITY IMPROVEMENTS
FACILITIES IMPROVEMENTS
FM1201
This project provides for the continued improvements to various City facilities as required by Federal and State
mandated Americans with Disabilities Act/Texas Accessibility Standards ("ADA/TAS"). City facilities, entrances,
lifts, signage, speech and hearing aided devices, and other areas covered under both ADA and TAS
requirements will be part of these improvements. Project funds will be managed by the City Manager's Office and
will be allocated as identified projects are brought forth and approved.
Some City facilities do not meet current ADA/TAS standards. Updating accessibility on a continuing basis will
help keep the City in compliance with government standards and will address the growing needs of citizens with
accessibility issues.
70
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Improvements
(Minimum balance $50,000)
$0
$0
$0
$0
Transfer from:
Car Rental Fund $50,000
General Fund $50,000
$0
$0
$0 $100,000
Structural Maintenance $97,000 $24,228 $72,772 25%
Training $3,000 $2,359 $641 79%
$100,000 $26,586 $73,414 27%
ADA/TAS FACILITY IMPROVEMENTS FM1201
71
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
TEXAS STAR GOLF COURSE May 17,2011
GLENDA HARTSELL
TSGC MISCELLANEOUS IMPROVEMENTS
PARK/RECREATION TSGC IMPROVEMENTS
GC1201
To provide funding to address small capital projects that arise throughout the year at Texas Star Golf Course.
Without funding for this project, the smaller items identified throughout the year could not be addressed in a
timely manner and would have to be postponed until the next budget cycle for funding consideration. Timely
response preserves the City's investment in a high-profile asset and maintains the quality service levels expected
from patrons.
72
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Improvements
(Minimum balance $150,000)
$0
$0
$0
$0
Transfer from:
TSGC Reserve Fund $250,000
$0
$0 Additional Funding Needed:
Transfer from:
TSGC Reserve Fund $65,000
$0 $315,000
Repair & Maintenance $38,076 $38,076 $0 100%
Land Acquisition $2,000 $2,000 $0 100%
Land Betterments $40,105 $30,697 $9,408 77%
Improvements $162,611 $2,267 $160,344 1%
Equipment $72,208 $72,207 $1 100%
$315,000 $145,247 $169,753 46%
TSGC MISCELLANEOUS IMPROVEMENTS GC1201
73
Department:Date Prepared:March 18, 2013
Submitted By:Date Completed:
Project Title:
Project Type:PARK/RECREATION Sub-Type:
Project CODE:GC1401 Priority: A
COUNCIL AUTHORIZATION:
December 10, 2013: Awarded Bid No. 005-14 for the fumigation of putting greens at Texas Star Golf Course to Francis
and Francis, Highland Village, Texas. The estimated expenditure is $68,850.
March 25, 2014: Authorized the purchase of bunker sand with Turf Materials, Inc., P.O. Box 2213, Rockwall, Texas, for
Texas Star Golf Course bunker renovation. The estimated expenditure is $72,150.
March 25, 2014: Authorized the City Manager to execute a contract with King Ranch Turfgrass, LP, 106 North Dennis
Street, Wharton, Texas, for the purchase of MiniVerde Ultra-Dwarf Bermuda grass sprigs on 19 greens and certified
Tifway 419 Bermuda grass on collars around the greens. The estimated expenditure is $64,028.
April 22, 2014: Awarded Bid No. 006-14 for a construction contract to Fleetwood Services, LLC, 4558 Steeple Chase
Lane, Rockwall, Texas, for miscellaneous golf course improvements to Texas Star Golf Course. The estimated
expenditure is $235,788.
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
Texas Star is a championship daily fee golf facility known for its high level of service and excellent course conditions. At this
point in the life of the greens, it has become increasing more difficult to maintain the Bentgrass greens in an acceptable
condition during the summer months. This is due in large part to a reduction in drainage capabilities of the greens
themselves, weed and surrounding turf encroachment, the utilization of fans for air circulation, and the use of reclaimed water
containing higher salt levels. The proposed Ultra Dwarf Bermuda greens are much better suited to withstand the heat of North
Texas summers and are much more forgiving of drainage issues, poor air circulation, and the use of reclaimed water.
Additionally, the sand bunkers have been a consistent area of concern which staff has addressed on a limited number of
bunkers each year by repair or replacement of both the bunker sand and underlying drainage. Simultaneous reconstruction of
all sand bunkers to consistent standards and specifications would result in not only an aesthetically pleasing look, but optimal
playing conditions as well.
Resurface the 18 Bentgrass greens on the course and the green nursery. Strip and prepare putting surface and collars for
new turf, fumigate greens and collars to kill all plants, weed seeds, diseases, nematodes, and insects present in the soil. Sprig
putting surface with Mini Verde Ultra Dwarf Bermuda and re-sod collars with 419 Bermuda. Reconstruct all sand bunkers to
consistent standards and specifications including the removal of existing sand material and drainage, reshape the bunkers as
needed, install new drainage and bunker liner material, and refill with premier crushed quartz bunker sand material to a
uniform depth. The existing sand will be used for agronomic practices around the course and practice areas. Tee leveling,
cart path improvements, expansion of the tee boxes and various miscellaneous improvements are included in the project
scope.
TSGC IMPROVEMENTS
Anticipate Construction Complete: September 2014
City of Euless
Capital Project Request
TEXAS STAR GOLF COURSE
GLENDA HARTSELL
GOLF COURSE UPGRADES
Begin Construction: June 2014
74
PROJECT TITLE:PROJECT CODE:GC1401
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost Greens Replacement $270,000
Personnel:Full Time Bunker Replacement $242,000
Part Time Contingency $75,000
$0
Total Estimated Capital Cost $587,000
$0
Maintenance Costs
$512,000
$75,000
$0
Total Estimated Annual Cost $0 Total Funding $587,000
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +) % EXPENDED
$270,000 $5,221 $264,779 2%
$242,000 $0 $242,000 0%
$75,000 $0 $75,000 0%
$587,000 $5,221 $581,779 1%
Car Rental Fund
FUNDING SOURCE:
Transfer from:
Golf Course Reserves
TOTAL PROJECT
Contingencies
Golf Course Bunker Improvement
CURRENT STATUS
Golf Course Greens Improvement
Utilities
Subtotal:
GOLF COURSE UPGRADES
Subtotal:
Total Salary
Purchase of Services
Materials & Supplies
75
Department:Date Prepared:July 15, 1999
Submitted By:Date Completed:
Project Title:POLICE & COURTS FACILITY
Project Type:BUILDINGS/FACILITIES Sub-Type:
Project No.:PD9901 Priority: A
COUNCIL AUTHORIZATION:
January 13, 1998 - Authorized contract with Phillips Swager for architectural services.
April 14, 1998 - Authorized the acquisition of the Western Hills Inn and Western Hills Annex.
June 9, 1998 - Awarded Bid No. 98-13 for demolition services.
October 9, 1998 - Awarded change order to West Excavation for abatement of asbestos.
February 23, 1999 - Authorized additional funds for demolition.
June 22, 1999 - Declared expectation to reimburse expenditures with proceeds of future debt.
June 22, 1999 - Authorized City Manager to request qualifications for construction management service.
February 22, 2000 - Public Hearing and approval of Special Use Permit.
February 22, 2000 - Approval of request for site plan.
May 9, 2000 - Approval of Ordinance No. 1426 authorizing sale of Cert. Of Obligation Series 2000A.
May 9, 2000 - Awarded bid for construction to Ratcliff Construction.
November 14, 2000 - Authorized execution of contract for Project Management Services
January 9, 2001 - Granted City Manager approval to authorize change orders not to exceed $25,000.
January 23, 2001 - Ratified contract for inspection services to increase limit to $65,000
January 23, 2001 - Approved Change Order #1 to credit contract $152,391.
January 23, 2001 - Approved Change Order #3 for payment of $48,372.79 on new piers & removal.
March 27, 2001 - Approved Change Order #4 to credit contract $42,871.41.
May 22, 2001 - Awarded bid #044-01 for furniture in the amount of $332,400.70.
June 12, 2001 - Authorized City Manager to execute contract with DataTex not to exceed $74,257.86.
installing police and public works radio system.
April 22, 2014: Authorized the purchase of a security control system to upgrade and replace various existing
system components from ISI Security/MCS, 12903 Delivery Drive, San Antonio, Texas, at the Euless Police,
Jail, and Municipal Court Facility. The estimated expenditure is $149,480 and a portion of this amount is
authorized for project PD1401-Security System Upgrade.
PROJECT DESCRIPTION AND RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT SCHEDULE:
JUSTIFICATION:
Current facility space is grossly inadequate for these areas.
This 53,000 square foot facility will accommodate police, jail and courts.
August 28, 2001 - Awarded contract to DFW Communication in the amount of $33,009 for relocating and
CONSTRUCTION
City of Euless
Capital Project Request
POLICE DEPARTMENT
GARY MCKAMIE
76
PROJECT TITLE:PROJECT #:PD9901
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Bond Issuance Cost $76,000
Direct Operating Cost Construction $9,071,257
Personnel:Full Time $128,000 Contingency $128,302
Part Time Demolition $606,709
Architectural/ Surveying/ Geotech $826,439
Other Professional Services $36,310
$106,000 Equipment $67,912
Furnishings $350,000
Land Purchase $43,592
Planning Services $70,428
$234,000 Owner Equipment $441,344
Total Estimated Capital Cost $11,718,293
Maintenance Costs
HVAC Maintenance $18,084 FUNDING SOURCE:
Maintenance $24,850 Transfers from:
Janitorial Services & Supplies $37,500 General Fund $394,890
$8,000 W/S Operating Fund $175,000
$1,500 CCPD Operating Fund $2,160,000
$89,934 DEA Funds $450,000
Bond Proceeds $8,600,000
Interest Income $577,206
$750,815 Less Inter-project Transfer to:
Building D FM0101 ($638,803)
Total Estimated Annual Cost $1,074,749 Total Funding $11,718,293
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +) % EXPENDED
Bond Issuance Cost $76,000 $76,000 $0 100%
Construction $9,071,257 $9,071,257 $0 100%
Contingency plus interest earnings $169,998 $92,455 $77,543 54%
Demolition $606,709 $606,709 $0 100%
Architectural Services $745,369 $745,369 $0 100%
Surveying Services $6,070 $6,071 ($1) 100%
Geo-Technical Services $72,511 $72,511 $0 100%
Other Professional Services $36,310 $36,310 $0 100%
Equipment $67,912 $67,912 $0 100%
Furnishings $348,347 $348,347 $0 100%
Land Purchase $43,592 $43,591 $1 100%
Off-Site Utilities $0 $0 $0 0%
Owner Equipment $403,790 $403,791 ($1) 100%
Planning Services $70,428 $70,428 $0 100%
* - This project transferred $638,803 to FM0101.
$11,718,293 $11,640,751 $77,542 99%
Elect. Supplies
Pest Control
Subtotal:
TOTAL PROJECT
Average Annual Debt Service
Other
CURRENT STATUS
POLICE & COURTS FACILITY
Subtotal:
Utilities
77
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES March 23,2004
RAY MCDONALD
MISCELLANEOUS PARK IMPROVEMENTS
EDC PARKS
PR0720
The adopted Parks Master Plan recommends funding for system-wide park facilities and amenities upgrades.
The project provides funding for the upgrade and modernization of City parks to include replacement of aged
structures such as pavilions, picnic tables, gazebos, signs, safety components, and other park amenities
including the addition of a gazebo on Main Street. Park infrastructure and structure painting are included in the
scope of the project. Additionally, the project encompasses the installation of trail lighting along the Trails of
Euless similar to the lighting installed along the trail through Midway Park. Trailwood Park, Bob Eden Trail, The
Preserve at McCormick Park, The Villages of Bear Creek Park and Heritage Park would also benefit from trail
lighting.
Pursuant to the recommendations in the Parks Master Plan, park accessibility should be in compliance with the
Americans with Disabilities Act. The existing equipment in many park areas is becoming aged and will require
refurbishment or replacement in the near term. Additionally, park infrastructure should be maintained at a level
that meets citizen expectations. The popularity of the trails have necessitated the installation of lighting to extend
the hours of usage and to provide increased visibility in remote areas of the trail system.
78
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Fixtures, landscaping, lighting,
& other park and infrastructure
$0 improvements
$0
(Minimum balance $100,000)
$0
$0
Transfer from:
EDC Operating Fund $575,000
$0
$0
$0 $575,000
Park Furnishings $394,848 $356,430 38,418 90%
Landscaping $45,442 $40,167 5,275 88%
Contingency $81,540 $57,702 23,838 71%
Park Lighting $50,000 $0 50,000 0%
Equipment $3,170 $3,170 0 100%
$575,000 $457,469 $117,531 80%
MISCELLANEOUS PARK IMPROVEMENTS PR0720
79
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES October 01,2007
RAY MCDONALD
PARK IRRIGATION
EDC PARKS
PR0804
This project provides annual funding to continue efforts to meet irrigation needs throughout the City's park
system.
Projects will be identified and completed on an as needed basis.
This project allows for maintenance and expansion of the irrigation systems throughout the parks system to
enhance the overall condition of the landscape and green space.
80
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
(Annual Transfer $25,000)
Irrigation $200,000
$0
$0
$0
$0 $200,000
Transfer from:
EDC Operating Fund $175,000
$0
$0 Additional Funding Needed:
Transfer from:
EDC Operating Fund $25,000
$0 $200,000
Irrigation $200,000 $83,761 116,239 42%
$200,000 $83,761 $116,239 42%
PARK IRRIGATION PR0804
81
Department:Date Prepared:February 11, 2009
Submitted By:Date Completed:
Project Title:
Project Type:PARK/RECREATION Sub-Type:
Project CODE:PR1201 Priority: A
COUNCIL AUTHORIZATION:
April 10, 2012: Authorized the City Manager to negotiate and execute an architectural contract for certain components of the
Euless Family Life Center ("FLC") aquatics facilities to John Kirksey Associates, Architects, Inc. d/b/a Kirksey, Houston, TX.
Fee is anticipated at 8% of construction costs of the buildings.
April 10, 2012: Authorized the City Manager to solicit statements of qualifications for Design/Build Services related to the
Euless FLC Indoor and Outdoor Aquatics Facilities.
August 14, 2012: Authorized the City Manager to negotiate and execute a Design/Build contract with Progressive
Commercial Aquatics in the approximate amount of $3,200,000, which includes construction administration and general
contracting services for certain components of the Euless Family Life Aquatics Center.
January 8, 2013: Authorized the City Manager to negotiate and execute a contract with Modern Contractors in the amount
of $3,658,000 for the construction of an Indoor Pool Structure and Outdoor Building Features. Authorized a contingency in
the amount of $150,000.
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
Outdoor Complete: May 2013
Indoor Complete: December 2013
JUSTIFICATION:
The City's population is sufficient to support a family aquatic center. The City's existing aquatic facilities have aged and
maintaining the pools and support facilities has been an ongoing issue and concern. The operating expenses continue to
increase, far exceeding the revenue generated by the pools. Continuing in repair mode is no longer possible at the Wilshire
and South Euless Pools and a long-term plan is necessary. Given the fact that two of the neighborhood pools are over thirty
years old and the cost to renovate, repair, or replace them is estimated at over one million dollars each, it is recommended that
the City concentrate efforts and resources toward the family aquatic facility to serve the citizens of Euless.
The project consists of the design of indoor and outdoor family aquatic facilities. The indoor facility includes a lap/leisure pool,
current channel, slide, and therapy pool. This multi-purpose facility will be attached to the senior center and will offer aquatic
programs for the senior population and the general public. The outdoor aquatics center will include various play components
such as a leisure pool, slides, aqua play features, shade structures, a bath house, and all the necessary filtration systems. The
project scope also includes redevelopment and improvement of the entire site such as relocating the tennis courts and the
construction of various trails, a group pavilion, an amphitheater, multi-use sport courts, additional picnic stations with grills, a
nature area, a botanical garden, and public art display(s).
AQUATICS
The City of Euless has for many years recognized the importance of planning for parks, recreation, and open space based on
the needs as expressed by the citizens. For the update to the Parks Master Plan and as part of the City’s five year master
plan, a survey of park, recreation, and open space needs was conducted from a sample of randomly selected citizens in
Euless. The survey identified a new aquatic center as a top priority of the citizens. Project approval requires revision of the
master planning of Midway Park as the aquatics center eliminates the current ball fields and requires the relocation of the
existing tennis courts in order to provide support facilities and amenities for the FLC.
City of Euless
Capital Project Request
COMMUNITY SERVICES
RAY MCDONALD
EULESS FAMILY LIFE CENTER AQUATICS
82
PROJECT TITLE:PROJECT CODE:PR1201
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST
MAINTENANCE COST (+ OR -) ANNUAL
Direct Operating Cost Architectural - Design $292,640
Personnel:Full Time Architectural - Reimbursables $21,000
Part Time $198,903 Architectural - Consulting $72,832
$198,903 Surveying $13,500
$30,000
$147,630
$3,239,370
Construction - Buildings $3,658,000
Owner Equipment $30,000
Total Estimated Capital Cost $7,504,972
$198,903
Maintenance Costs
$1,763,500
$4,236,500
$1,504,972
$0
Total Estimated Annual Cost $198,903 Total Funding $7,504,972
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +) % EXPENDED
$14,000 $13,973 $28 100%
$386,472 $343,385 $43,087 89%
$55,000 $54,999 $1 100%
$114,130 $0 $114,130 0%
$6,897,370 $6,855,743 $41,627 99%
Owner Equipment $38,000 $37,439 $561 99%
$7,504,972 $7,305,539 $199,433 97%
EULESS FAMILY LIFE CENTER AQUATICS
General CIP Fund Balance
Subtotal:
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Architectural Services
CURRENT STATUS
Surveying
Construction
Contingencies
TOTAL PROJECT
Engineering Services
Contingencies
Construction - Aquatic Element
Engineering
Car Rental CIP Fund Balance
FUNDING SOURCE:
Transfer from:
Car Rental Fund
83
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 05,2008
RAY MCDONALD
GLADE PARKS TRAIL CONNECTION DESIGN
PARK/RECREATION TRAIL SYSTEM
PR1401
March 25, 2014: Authorized the City Manager to execute an Engineering Design Contract with Mycoskie McInnis
Associates, Inc. for the design of the Glade Parks Trail Connection Project with an estimated expenditure of
$119,000. A portion of this amount is authorized for project PS1102-Glade Parks Improvements.
As identified in the Glade Parks development, this project proposes to connect the existing Trails of Euless to the
City of Colleyville trails through the Glade Parks Development.
This phase of the project consists of the design, engineering, surveying and geotech for a trail that will connect to
the existing trail at Creekwood Estates, run underneath the northbound service road, SH121, and the southbound
service road to the southeast corner of the Glade Parks Development. Future connectivity through Glade Parks
is planned within the overall development of that site.
Anticipate Design Complete: September 2014
The City of Euless has experienced significant progress in the last few years in the area of trail development with
an extensive network of paved and unpaved trails. The trails system is a valuable asset to the community as it
assists not only in providing a safe means for non-vehicular travel, but also in providing an opportunity for a
variety of unstructured, low-impact recreational pursuits. The development and maintenance of the trails system
continued to receive significant support from the citizens as indicated in the responses to the needs assessment
survey conducted as a part of the Parks Master Plan update.
84
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Design $45,000
Engineering, Surveying and
$0 Geotech $72,000
$0
$0
$0 $117,000
Transfer from:
Car Rental Fund $117,000
$0
$0
$0 $117,000
Design $45,000 $28,104 $16,896 62%
Engineering, Surveying and Geotech $72,000 $0 $72,000 0%
$117,000 $28,104 $88,896 24%
GLADE PARKS TRAIL CONNECTION DESIGN PR1401
85
86
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContributionsImpact FeesEscrow FundsCar Rental Tax Other EDCTo Be DeterminedDRAINAGE PROJECTSNone CurrentlyA $ - Sub-Total Drainage Priority A-Proposed FY15 $ - None CurrentlyB $ - Sub-Total Drainage Priority B-Unfunded $ - Bell Hi Addition C TBD XX Blessing Branch-Main Street to SH 360C TBD XX Hollow Oak Channel ErosionC TBD XX Kynette Drive Culvert Modifications C TBD XX Little Bear Creek Drainage ImprovementsC TBD XX Marlene Drive Culvert ReplacementC TBD XX Simmons Drive Culvert ImprovementsC TBD XX Sub-Total Drainage Priority C-Unfunded $ - DRAINAGE PROJECTS - TOTAL$ - STREET PROJECTSFY2015 40th CDBG-ADA/TAS Infrastructure Improvements A $ 495,600 $ 385,028 $ 110,572 FY2015 Street OverlayA $ 300,000 XX Sub-Total Street Priority A-Proposed FY15 $ 795,600 FY2016 41st CDBG-ADA/TAS Infrastructure Improvements (16)B $ 300,000 XX FY2016 Street Overlay (16)B $ 300,000 XX East Harwood Road Extension (16)B $ 100,000 XX State Highway 183 East Improvements (16)B $ 250,000 XX FY2017 42nd CDBG-ADA/TAS Infrastructure Improvements (17)B $ 300,000 XX FY2017 Street Overlay (17)B $ 300,000 XX FY2018 43rd CDBG-ADA/TAS Infrastructure Improvements (18)B $ 300,000 XX FY2018 Street Overlay (18)B $ 300,000 XX Traffic Signal-Harwood Road at Bear Creek Parkway (18)B $ 180,000 XX FY2019 44th CDBG-ADA/TAS Infrastructure Improvements (19)B $ 300,000 XX FY2019 Street Overlay (19)B $ 300,000 XX E Alexander Lane Reconstruction (19)B $ 504,000 XX Sub-Total Street Priority B-Unfunded $ 3,434,000 Bear Creek Parkway ReconstructionC TBD XX Cresthaven Drive ReconstructionC TBD XX Fuller-Wiser Road Reconstruction-Harwood Road to Mid Cities BoulevardC TBD XX Fuller-Wiser Road Reconstruction-SH183 to Harwood RoadC TBD XX Highland Drive ReconstructionC TBD XX Ross Avenue ExtensionC TBD XX South Pipeline Road ReconstructionC TBD XX Vine Street Reconstruction-SH183 to SH10C TBD XX Sub-Total Street Priority C-Unfunded $ - STREET PROJECTS - TOTAL$ 4,229,600 PROPOSED METHOD OF FINANCINGCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPE 87
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContributionsImpact FeesEscrow FundsCar Rental Tax Other EDCTo Be DeterminedPROPOSED METHOD OF FINANCINGCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEWASTEWATER PROJECTSLR: Crane Drive A $ 185,000 XX LR: Town Creek Drive A $ 437,000 XX Sub-Total Wastewater Priority A-Proposed FY15 $ 622,000 LR: Cedar Hill Estates/Hollywood Boulevard (16)B $ 121,000 XX LR: Milam Drive (16)B $ 280,000 XX LR: Oakwood Terrace Phase I (16)B $ 248,000 XX SH183 Phase II Wastewater Relocation (16)B $ 600,000 XX LR: Ector Drive/Fayette Drive (17)B $ 300,000 XX LR: Oakwood Terrace Phase II (17)B $ 437,000 XX LR: Kynette Drive/Wilshire Drive (18)B $ 380,000 XX LR: Huntington/Koen/Atkerson/E Huitt/Slaughter/Martin (19)B $ 494,000 XX LR: NW Midway Drive/Rusk Drive/Parker Drive/Rockwall Drive (19)B $ 529,000 XX Sub-Total Wastewater Priority B-Unfunded $ 3,389,000 LR: Collin Drive/Harris Drive/Irion Drive C TBD XX LR: Donley Drive/Shelmar Drive C TBD XX LR: Eastcliff Drive/Windlea Drive/Signet Drive C TBD XX LR: Ector Drive/Donley Drive/Crane Drive C TBD XX LR: Evans Drive/Canyon Ridge Drive/N Kynette Drive C TBD XX LR: Glenn Drive C TBD XX LR: Janann Street/Brownstone/Shelmar Drive C TBD XX LR: Lakewood Boulevard/Dogwood Circle/Bocowood Circle C TBD XX LR: Live Oak Drive/Silver Creek Drive/Marlene Drive C TBD XX LR: Mary/Marlene/Commerce/ Wilshire/Greenbriar C TBD XX LR: N Midway Park C TBD XX LR: Northcliff/Toplea/Windlea/Signet/ Kynette/Westcliff C TBD XX LR: S Main Street C TBD XX LR: Sagebrush/Toplea/Wilshire/Yorkshire/Tyler C TBD XX LR: Sierra Drive C TBD XX LR: W Donley/Private Drive/Mimosa/Magnolia/Redbud C TBD XX LR: W Midway/Victoria/Delta/ Lamar/Rockwall C TBD XX Sub-Total Wastewater Priority C-Unfunded $ - WASTEWATER PROJECTS - TOTAL$ 4,011,000 LR = Line Replacement 88
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContributionsImpact FeesEscrow FundsCar Rental Tax Other EDCTo Be DeterminedPROPOSED METHOD OF FINANCINGCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEWATER PROJECTS24-Inch Valve Replacement Cinnamon, Anice, Fuller-WiserA $ 220,000 XX Sub-Total Water Priority A-Proposed FY15 $ 220,000 LR: S Pipeline Road West (16)B $ 307,000 XX SH183 Phase II Water Relocation (16)B $ 1,200,000 XX Water System Security Camera Installation (16)B $ 75,000 XX LR: Ector Drive (17)B $ 291,000 XX LR: Blessing Creek/Stony Creek/Rock Creek (18)B $ 365,000 XX LR: Kynette Drive (18)B $ 289,000 XX Sub-Total Water Priority B-Unfunded $ 2,527,000 LR: Collin Drive-Dallas Drive to Harwood RoadC TBD XX LR: Collin Drive-Denton Drive to Dallas DriveC TBD XX LR: Denton DriveC TBD XX LR: Dickey Drive NorthC TBD XX LR: Dickey Drive SouthC TBD XX LR: Dunaway DriveC TBD XX LR: E Huitt LaneC TBD XX LR: Eastcliff Drive C TBD XX LR: Fuller DriveC TBD XX LR: Hollow Oak Drive C TBD XX LR: Live Oak Court/Live Oak DriveC TBD XX LR: Midcreek/Rock Creek/Stony CreekC TBD XX LR: Midway Drive East C TBD XX LR: Midway Drive WestC TBD XX LR: Needles StreetC TBD XX LR: Paula Lane C TBD XX LR: S Main Street (North)C TBD XX LR: S Main Street (South)C TBD XX LR: S Pipeline Road East C TBD XX SH360 Water Crossing C TBD XX LR: Shady Creek Drive/Cliffwood RoadC TBD XX LR: Springwood CourtC TBD XX LR: Sunset DriveC TBD XX LR: Westwood DriveC TBD XX LR: Wildwood StreetC TBD XX LR: Woodvine (East)C TBD XX LR: Woodvine (West)C TBD XX Sub-Total Water Priority C-Unfunded $ - WATER PROJECTS - TOTAL$ 2,747,000 LR = Line Replacement 89
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContributionsImpact FeesEscrow FundsCar Rental Tax Other EDCTo Be DeterminedPROPOSED METHOD OF FINANCINGCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEOTHER PROJECTSCar Rental ContingencyA $ 700,000 XX Development/Engineering Building Design A $ 94,350 XX Glade Parks Trail Connection Construction A $ 357,545 XXXX XX Municipal Plaza Improvements Phase I A $ 100,000 XX Sub-Total Other Priority A-Proposed FY15 $ 1,251,895 Blessing Branch Park Improvements (16)B $ 267,120 XX Development/Engineering Building Construction (16)B $ 1,464,300 XX Municipal Plaza Improvements Phase II (16)B $ 150,000 XX Texas Star Sports Complex Phase V Design (16)B $ 688,000 XX XX Trail Enhancements Phase I (16)B $ 182,756 XX Texas Star Sports Complex Phase V Construction (17)B $ 8,462,164 XX XX XX Trail Connection South Euless (17)B $ 51,240 XX Trailwood Park Improvements (17)B $ 220,500 XX Library Remodel Design (18)B $ 147,630 XX Library Remodel Construction (19)B $ 1,596,000 XX Sub-Total Other Priority B-Unfunded $ 13,229,710 Animal Shelter Expansion/RenovationC TBD XX Fire Station #2 RemodelC TBD XX Kiddie Carr Park ImprovementsC TBD XX South Euless Park UpgradesC TBD XX Trail Enhancements Phase IIC TBD XX Trail Enhancements Villages of Bear CreekC TBD XX Wilshire Park UpgradesC TBD XX Sub-Total Other Priority C-Unfunded $ - OTHER PROJECTS - TOTAL$ 14,481,605 90
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContribImpact FeesEscrow FundsCar Rental TaxOther EDCTo Be DeterminedDRAINAGE PROJECTSNone CurrentlyA $ - Sub-Total Drainage Priority A-Proposed FY15 $ - None CurrentlyB $ - Sub-Total Drainage Priority B-Unfunded $ - Bell Hi Addition C TBD XX Blessing Branch-Main Street to SH 360C TBD XX Hollow Oak Channel ErosionC TBD XX Kynette Drive Culvert Modifications C TBD XX Little Bear Creek Drainage ImprovementsC TBD XX Marlene Drive Culvert ReplacementC TBD XX Simmons Drive Culvert ImprovementsC TBD XX Sub-Total Drainage Priority C-Unfunded $ - DRAINAGE PROJECTS - TOTAL$ - CAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEPROPOSED METHOD OF FINANCING 91
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 26,1999
RON YOUNG
BELL HI ADDITION
DRAINAGE IMPROVEMENTS
C
In 2005, the City commissioned and received a drainage plan from Freese and Nichols, Inc. In this plan, the
Bell Hi Addition was identified as an area in need of flood relief.
The proposed project ties into an existing storm drainage system on Needles Street. A substantial portion of the
cost of this project is related to street repair which would indicate the need to combine this project with a street
reconstruction project.
The construction of this project will prevent the flooding of Paula Lane, David Drive, and Needles Street during
the most intense rainfall events. The terrain in this location is very flat, which causes the streets to have a very
low capacity to remove storm water.
92
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
BELL HI ADDITION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
93
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 26,1999
RON YOUNG
BLESSING BRANCH-MAIN STREET TO SH360
DRAINAGE IMPROVEMENTS
C
The Blessing Branch Drainage Master Plan included a conceptual plan to convey storm water through the creek
more efficiently.
This project involves the channeling and lining of Blessing Branch in accordance with the Blessing Branch
Master Plan.
The City expects to receive significant developer contributions toward this project. However, the City may be
required to fund a portion of this project.
94
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
BLESSING BRANCH-MAIN STREET TO SH360
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
95
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 03,2008
RON YOUNG
HOLLOW OAK CHANNEL EROSION
DRAINAGE IMPROVEMENTS
C
In May 2008, the City authorized a drainage study for the creek area that runs at the rear of the lots fronting on
Hollow Oak Drive and Linkwood Drive. The completed drainage study was received in July 2008.
The creek area along the rear of the lots on Hollow Oak Drive and Linkwood Drive exists in a natural state. The
creek bank along the south has experienced some slope failure. The drainage study recommends installation of
"bag wall" slope protection.
The City has received complaints that fences and other improvements on private property will be threatened if
additional slope failures take place. Currently no residences are threatened.
96
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
HOLLOW OAK CHANNEL EROSION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
Due to the expected impact to the native conditions, this project would require broad support from all impacted
neighbors. Alternatives, such as possible assistance with removal or relocation of improvements on affected
properties, should also be considered.
97
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 21,1999
RON YOUNG
KYNETTE DRIVE CULVERT MODIFICATIONS
DRAINAGE IMPROVEMENTS
C
Wilshire Village Addition was constructed prior to the adoption of the City's Uniform Development Code ("UDC").
The requirements prior to the UDC were lower than what the City now requires. The current construction
configuration of Wilshire Village causes more water to remain above ground than is acceptable under current
standards. The drainage system in the Wilshire Village Addition needs to be upgraded to meet the current
requirements.
The project involves the installation of a small drainage system on Kynette Drive up to Sierra Drive. It is Project
No. 16 in the 1990 Knowlton, English, Flowers Drainage Utility System Study of Selected Improvement Projects.
Surface water flow within Kynette Drive exceeds the City's current development standards. A large amount of
storm water drains to an existing culvert on Kynette Drive between Eastcliff and Westcliff Drives. The existing
drainage facilities collecting this storm water are inadequate according to current standards.
98
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
KYNETTE DRIVE CULVERT MODIFICATIONS
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
99
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 21,1999
RON YOUNG
LITTLE BEAR CREEK DRAINAGE IMPROVEMENTS
DRAINAGE IMPROVEMENTS
C
The improvements proposed for Bob Eden Park are identified in the Little Bear Creek Watershed Master Plan.
The Little Bear Creek Park portion of this project was identified in the 1990 Knowlton, English and Flowers
Drainage Utility System Study of Selected Improvement Projects.
Both parts of this drainage project involve erosion control and channelization improvements to Little Bear Creek.
The Bear Creek Park part is a portion of Project No. 11 in the above-referenced study. This project will be re-
evaluated to determine if the scope and proposed improvements should be modified. This part of the project will
be redefined and re-estimated.
Continued erosion will eventually undermine the creek in both parks and cause damage to existing City facilities.
100
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LITTLE BEAR CREEK DRAINAGE IMPROVEMENTS
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
101
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 10,2008
RON YOUNG
MARLENE DRIVE CULVERT REPLACEMENT
DRAINAGE IMPROVEMENTS
C
Marlene Drive is noted as a collector street on the City's Master Thoroughfare Plan.
The scope of the project includes construction of a new culvert at Cyclone Branch to meet current load and
drainage capacity standards. A portion of the concrete channel will also need to be reconstructed both
upstream and downstream to ensure a smooth transition.
The existing culvert is load limited. The new culvert will be designed to convey sufficient drainage to comply
with current standards.
102
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
MARLENE DRIVE CULVERT REPLACEMENT
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
103
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 15,2005
RON YOUNG
SIMMONS DRIVE CULVERT IMPROVEMENTS
DRAINAGE IMPROVEMENTS
C
In 2005, the City commissioned and received a drainage plan from Freese and Nichols, Inc.
An additional culvert will extend from the apartment complex on the east side of Simmons Drive and will outfall
into the creek area on the north side of Carr Park.
In intense storms, the capacity of the existing culvert is exceeded. Additional culverts will be required to convey
the storm flows. The construction of this project will enable the safe use of Simmons Drive in intense storm
events.
104
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SIMMONS DRIVE CULVERT IMPROVEMENTS
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
105
106
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContribImpact FeesEscrow FundsCar Rental TaxOther EDCTo Be DeterminedSTREET PROJECTSFY2015 40th CDBG-ADA/TAS Infrastructure Improvements A $ 495,600 $ 385,028 $ 110,572 FY2015 Street OverlayA $ 300,000 XX Sub-Total Street Priority A-Proposed FY15 $ 795,600 FY2016 41st CDBG-ADA/TAS Infrastructure Improvements (16)B $ 300,000 XX FY2016 Street Overlay (16)B $ 300,000 XX East Harwood Road Extension (16)B $ 100,000 XX State Highway 183 East Improvements (16)B $ 250,000 XX FY2017 42nd CDBG-ADA/TAS Infrastructure Improvements (17)B $ 300,000 XX FY2017 Street Overlay (17)B $ 300,000 XX FY2018 43rd CDBG-ADA/TAS Infrastructure Improvements (18)B $ 300,000 XX FY2018 Street Overlay (18)B $ 300,000 XX Traffic Signal-Harwood Road at Bear Creek Parkway (18)B $ 180,000 XX FY2019 44th CDBG-ADA/TAS Infrastructure Improvements (19)B $ 300,000 XX FY2019 Street Overlay (19)B $ 300,000 XX E Alexander Lane Reconstruction (19)B $ 504,000 XX Sub-Total Street Priority B-Unfunded $ 3,434,000 Bear Creek Parkway ReconstructionC TBD XX Cresthaven Drive ReconstructionC TBD XX Fuller-Wiser Road Reconstruction-Harwood Road to Mid Cities BoulevardC TBD XX Fuller-Wiser Road Reconstruction-SH183 to Harwood Road C TBD XX Highland Drive ReconstructionC TBD XX Ross Avenue ExtensionC TBD XX South Pipeline Road ReconstructionC TBD XX Vine Street Reconstruction-SH183 to SH10C TBD XX Sub-Total Street Priority C-Unfunded $ - STREET PROJECTS - TOTAL$ 4,229,600 CAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEPROPOSED METHOD OF FINANCING 107
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 03,2014
HAL CRANOR
FY2015 40TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET/FACILITIES CDBG
A
This project provides for continued improvements to accessibility by removing architectural barriers to
accessibility as required by the Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards (ADA/TAS). This project includes identification of architectural barriers to accessibility that meet
CDBG eligibility guidelines and the subsequent replacement thereof.
The 40th Year CDBG project consists of two separate scopes of work. The first is the replacement of fifty (50)
sidewalk ramp locations identified by the Engineering Department. These areas are primarily located along W.
Pipeline Road, Kynette Drive, and Signet Drive. Sidewalk accessibility ramp installations are eligible for CDBG
funding regardless of their location within the community. Secondly, staff has also identified an accessibility
project which affects citizen access to municipal buildings within the City Municipal Complex. This portion of the
project also focuses on the reconstruction of pathways for ADA compliance.
FY2015
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS requirements.
108
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2015 40TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
Engineering $67,876
$0 Construction $427,724
$0
$0
$0
$0
$0
$0
$0 $495,600
$ 385,028
$110,572
Project funding is subject to actual CDBG funding availability.
Council Action:
February 25, 2014: Conducted a Public Hearing for the proposed 40th Year CDBG projects and approved the
recommendation regarding the selected CDBG projects.
109
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
HAL CRANOR
FY2015 STREET OVERLAY
STREET OVERLAY
A
The project consists of edge milling, asphalt overlay, and restriping on various streets prioritized by their
pavement condition index.
Anticipate Construction Beginning: May 2015
Anticipate Construction Complete: July 2015
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadways, and will enhance the appearance of the streets.
110
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2015 STREET OVERLAY
Construction $300,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
0%
XX
111
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 17,2011
CHRIS BARKER
FY2016 41ST CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
B
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(41st year CDBG project)
FY2016
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
112
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2016 41ST CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
Engineering $45,000
Construction $255,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
XX 0%
Project funding is subject to actual CDBG funding availability.
113
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
HAL CRANOR
FY2016 STREET OVERLAY
STREET OVERLAY
B
The project consists of edge milling, asphalt overlay, and restriping on various streets prioritized by their
pavement condition index.
Anticipate Construction Beginning: May 2016
Anticipate Construction Complete: July 2016
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadways, and will enhance the appearance of the streets.
114
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2016 STREET OVERLAY
Construction $300,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
0%
XX
115
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 20,2014
HAL CRANOR
EAST HARWOOD ROAD EXTENSION
STREETS CONSTRUCTION
B
The Texas Department of Transportation and DFW Airport are combining efforts to extend East Harwood Road
through the airport to Walnut Hill Lane to provide additional access to airport properties. Euless has committed to
share in the cost of the extension in an amount not to exceed $100,000.
FY2016
Participation in the project will provide Euless residents with an additional route to and through the airport properties.
116
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
ADDITIONAL COMMENTS:
EAST HARWOOD ROAD EXTENSION
Construction $100,000
$0
$0
$0
$0
$0 $100,000
0%
0%
0%
0%
0%
XX
Other-plan review/inspection fees
117
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 03,2014
HAL CRANOR
STATE HIGHWAY 183 EAST IMPROVEMENTS
STREETS IMPROVEMENTS
B
Various street improvements and realignments necessitated by the SH183 East expansion project.
FY2016
The expansion of 183 eastward may necessitate street improvements and the realignment of various City
streets. These improvements will help facilitate efficient traffic flow and property redevelopment.
118
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
STATE HIGHWAY 183 EAST IMPROVEMENTS
Improvements $250,000
$0
$0
$0
$0
$0
$0
$0 $250,000
XX
119
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 16,2012
CHRIS BARKER
FY2017 42ND CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
B
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(42nd year CDBG project)
FY2017
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
120
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2017 42ND CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
Engineering $45,000
Construction $255,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
XX 0%
Project funding is subject to actual CDBG funding availability.
121
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
HAL CRANOR
FY2017 STREET OVERLAY
STREET OVERLAY
B
The project consists of edge milling, asphalt overlay, and restriping on various streets prioritized by their
pavement condition index.
Anticipate Construction Beginning: May 2017
Anticipate Construction Complete: July 2017
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadways, and will enhance the appearance of the streets.
122
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2017 STREET OVERLAY
Construction $300,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
0%
XX
123
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 15,2013
CHRIS BARKER
FY2018 43RD CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
B
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(43rd year CDBG project)
FY2018
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
124
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2018 43RD CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
Engineering $45,000
Construction $255,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
XX 0%
Project funding is subject to actual CDBG funding availability.
125
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
HAL CRANOR
FY2018 STREET OVERLAY
STREET OVERLAY
B
The project consists of edge milling, asphalt overlay, and restriping on various streets prioritized by their
pavement condition index.
Anticipate Construction Beginning: May 2018
Anticipate Construction Complete: July 2018
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadway, and will enhance the appearance of the streets.
126
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2018 STREET OVERLAY
Construction $300,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
0%
XX
127
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
TRAFFIC SIGNAL-HARWOOD ROAD @ BEAR CREEK PARKWAY
STREET SIGNALIZATION
B
Traffic signals are located at the intersections of arterial and collector thoroughfares identified in the City's
Master Thoroughfare Plan adopted in 1999.
The project consists of the installation of traffic signal poles, mast arms, signal heads, pedestrian indicators,
underground conduit, vehicle detection, and signal controller for the intersection of Harwood Road and Bear
Creek Parkway.
FY2018
Traffic volumes at this intersection will be monitored and signal warrant studies will be performed to justify signal
installation. This intersection will ultimately require a traffic signal.
128
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAFFIC SIGNAL-HARWOOD ROAD @ BEAR CREEK PARKWAY
Engineering $30,000
Traffic Signals $150,000
$0
$0
$0
$0
$0
$0
$0 $180,000
0%
0%
0%
0%
0%
XX
129
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
CHRIS BARKER
FY2019 44TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
B
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(44th year CDBG project)
FY2019
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
130
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2019 44TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
Engineering $45,000
Construction $255,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
XX 0%
Project funding is subject to actual CDBG funding availability.
131
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2014
HAL CRANOR
FY2019 STREET OVERLAY
STREET OVERLAY
B
The project consists of edge milling, asphalt overlay, and restriping on various streets prioritized by their
pavement condition index.
Anticipate Construction Beginning: May 2019
Anticipate Construction Complete: July 2019
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadway, and will enhance the appearance of the streets.
132
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FY2019 STREET OVERLAY
Construction $300,000
$0
$0
$0
$0
$0
$0
$0 $300,000
0%
0%
0%
0%
0%
XX
133
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 23,1999
RON YOUNG
E ALEXANDER LANE RECONSTRUCTION
STREET IMPROVEMENTS
B
This minor street serves as a collector type street by conveying traffic to major roadways.
E Alexander Lane will be reconstructed from Main Street to Cullum Drive. It will be reconstructed from a two-
lane county type road to a standard 31' wide residential street with underground drainage and sidewalks.
FY2019
Reconstruction of this street will decrease the annual maintenance and provide compliance with current City
standards.
134
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Other
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
E ALEXANDER LANE RECONSTRUCTION
Engineering $54,000
Construction $450,000
$0
$0
$0
$0
$0
$0
$0 $504,000
0%
0%
0%
0%
0%
XX
135
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 03,2008
RON YOUNG
BEAR CREEK PARKWAY RECONSTRUCTION
STREET IMPROVEMENTS
C
Bear Creek Parkway is identified as a local collector thoroughfare in the City's Master Thoroughfare Plan.
This project consists of the complete reconstruction of Bear Creek Parkway from Harwood Road to Ash Lane to
meet current City standards.
Bear Creek Parkway is an aging roadway nearing the end of its service life. Portions of the roadway are
beginning to deteriorate and require additional maintenance. As the pavement deteriorates and fails,
maintenance costs increase.
136
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
BEAR CREEK PARKWAY RECONSTRUCTION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
137
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 13,2007
RON YOUNG
CRESTHAVEN DRIVE RECONSTRUCTION
STREET IMPROVEMENTS
C
Cresthaven Drive is not identified in the City's Master Thoroughfare Plan.
This project includes the reconstruction of Cresthaven Drive from a two-lane asphalt roadway to a 31' wide curb
and gutter concrete street from SH10 to S Pipeline Road.
To upgrade Cresthaven Drive to a standard City concrete curb and gutter street.
138
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
CRESTHAVEN DRIVE RECONSTRUCTION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
139
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
ROBERT BARKER
FULLER-WISER ROAD RECONSTRUCTION-HARWOOD ROAD TO MID CITIES BLVD
STREET IMPROVEMENTS
C
Fuller-Wiser Road is identified as a minor arterial in the City's Master Thoroughfare Plan.
This project consists of the complete reconstruction of Fuller-Wiser Road to current City standards from
Harwood Road to Mid Cities Boulevard.
Fuller-Wiser Road is an aging roadway nearing the end of its service life. Portions of the roadway are beginning
to deteriorate and require additional maintenance. As the pavement deteriorates and fails, maintenance costs
increase.
140
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FULLER-WISER ROAD RECONSTRUCTION-HARWOOD ROAD TO MID CITIES BLVD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
141
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
ROBERT BARKER
FULLER-WISER ROAD RECONSTRUCTION-SH183 TO HARWOOD ROAD
STREET IMPROVEMENTS
C
Fuller-Wiser Road is identified as a minor arterial in the City's Master Thoroughfare Plan.
The project consists of the complete reconstruction of Fuller-Wiser Road to current standards from SH183 to
Harwood Road.
Fuller-Wiser Road is an aging roadway nearing the end of its service life. Portions of the roadway are beginning
to deteriorate and require additional maintenance. As the pavement deteriorates and fails, maintenance costs
increase.
142
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FULLER-WISER ROAD RECONSTRUCTION-SH183 TO HARWOOD ROAD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
143
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 13,2007
RON YOUNG
HIGHLAND DRIVE RECONSTRUCTION
STREET IMPROVEMENTS
C
Highland Drive is not identified in the City's Master Thoroughfare Plan.
The project includes the reconstruction of Highland Drive from SH10 to S Pipeline Road from a two-lane asphalt
roadway to a 31' wide curb and gutter concrete street.
To upgrade Highland Drive to a standard City concrete curb and gutter street.
144
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
HIGHLAND DRIVE RECONSTRUCTION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
145
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 31,2005
RON YOUNG
ROSS AVENUE EXTENSION
STREET CONSTRUCTION
C
This extension of Ross Avenue from the recently completed section adjacent to the fire station will complete the
upgrading of this street.
The construction of the remainder of Ross Avenue from the fire station to the west limit will be in accordance
with City standards which includes concrete pavement.
This construction, in accordance with City standards, will allow the road a long service life and lower the annual
maintenance costs.
146
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
ROSS AVENUE EXTENSION
Engineering - To Be Determined
Right-of-Way - To Be Determined
$0 Construction - To Be Determined
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
147
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 13,2007
RON YOUNG
SOUTH PIPELINE ROAD RECONSTRUCTION
STREET IMPROVEMENTS
C
South Pipeline Road is not identified in the City's Master Thoroughfare Plan.
The project consists of reconstruction of South Pipeline Road from a two-lane asphalt roadway to a 31' wide
curb and gutter concrete street from east of Royal Parkway to east of Highland Drive.
To upgrade South Pipeline Road to a standard City concrete curb and gutter street.
148
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SOUTH PIPELINE ROAD RECONSTRUCTION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
149
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 23,1999
RON YOUNG
VINE STREET RECONSTRUCTION-SH183 TO SH10
STREET IMPROVEMENTS
C
Vine Street is not identified in the City's Master Thoroughfare Plan.
The project consists of the reconstruction of Vine Street from SH183 to SH10.
The City has received street escrow funds from several developments along Vine Street. When development is
complete, it would be appropriate for the City to reconstruct the existing roadway.
150
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Other
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
VINE STREET RECONSTRUCTION-SH183 TO SH10
Engineering - To be Determined
Construction - To be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
XX
Escrow Funds will be used to finance a portion of this project.
151
152
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContribImpact FeesEscrow FundsCar Rental TaxOther EDCTo Be DeterminedWASTEWATER PROJECTSLR: Crane Drive A $ 185,000 XX LR: Town Creek Drive A $ 437,000 XX Sub-Total Wastewater Priority A-Proposed FY15 $ 622,000 LR: Cedar Hill Estates/Hollywood Boulevard (16)B $ 121,000 XX LR: Milam Drive (16)B $ 280,000 XX LR: Oakwood Terrace Phase I (16)B $ 248,000 XX SH183 Phase II Wastewater Relocation (16)B $ 600,000 XX LR: Ector Drive/Fayette Drive (17)B $ 300,000 XX LR: Oakwood Terrace Phase II (17)B $ 437,000 XX LR: Kynette Drive/Wilshire Drive (18)B $ 380,000 XX LR: Huntington/Koen/Atkerson/E Huitt/Slaughter/Martin (19)B $ 494,000 XX LR: NW Midway Drive/Rusk Drive/Parker Drive/Rockwall Drive (19)B $ 529,000 XX Sub-Total Wastewater Priority B-Unfunded $ 3,389,000 LR: Collin Drive/Harris Drive/Irion Drive C TBD XX LR: Donley Drive/Shelmar Drive C TBD XX LR: Eastcliff Drive/Windlea Drive/Signet Drive C TBD XX LR: Ector Drive/Donley Drive/Crane Drive C TBD XX LR: Evans Drive/Canyon Ridge Drive/N Kynette Drive C TBD XX LR: Glenn Drive C TBD XX LR: Janann Street/Brownstone/Shelmar Drive C TBD XX LR: Lakewood Boulevard/Dogwood Circle/Bocowood Circle C TBD XX LR: Live Oak Drive/Silver Creek Drive/Marlene Drive C TBD XX LR: Mary/Marlene/Commerce/ Wilshire/Greenbriar C TBD XX LR: N Midway Park C TBD XX LR: Northcliff/Toplea/Windlea/Signet/ Kynette/Westcliff C TBD XX LR: S Main Street C TBD XX LR: Sagebrush/Toplea/Wilshire/Yorkshire/Tyler C TBD XX LR: Sierra Drive C TBD XX LR: W Donley/Private Drive/Mimosa/Magnolia/Redbud C TBD XX LR: W Midway/Victoria/Delta/ Lamar/Rockwall C TBD XX Sub-Total Wastewater Priority C-Unfunded $ - WASTEWATER PROJECTS - TOTAL$ 4,011,000 LR = Line ReplacementCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEPROPOSED METHOD OF FINANCING 153
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-CRANE DRIVE
WASTEWATER MAIN REPLACEMENT
A
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of wastewater mains between Crane Drive and Donley Drive north of
Harwood Road to the upper end of the main north of Glenn Drive.
FY2015
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
154
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-CRANE DRIVE
Engineering $20,000
Construction $165,000
$0
$0
$0
$0
$0
$0
$0 $185,000
XX 0%
0%
0%
0%
0%
155
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-TOWN CREEK DRIVE
WASTEWATER MAIN REPLACEMENT
A
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. Town Creek Drive from Salem Drive to Carter Drive,
2. Carter Drive south of Town Creek Drive,
3. Westport Circle,
4. Newport Circle,
5. Asbury Circle, and
5. the outfall between Westport Circle and Newport Circle.
FY2015
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
156
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-TOWN CREEK DRIVE
Engineering $57,000
Construction $380,000
$0
$0
$0
$0
$0
$0
$0 $437,000
XX
157
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-CEDAR HILL ESTATES/HOLLYWOOD BOULEVARD
WASTEWATER MAIN REPLACEMENT
B
This project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of wastewater mains in the Cedar Hill Addition along Hollywood
Boulevard from Vine Street to east of Cannon Drive.
FY2016
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
158
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-CEDAR HILL ESTATES/HOLLYWOOD BOULEVARD
Engineering $16,000
Construction $105,000
$0
$0
$0
$0
$0
$0
$0 $121,000
XX 0%
0%
0%
0%
0%
159
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-MILAM DRIVE
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the wastewater mains located along Milam Drive from Blanco Drive to
south of Bell Drive.
FY2016
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
160
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-MILAM DRIVE
Construction $245,000
Engineering $35,000
$0
$0
$0
$0
$0
$0
$0 $280,000
XX 0%
0%
0%
0%
0%
161
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-OAKWOOD TERRACE ADDITION PHASE I
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
This project consists of the replacement of the following wastewater mains:
1. Between Hollywood Boulevard and Reaves Court from Vine Street to the end of Reaves Court and
2. From Hollywood Boulevard to Reaves Court along 306 Hollywood Boulevard.
FY2016
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
162
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-OAKWOOD TERRACE ADDITION PHASE I
Engineering $33,000
Construction $215,000
$0
$0
$0
$0
$0
$0
$0 $248,000
XX 0%
0%
0%
0%
0%
163
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 10, 2010
RON YOUNG
SH183 PHASE II WASTEWATER RELOCATION
WASTEWATER LINE RELOCATION
B
The Texas Department of Transportation ("TxDoT") has planned for the expansion of SH183. The Phase II
construction will affect the City of Euless' utilities along and crossing SH183 between FM157 and the east city
limits.
The City of Euless has wastewater mains and associated items located within the SH183 right-of-way. These
facilities must be relocated to accommodate the SH183 expansion. It is anticipated that the City of Euless will
enter into a relocation agreement with the contractor selected by TxDoT to authorize them to design and
relocate wastewater lines. The City will be responsible for the cost of the relocation of the utilities.
Est. FY2016
City of Euless wastewater facilities are located within TxDoT right-of-way. As such, the City must provide for
utility relocation to accommodate the roadway expansion.
164
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SH183 PHASE II WASTEWATER RELOCATION
WW Line Relocation Reimbursement $600,000
$0
$0
$0
$0
$0
$0
$0 $600,000
0%
0%
0%
0%
XX 0%
165
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-ECTOR DRIVE/FAYETTE DRIVE
WASTEWATER MAIN REPLACEMENT
B
This project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the wastewater mains between Fayette Drive and Ector Drive from
Harwood Road to the end of the line.
FY2017
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
166
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-ECTOR DRIVE/FAYETTE DRIVE
Engineering $40,000
Construction $260,000
$0
$0
$0
$0
$0
$0
$0 $300,000
XX 0%
0%
0%
0%
0%
167
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-OAKWOOD TERRACE ADDITION PHASE II
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. Along 608 and 610 Martha Street,
2. Between Martha Street and Cannon Drive from Reaves Court to W Huitt Lane,
3. Between Jefflyn Court and W Huitt Lane from Martha Street to S Main Street, and
4. Between Henslee Drive and Cannon Drive from Reaves Court to Jefflyn Court.
FY2017
Many wastewater mains throughout the City are 40+years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
168
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-OAKWOOD TERRACE ADDITION PHASE II
Engineering $57,000
Construction $380,000
$0
$0
$0
$0
$0
$0
$0 $437,000
XX 0%
0%
0%
0%
0%
169
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-KYNETTE DRIVE/WILSHIRE DRIVE
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Kynette Drive from Eastcliff Drive to Wilshire Drive and
2. Wilshire Drive from Kynette Drive extending 1000' north.
FY2018
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
170
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-KYNETTE DRIVE/WILSHIRE DRIVE
Engineering $50,000
Construction $330,000
$0
$0
$0
$0
$0
$0
$0 $380,000
XX 0%
0%
0%
0%
0%
171
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REP-HUNTINGTON/KOEN/ATKERSON/E HUITT/SLAUGHTER/MARTIN
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
This project consists of the replacement of the following wastewater mains:
1. East of Huntington Drive from S Atkerson Lane to E Alexander Lane,
2. Between Koen Lane and S Atkerson Lane from Huntington Drive to FAA Road,
3. Between S Atkerson Lane and N Atkerson Lane from Huntington Drive to FAA Road,
4. Between N Atkerson Lane and E Huitt Lane from Huntington Drive to FAA Road,
5. Between E Huitt Lane and Slaughter Lane from Huntington Drive to FAA Road,
6. Between Slaughter Lane and Martin Lane from Huntington to FAA Road, and
7. Between Martin Lane and E Alexander Lane from Huntington Drive to FAA Road.
FY2019
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
172
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-HUNTINGTON/KOEN/ATKERSON/E HUITT/SLAUGHTER/MARTIN
Engineering $64,000
Construction $430,000
$0
$0
$0
$0
$0
$0
$0 $494,000
XX 0%
0%
0%
0%
0%
173
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-NW MIDWAY/RUSK/PARKER/ROCKWALL
WASTEWATER MAIN REPLACEMENT
B
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. North of West Midway Drive from FM157 to Parker Drive,
2. West Midway Drive from Parker Drive to Rusk Drive,
3. Rusk Drive from West Midway Drive to Parker Drive,
4. Parker Drive from West Midway Drive to Rockwall Drive, and
5. Rockwall Drive from west of Parker Drive to 400' west of Lamar Drive.
FY2019
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
174
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-NW MIDWAY/RUSK/PARKER/ROCKWALL
Engineering $69,000
Construction $460,000
$0
$0
$0
$0
$0 $529,000
XX 0%
0%
0%
0%
0%
175
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 05,2007
RON YOUNG
LINE REPLACEMENT-COLLIN DRIVE/HARRIS DRIVE/IRION DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the following wastewater main replacements:
1. West of Collin Drive between Denton Drive and Harwood Road,
2. West of Harris Drive from Dallas Drive to Harwood Road,
3. Dallas Drive from west of Collin Drive to west of Harris Drive,
4. South of Dallas Drive from west of Collin Drive to Dallas Drive, and
5. West of Irion Drive from Dallas Drive to Harwood Road.
Many wastewater mains throughout the City are 40+years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
176
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-COLLIN DRIVE/HARRIS DRIVE/IRION DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
177
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-DONLEY DRIVE/SHELMAR DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
This project consists of the replacement of the following wastewater lines:
1. Donley Drive from Shelmar Drive to W Ash Lane,
2. Donley Drive from Harwood Road to Shelmar Drive, and
3. Shelmar Drive from Green Hill Street to the end of Shelmar Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
178
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-DONLEY DRIVE/SHELMAR DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
179
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-EASTCLIFF DRIVE/WINDLEA DRIVE/SIGNET DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
This project includes the replacement of the following wastewater mains:
1. Eastcliff Drive from Tyler Avenue to Signet Drive,
2. Windlea Drive from Eastcliff Drive to Wilshire Drive, and
3. Between Windlea Drive and Signet Drive from Eastcliff Drive to Wilshire Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
180
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-EASTCLIFF DRIVE/WINDLEA DRIVE/SIGNET DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
181
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-ECTOR DRIVE/DONLEY DRIVE/CRANE DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Between Ector Drive and Donley Drive from Aransas Drive to Harwood Road and
2. Between Donley Drive and Crane Drive from Aransas Drive to Harwood Road.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
182
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-ECTOR DRIVE/DONLEY DRIVE/CRANE DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
183
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-EVANS DRIVE/CANYON RIDGE DRIVE/N KYNETTE DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Between Evans Drive and Canyon Ridge Drive from Cyclone Branch to north of Kynette Drive and
2. North of Kynette Drive from Canyon Ridge Drive to Cyclone Branch.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
184
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-EVANS DRIVE/CANYON RIDGE DRIVE/N KYNETTE DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
185
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-GLENN DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the wastewater mains located west of Glenn Drive from Aransas
Drive to Glenn Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
186
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-GLENN DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
187
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-JANANN STREET/BROWNSTONE DRIVE/SHELMAR DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Janann Street from Aransas Drive to Donley Drive,
2. Brownstone Drive from Aransas Drive to Donley Drive,
3. Shelmar Drive from Greenhill Street to Aransas Drive, and
4. Aransas Drive from 500' south of Shelmar Drive to Janann Street.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
188
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-JANANN STREET/BROWNSTONE DRIVE/SHELMAR DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
189
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-LAKEWOOD BLVD/DOGWOOD CIRCLE/BOCOWOOD CIRCLE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Lakewood Boulevard from Dogwood Circle north to Private Drive and
2. Dogwood Circle, Cypress Circle, Bocowood Circle, and Aspenway Circle.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
190
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-LAKEWOOD BLVD/DOGWOOD CIRCLE/BOCOWOOD CIRCLE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
191
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 16,2012
RON YOUNG
LINE REP-LIVE OAK DRIVE/SILVER CREEK DRIVE/MARLENE DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. Live Oak Drive from Silver Creek Drive south to Hurricane Creek,
2. Mains in the cul-de-sacs on the east side of Live Oak Drive,
3. Silver Creek Drive between Westpark Way and Evans Drive, and
4. Marlene Drive between Live Oak and Marlene Court.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
192
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-LIVE OAK DRIVE/SILVER CREEK DRIVE/MARLENE DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
XX
193
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-MARY/MARLENE/COMMERCE/WILSHIRE/GREENBRIAR
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Between Mary Drive and Marlene Drive from Cyclone Branch to Marlene Drive,
2. Between Commerce Street and Wilshire Drive from Marlene Drive to Sagebrush Trail,
3. South of Greenbriar Drive from Cyclone Branch to Debra Drive,
4. Between Greenbriar Drive and Mary Street from Eastcliff Drive to Debra Drive, and
5. East of Debra Drive and south of Mary Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
194
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-MARY/MARLENE/COMMERCE/WILSHIRE/GREENBRIAR
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
195
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 13,2006
RON YOUNG
LINE REPLACEMENT-N MIDWAY PARK
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. East of Denton Drive between Bell Drive and Dallas Drive,
2. Between Denton Drive and Irion Drive from Dallas Drive to Harwood Road,
3. Along Denton Drive from Harwood Road to Collin Drive, and
4. Along Milam Drive from Blanco Drive to Midway Park Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, open joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
196
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-N MIDWAY PARK
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
197
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REP-NORTHCLIFF/TOPLEA/WINDLEA/SIGNET/KYNETTE/WESTCLIFF
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Between Northcliff Drive and Toplea Drive from Canyon Ridge to Cyclone Branch,
2. Between Toplea Drive and Windlea Drive from Canyon Ridge to Cyclone Branch,
3. Between Windlea Drive and Signet Drive from Canyon Ridge to Cyclone Branch,
4. Between Signet Drive and Kynette Drive from the church to Cyclone Branch, and
5. Westcliff Drive from Toplea Drive to north of Windlea Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
198
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-NORTHCLIFF/TOPLEA/WINDLEA/SIGNET/KYNETTE/WESTCLIFF
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
199
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 13,2006
RON YOUNG
LINE REPLACEMENT-S MAIN STREET
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the wastewater main along S Main Street from Jean Lane to W
Alexander Lane.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
200
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-S MAIN STREET
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
201
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-SAGEBRUSH/TOPLEA/WILSHIRE/YORKSHIRE/TYLER
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. Between Sagebrush Trail and Toplea Drive from Cyclone Branch to east of Wilshire Drive,
2. Between Wilshire Drive and Yorkshire Drive from Signet Drive to south of Toplea Drive,
3. Between Sagebrush Trail and Tyler Avenue from Cyclone Branch to Commerce Street,
4. Eastcliff Drive from Tyler Avenue to the apartments, and
5. Between Marlene Drive and Tyler Avenue from Eastcliff Drive to Commerce Street.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
202
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-SAGEBRUSH/TOPLEA/WILSHIRE/YORKSHIRE/TYLER
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
203
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 01,2011
RON YOUNG
LINE REPLACEMENT-SIERRA DRIVE
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
This project consists of replacement of the following wastewater mains:
1. Between Sierra Drive and Eastcliff Drive from Kynette Drive to Signet Drive and
2. East of Sierra Drive from Wilshire Park to Signet Drive.
Many wastewater mains throughout the City are 40+years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
204
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-SIERRA DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
205
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REPLACEMENT-W DONLEY/PRIVATE DRIVE/MIMOSA/MAGNOLIA/REDBUD
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. West of Donley Drive from West Ash Lane to Private Drive,
2. Private Drive from west of Redbud Drive to Lakewood Boulevard,
3. Mimosa Lane from Bocowood Drive to Private Drive,
4. Magnolia Lane from Bocowood Drive to Private Drive, and
5. Redbud Drive from Bocowood Drive to Private Drive.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
206
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-W DONLEY/PRIVATE DRIVE/MIMOSA/MAGNOLIA/REDBUD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
207
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS February 16,2009
RON YOUNG
LINE REP-W MIDWAY/VICTORIA/DELTA/LAMAR/ROCKWALL
WASTEWATER MAIN REPLACEMENT
C
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The
project is part of the systematic replacement of deteriorating vitrified clay tile wastewater mains.
The project consists of the replacement of the following wastewater mains:
1. West Midway Drive from FM157 to Victoria Drive,
2. Victoria Drive from West Midway Drive north 700',
3. Delta Drive from West Midway Drive north 1000',
4. Lamar Drive from West Midway Drive north to Fayette Drive, and
5. Rockwall Drive from Lamar Drive west and north 800'.
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. This project is part of the systematic
replacement of wastewater mains using a worst first approach to reduce maintenance costs and customer
problems.
208
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-W MIDWAY/VICTORIA/DELTA/LAMAR/ROCKWALL
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
209
210
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContribImpact FeesEscrow FundsCar Rental TaxOther EDCTo Be DeterminedWATER PROJECTS24-Inch Valve Replacement Cinnamon, Anice, Fuller-WiserA $ 220,000 XX Sub-Total Water Priority A-Proposed FY15 $ 220,000 LR: S Pipeline Road West (16)B $ 307,000 XX SH183 Phase II Water Relocation (16)B $ 1,200,000 XX Water System Security Camera Installation (16)B $ 75,000 XX LR: Ector Drive (17)B $ 291,000 XX LR: Blessing Creek/Stony Creek/Rock Creek (18)B $ 365,000 XX LR: Kynette Drive (18)B $ 289,000 XX Sub-Total Water Priority B-Unfunded $ 2,527,000 LR: Collin Drive-Dallas Drive to Harwood Road C TBD XX LR: Collin Drive-Denton Drive to Dallas Drive C TBD XX LR: Denton Drive C TBD XX LR: Dickey Drive North C TBD XX LR: Dickey Drive South C TBD XX LR: Dunaway Drive C TBD XX LR: E Huitt Lane C TBD XX LR: Eastcliff Drive C TBD XX LR: Fuller Drive C TBD XX LR: Hollow Oak Drive C TBD XX LR: Live Oak Court/Live Oak Drive C TBD XX LR: Midcreek/Rock Creek/Stony Creek C TBD XX LR: Midway Drive East C TBD XX LR: Midway Drive West C TBD XX LR: Needles Street C TBD XX LR: Paula Lane C TBD XX LR: S Main Street (North) C TBD XX LR: S Main Street (South) C TBD XX LR: S Pipeline Road East C TBD XX SH360 Water Crossing C TBD XX LR: Shady Creek Drive/Cliffwood Road C TBD XX LR: Springwood Court C TBD XX LR: Sunset Drive C TBD XX LR: Westwood Drive C TBD XX LR: Wildwood Street C TBD XX LR: Woodvine (East) C TBD XX LR: Woodvine (West) C TBD XX Sub-Total Water Priority C-Unfunded $ - WATER PROJECTS - TOTAL$ 2,747,000 LR = Line ReplacementCAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEPROPOSED METHOD OF FINANCING 211
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 08,2014
HAL CRANOR
24-INCH VALVE REPLACEMENT- CINNAMON LN, ANICE LN, FULLER-WISER RD
WATER MAIN REPLACEMENT
A
The water mains included in this project are part of the City's Water System Master Plan.
The project will replace three 24-inch gate valves on the 24-inch main line running between North Main Street
and Fuller-Wiser Road.
FY2015
Old and deteriorated water valves prevent water lines from being isolated in the event of a line break. Not being
able to isolate as small a segment as possible during a line break increases the labor required to isolate the line,
as well as the number of residents and fire hydrants that would be affected by a line break. Systematic annual
replacement of old deteriorated water valves will increase efficiency, reduce maintenance costs, and ensure
maximum fire protection and water service availability.
212
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
24-INCH VALVE REPLACEMENT- CINNAMON LN, ANICE LN, FULLER-WISER RD
Engineering $20,000
Construction $180,000
$0 10% Contingency $20,000
$0
$0
$0
$0
$0
$0 $220,000
XX 0%
0%
0%
0%
0%
213
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-S PIPELINE ROAD WEST
WATER MAIN REPLACEMENT
B
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of 1,625 feet of existing 6" cast iron water main with an 8" PVC water
main along S Pipeline Road west from Simmons Drive to Vine Street.
FY2016
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
214
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-S PIPELINE ROAD WEST
Engineering $37,000
Construction $246,000
$0 10% Contingency $24,000
$0
$0
$0
$0
$0
$0 $307,000
XX 0%
0%
0%
0%
0%
215
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 10, 2010
RON YOUNG
SH183 PHASE II WATER RELOCATION
WATER LINE RELOCATION
B
The Texas Department of Transportation ("TxDoT") has planned for the expansion of SH183. The Phase II
construction will affect the City of Euless' utilities along and crossing SH183 between FM157 and the east city
limits.
The City of Euless has water mains and associated items located within the SH183 right-of-way. These facilities
must be relocated to accommodate Phase II the SH183 expansion. It is anticipated that the City of Euless will
enter into a relocation agreement with the contractor selected by TxDoT to authorize them to design and
relocate water lines and associated infrastructure. The City will be responsible for the cost of relocating the
utilities.
Est. FY2016
City of Euless water facilities are located within TxDoT right-of-way. As such, the City must provide for utility
relocation to accommodate the roadway expansion.
216
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SH183 PHASE II WATER RELOCATION
Water Relocation Reimbursement $1,200,000
$0
$0
$0
$0
$0
$0
$0 $1,200,000
0%
0%
0%
0%
$1,200,000 0%
217
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
WATER SYSTEM SECURITY CAMERA INSTALLATION
WATER SYSTEM SECURITY
B
This project is a result of the findings included in the 2004 Water System Vulnerability Assessment of the City's
Water System Master Plan.
The project provides for the installation of security cameras at the water production and storage sites (ground
storage tanks and towers) located at West Fuller Drive, Heritage Park, 1400 N Main Street, 2591 N Main Street,
and 2700 N Main Street.
FY2016
Increase water system security by addressing vital elements as recommended in the 2004 Water System
Vulnerability Assessment as identified by Lockwood, Andrews, and Newman, Inc. and submitted to the
Environmental Protection Agency (EPA).
218
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
WATER SYSTEM SECURITY CAMERA INSTALLATION
Equipment Installation $75,000
$0
$0
$0
$0
$0
$0
$0 $75,000
0%
XX 0%
0%
0%
0%
219
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-ECTOR DRIVE, TROJAN TRAIL TO MIDWAY DRIVE
WATER MAIN REPLACEMENT
B
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of 1,840 feet of 6" cast iron water main with an 8" PVC main on Ector
Drive from Trojan Trail to Midway Drive.
FY2017
Old and deteriorated water mains increase the City's maintenance costs. Substandard size mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
220
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-ECTOR DRIVE, TROJAN TRAIL TO MIDWAY DRIVE
Engineering $35,000
Construction $233,000
$0 10% Contingency $23,000
$0
$0
$0
$0
$0
$0 $291,000
XX 0%
0%
0%
0%
0%
221
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-BLESSING CREEK/STONY CREEK/ROCK CREEK
WATER MAIN REPLACEMENT
B
The water mains are included in the City's Water System Master Plan.
This project will replace the 6" AC main with an 8" PVC main for Blessing Creek, Stony Creek, and Rock Creek.
FY2018
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
222
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-BLESSING CREEK/STONY CREEK/ROCK CREEK
Engineering/Surveying $45,000
Construction $320,000
$0
$0
$0
$0
$0
$0
$0 $365,000
XX 0%
0%
0%
0%
0%
223
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-KYNETTE DRIVE, CYCLONE CREEK TO WILSHIRE DRIVE
WATER MAIN REPLACEMENT
B
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of 1,500 feet of 6" cast iron water main with an 8" PVC main along
Kynette Drive from Cyclone Creek to Wilshire Drive.
FY2018
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
224
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-KYNETTE DRIVE, CYCLONE CREEK TO WILSHIRE DRIVE
Engineering $32,000
Construction $236,000
$0 10% Contingency $21,000
$0
$0
$0
$0
$0
$0 $289,000
XX 0%
0%
0%
0%
0%
225
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-COLLIN DRIVE, DALLAS DRIVE TO HARWOOD ROAD
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project will replace a 6" cast iron main with an 8" PVC main along Collin Drive from Dallas Drive to Harwood
Road.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
226
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-COLLIN DRIVE, DALLAS DRIVE TO HARWOOD ROAD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
227
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-COLLIN DRIVE, DENTON DRIVE TO DALLAS DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project will replace a 6" cast iron main to an 8" PVC main along Collin Drive from Denton Drive to Dallas
Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
228
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-COLLIN DRIVE, DENTON DRIVE TO DALLAS DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
229
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-DENTON DRIVE, TARRANT DRIVE TO HARWOOD ROAD
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the 6" cast iron water main with an 8" PVC main along Denton Drive
from Tarrant Drive to Harwood Road.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
230
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-DENTON DRIVE, TARRANT DRIVE TO HARWOOD ROAD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
231
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-DICKEY DRIVE NORTH, SH10 TO E HUITT LANE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
This project consists of replacing the 6" cast iron water main with an 8" PVC main along Dickey Drive north from
SH10 to E Huitt Lane.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
232
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-DICKEY DRIVE NORTH, SH10 TO E HUITT LANE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
233
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-DICKEY DRIVE SOUTH, E HUITT LANE TO HILTON DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
This project consists of the replacement of a 6" cast iron water main with an 8" PVC main along Dickey Drive
south from E Huitt Lane to Hilton Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
234
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-DICKEY DRIVE SOUTH, E HUITT LANE TO HILTON DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
235
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 15,2005
RON YOUNG
LINE REPLACEMENT-DUNAWAY DRIVE, E ALEXANDER LANE TO E ASCOT DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the existing 6" AC water main with an 8" PVC water main on
Dunaway Drive from E Alexander Lane to E Ascot Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
236
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-DUNAWAY DRIVE, E ALEXANDER LANE TO E ASCOT DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
237
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 15,2005
RON YOUNG
LINE REPLACEMENT-E HUITT LANE, S MAIN STREET TO DUNAWAY DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the existing 6" PVC water main with an 8" PVC water main along
E Huitt Lane from S Main Street to Dunaway Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
238
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-E HUITT LANE, S MAIN STREET TO DUNAWAY DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
239
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 15,2005
RON YOUNG
LINE REPLACEMENT-EASTCLIFF DRIVE, TOPLEA DRIVE TO DEL PRADO APTS.
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the 6" AC main to an 8" PVC main along Eastcliff Drive from Toplea
Drive to Del Prado Apartments.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
240
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-EASTCLIFF DRIVE, TOPLEA DRIVE TO DEL PRADO APTS.
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
241
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-FULLER DRIVE, SALEM DRIVE TO CARTER DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of replacing a 6" cast iron water main with an 8" PVC water main along Fuller Drive from
Salem Drive to Carter Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
242
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-FULLER DRIVE, SALEM DRIVE TO CARTER DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
243
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-HOLLOW OAK DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of 1,270 feet of 6" cast iron main with an 8" PVC main along Hollow
Oak Drive from Woodridge Circle to Pebble Creek Drive and Woodridge Circle south of Hollow Oak Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
244
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-HOLLOW OAK DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
245
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-LIVE OAK CT/LIVE OAK DRIVE
WATER MAIN REPLACEMENT
C
The water mains included in this project are included in the City's Water System Master Plan.
The project consists of the replacement of the existing 4" cast iron water main with an 8" PVC main along Live
Oak Drive from Cedar Court to the south end of Live Oak Court. Additionally, the replacement of the existing 8"
cast iron water main with an 8" PVC water main from Canyon Ridge to West Cliff Drive is also included in the
scope of the project.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
246
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-LIVE OAK CT/LIVE OAK DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
247
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 05,2007
RON YOUNG
LINE REP-MIDCREEK DRIVE/ROCK CREEK DRIVE/STONY CREEK DRIVE
WATER MAIN REPLACEMENT
C
The water main is included in the City's Water System Master Plan.
This project consists of the replacement of a 6" AC main with an 8" PVC main on Midcreek Drive, Rock Creek
Drive, and Stony Creek Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
248
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-MIDCREEK DRIVE/ROCK CREEK DRIVE/STONY CREEK DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
249
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-MIDWAY DRIVE EAST, N MAIN ST TO FREESTONE DR
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
This project replaces the 6" cast iron water main with an 8" PVC main on Midway Drive east from N Main Street
to Freestone Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
250
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-MIDWAY DRIVE EAST, N MAIN ST TO FREESTONE DR
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
251
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-MIDWAY DRIVE WEST, FREESTONE DRIVE TO ECTOR DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
This project replaces the 6" cast iron water main with an 8" PVC main along Midway Drive west from Freestone
Drive to Ector Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
252
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-MIDWAY DRIVE WEST, FREESTONE DRIVE TO ECTOR DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
253
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 15,2005
RON YOUNG
LINE REPLACEMENT-NEEDLES STREET, PAULA LANE TO RAIDER DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the existing 6" cast iron water main with an 8" PVC water main along
Needles Street from Paula Lane to Raider Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
254
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-NEEDLES STREET, PAULA LANE TO RAIDER DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
255
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-PAULA LANE, NEEDLES STREET TO S PIPELINE ROAD
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project consists of the replacement of the 6" cast iron water main with an 8" PVC main along Paula Lane
from Needles Street to S Pipeline Road.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
256
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-PAULA LANE, NEEDLES STREET TO S PIPELINE ROAD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
257
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REPLACEMENT-S MAIN STREET (NORTH), E HUITT LANE TO SH10
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
The project will replace and upgrade the water main along S Main Street from E Huitt Lane to SH10 from a 6"
cast iron main to an 8" PVC main.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
258
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-S MAIN STREET (NORTH), E HUITT LANE TO SH10
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
259
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REPLACEMENT-S MAIN STREET (SOUTH), LANDOVER DR TO E HUITT LN
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
This project will replace and upgrade the water main along S Main Street from Landover Drive to E Huitt Lane
from a 6" cast iron main to an 8" PVC.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
260
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-S MAIN STREET (SOUTH), LANDOVER DR TO E HUITT LN
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
261
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-S PIPELINE ROAD EAST, VINE STREET TO S MAIN STREET
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project will replace the existing 6" cast iron water main with an 8" PVC water main along S Pipeline Road
east from Vine Street to S Main Street.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
262
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-S PIPELINE ROAD EAST, VINE STREET TO S MAIN STREET
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
263
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS July 21,2000
RON YOUNG
SH360 WATER CROSSING
WATER MAIN REPLACEMENT
C
This project is related to the DFW International Airport Master Plan for property in Euless.
The project scope includes the extension of two (2) 12" diameter water mains through the SH360 right-of-way to
provide service to the southwest portion of the DFW Airport property. The water mains will be bored under
SH360 at the Midway Drive intersection and between Harwood Road and Ash Lane. The mains will be located
within the Texas Department of Transportation right-of-way. The mains will be plugged at the east right-of-way
of SH360 in anticipation of the likely extension into DFW Airport property to serve future development.
Development on the airport property could potentially increase the City's tax revenues. Future development is
dependent upon the availability of water service to this area.
264
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SH360 WATER CROSSING
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
265
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REPLACEMENT-SHADY CREEK DRIVE/CLIFFWOOD ROAD
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
This project will replace and upgrade the water mains along Shady Creek Drive and Cliffwood Road from the
existing 6" cast iron mains to 8" PVC.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
266
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-SHADY CREEK DRIVE/CLIFFWOOD ROAD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
267
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REPLACEMENT-SPRINGWOOD COURT
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
The project consists of the replacement of 4" water main with an 8" main on Springwood Court.
Old and deteriorated water mains increase the City's maintenance cost. Substandard size water mains provide
a reduced flow of water. Systematic annual replacement of deteriorated and substandard size water mains will
reduce maintenance costs.
268
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-SPRINGWOOD COURT
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
269
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 26,2014
HAL CRANOR
LINE REPLACEMENT-SUNSET DRIVE, S PIPELINE ROAD TO S MAIN STREET
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
The project will replace and upgrade 2,230 feet of water main along Sunset Drive from S Pipeline Road to S
Main Street from a 6" cast iron main to an 8" PVC main.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
270
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-SUNSET DRIVE, S PIPELINE ROAD TO S MAIN STREET
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
271
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 28,2003
RON YOUNG
LINE REPLACEMENT-WESTWOOD DRIVE, FULLER DRIVE TO CARTER DRIVE
WATER MAIN REPLACEMENT
C
This water main is included in the City's Water System Master Plan.
The project will replace a 6" cast iron main with an 8" PVC main along Westwood Drive from Fuller Drive to
Carter Drive.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance costs.
272
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-WESTWOOD DRIVE, FULLER DRIVE TO CARTER DRIVE
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
273
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REPLACEMENT-WILDWOOD STREET
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
This project will replace and upgrade the water main along Wildwood Street from a 6" cast iron main to an 8"
PVC main.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
274
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REPLACEMENT-WILDWOOD STREET
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
275
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REP-WOODVINE DRIVE (EAST), CLIFFWOOD ROAD TO EL CAMINO REAL
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
The project will replace and upgrade the water main along Woodvine Drive from Cliffwood Road to El Camino
Real from a 6" cast iron main to an 8" PVC main.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
276
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-WOODVINE DRIVE (EAST), CLIFFWOOD ROAD TO EL CAMINO REAL
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
277
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 12,2004
RON YOUNG
LINE REP-WOODVINE DRIVE (WEST), PEBBLE CREEK DR TO CLIFFWOOD RD
WATER MAIN REPLACEMENT
C
The water mains included in this project are part of the City's Water System Master Plan.
This project will replace and upgrade the water main along Woodvine Drive from Pebble Creek to Cliffwood
Road from a 6" cast iron main to an 8" PVC main.
Old and deteriorated water mains increase the City's maintenance costs. Substandard size water mains provide
inadequate flow of water. Systematic annual replacement of old deteriorated or substandard size water mains
will reduce maintenance cost.
278
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LINE REP-WOODVINE DRIVE (WEST), PEBBLE CREEK DR TO CLIFFWOOD RD
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
279
280
Project DescriptionPriority Estimated Cost Operating FundCIP Fund BalanceBond SaleGrants/ ContribImpact FeesEscrow FundsCar Rental TaxOther EDCTo Be DeterminedOTHER PROJECTSCar Rental ContingencyA $ 700,000 XX Development/Engineering Building Design A $ 94,350 XX Glade Parks Trail Connection Construction A $ 357,545 XXXX XX Municipal Plaza Improvements Phase I A $ 100,000 XX Sub-Total Other Priority A-Proposed FY15 $ 1,251,895 Blessing Branch Park Improvements (16)B $ 267,120 XX Development/Engineering Building Construction (16)B $ 1,464,300 XX Municipal Plaza Improvements Phase II (16)B $ 150,000 XX Texas Star Sports Complex Phase V Design (16)B $ 688,000 XX XX Trail Enhancements Phase I (16)B $ 182,756 XX Texas Star Sports Complex Phase V Construction (17)B $ 8,462,164 XX XX XX Trail Connection South Euless (17)B $ 51,240 XX Trailwood Park Improvements (17)B $ 220,500 XX Library Remodel Design (18)B $ 147,630 XX Library Remodel Construction (19)B $ 1,596,000 XX Sub-Total Other Priority B-Unfunded $ 13,229,710 Animal Shelter Expansion/Renovation C TBD XX Fire Station #2 Remodel C TBD XX Kiddie Carr Park Improvements C TBD XX South Euless Park Upgrades C TBD XX Trail Enhancements Phase II C TBD XX Trail Enhancements Villages of Bear CreekC TBD XX Wilshire Park UpgradesC TBD XX Sub-Total Other Priority C-Unfunded$ - OTHER PROJECTS - TOTAL$ 14,481,605 CAPITAL IMPROVEMENT PROGRAMSFY15 PROPOSED & UNFUNDED PROJECTS - SORTED BY TYPEPROPOSED METHOD OF FINANCING 281
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
CITY MANAGER July 22,2014
GARY MCKAMIE
CAR RENTAL CONTINGENCY
MISCELLANEOUS DEVELOPMENT
A
To provide funding for development opportunities that arise throughout the year.
FY2015
Funding this project provides flexibility and enables the City to act quickly on development opportunities.
282
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
CAR RENTAL CONTINGENCY
Contingency $700,000
$0
$0
$0
$0
$0
$0
$0 $700,000
XX
283
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS April 01,2013
KYLE MCADAMS
DEVELOPMENT/ENGINEERING BUILDING DESIGN
FACILITIES REMODEL
A
The Development and Engineering Building is the final project planned as part of the City's 1999 Master
Construction plan.
Planning and design phase for renovation of the Development and Engineering Building scheduled for FY2016.
Selected firm will conduct staff interviews, identify potential utilization of available space, complete design
process, create budget projections, and prepare plans and specifications for bid documents.
FY2015
The Development and Engineering Building received a major remodel in 1996 with renovation of the building's
interior. Due to limited funding at that time, certain elements could not be justified as part of the remodel.
284
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
DEVELOPMENT/ENGINEERING BUILDING DESIGN
Planning/Bid Specifications $94,350
$0
$0
$0
$0
$0
$0
$0 $94,350
0%
0%
0%
0%
0%
XX
285
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 05,2008
RAY MCDONALD
GLADE PARKS TRAIL CONNECTION CONSTRUCTION
PARK/RECREATION TRAIL SYSTEM
A
As identified in the Glade Parks development, this project proposes to connect the existing Trails of Euless to
the City of Colleyville trails through the Glade Parks Development.
The project consists of the construction of a trail that will connect to the existing trail at Creekwood Estates, run
underneath the northbound service road, SH121, and the southbound service road to the southeast corner of
the Glade Parks Development. Future connectivity through Glade Parks is planned within the overall
development of that site.
FY2015
Very high interest in trails and trail connectivity were identified in the scientific survey conducted for the adopted
Parks Master Plan. 88% of those who participated in the survey singled out trail connections between existing
and future park developments as the number one priority. Additionally, 76% identified the need for trail
connectivity to other cities as a top priority.
The City of Euless has experienced significant progress in the last few years in the area of trail development
with an extensive network of paved and unpaved trails. The trails system is a valuable asset to the community
as it assists not only in providing a safe means for non-vehicular travel, but also in providing an opportunity for a
variety of unstructured, low-impact recreational pursuits. The development and maintenance of the trails system
continued to receive significant support from the citizens as indicated in the responses to the needs assessment
survey conducted as a part of the Parks Master Plan update.
286
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
GLADE PARKS TRAIL CONNECTION CONSTRUCTION
Construction $325,045
Contingencies 10%$32,500
$0
$0
$0
$0
$0
$0
$0 $357,545
0%
XX 0%
0%
0%
XX 0%
XX
Project has been submitted to TXDOT for potential grant funding; estimated grant award is 80% of construction
costs. All other costs are the responsibility of the City.
287
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 03,2014
HAL CRANOR
MUNICIPAL PLAZA IMPROVEMENTS PHASE I
FACILITIES IMPROVEMENTS
A
This project is the landscaping and irrigation related to the 40th CDBG ADA accessibility and infrastructure
improvements.
Landscaping and irrigation improvements to the Municipal Plaza following the 40th CDBG ADA accessibility and
infrastructure improvements.
FY2015
Beautification of the municipal plaza following the hardscape improvements.
288
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
MUNICIPAL PLAZA IMPROVEMENTS PHASE I
Landscaping $100,000
$0
$0
$0
$0
$0
$0
$0 $100,000
XX
289
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES April 30,2008
RAY MCDONALD
BLESSING BRANCH PARK IMPROVEMENTS
PARK/RECREATION PARK IMPROVEMENTS
B
This project is a continuation of the overall trail system expansion and general park improvements as identified
in the Parks Master Plan.
Blessing Branch Park is a 7.3 acre linear park located on the east side of Main Street across from Midway Park.
Currently, the park has only one swing set. This project includes construction of a trail connection from Main
Street to the west and Fuller-Wiser to the east. Additionally, the project includes a new playground, picnic
pads with grills, and some type of shade shelter/pavilion/gazebo. This area currently gets a high volume of foot
traffic. Constructing a trail in this linear greenbelt would not only provide a safe paved access for the residents
east of Main Street to Midway Park, Midway Park Elementary, and to Trinity High School, but also help create a
renewed sense of quality of life for the residents in that area by enhancing the recreational amenities available.
FY2016
The number one request from Euless citizens as it relates to trails, based on the responses to the needs
assessment survey as identified in the Parks Master Plan, was to construct trail connections between existing
and/or future park developments. This project not only satisfies that request, but also provides trail connections
to neighborhoods, schools, between major thoroughfares, and potentially to future commercial developments to
the southeast.
290
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
BLESSING BRANCH PARK IMPROVEMENTS
Approximately 28,000 square feet of
4"x8' concrete trail @ $4.25 square foot $119,000
$0 Playground/Border $60,000
$0 Picnic pads w/grills $20,000
Shade shelter/pavilion/gazebo $30,000
Trail Lighting $20,000
$0 Playground chips $5,400
Contingency 5%$12,720
$0
$0
$0
$0 $267,120
XX 0%
0%
0%
0%
0%
The proposed method of finance is EDC Operating Fund.
291
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS May 07,2007
KYLE MCADAMS
DEVELOPMENT/ENGINEERING BUILDING CONSTRUCTION
FACILITIES REMODEL
B
The Development and Engineering Building is the final project planned as part of the City's 1999 Master
Construction plan.
The project includes the construction of a new entrance facade to match the other campus structures. Security
issues pertaining to controlled access will be addressed as well as renovation of the Fuller Room into a
functional conference area. Public rest room facilities will be relocated to meet American with Disabilities Act/
Texas Accessibility Standards, the interior will be upgraded, and new carpet will be installed throughout the
facility.
FY2016
The Development and Engineering Building received a major remodel in 1996 with renovation of the building's
interior. Due to limited funding at that time, certain elements could not be justified as part of the remodel.
292
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
DEVELOPMENT/ENGINEERING BUILDING CONSTRUCTION
Construction $1,020,000
Architect Construction Services $35,000
$0 Survey & Testing Fees $8,000
$0 Contingency (20%)$204,000
Furniture $175,000
Instruments & Apparatus $6,000
$0 Data & Telephone
$10,500
Alarm & Security Services $5,800
$0
$0
$0
$0 $1,464,300
25%
0%
0%
0%
0%
XX
293
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS June 03,2014
HAL CRANOR
MUNICIPAL PLAZA IMPROVEMENTS PHASE II
FACILITIES IMPROVEMENTS
B
This project is the landscaping and irrigation related to the 40th CDBG ADA accessibility and infrastructure
improvements.
Landscaping and irrigation improvements to the Municipal Plaza following the 40th CDBG ADA accessibility and
infrastructure improvements.
FY2016
Beautification of the municipal plaza following the hardscape improvements.
294
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
MUNICIPAL PLAZA IMPROVEMENTS PHASE II
Landscaping $150,000
$0
$0
$0
$0
$0
$0
$0 $150,000
XX
295
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES March 27,2014
RAY MCDONALD
TEXAS STAR SPORTS COMPLEX PHASE V DESIGN
PARK/RECREATION TSSC IMPROVEMENTS
B
The Texas Star Sports Complex Phase V includes additional multi-use fields to accommodate both softball and
baseball. Also included in the project is additional parking and a concession building to support the new phase
and the number of participants the activities hosted by the new phase will generate. With the growing number of
participants in youth baseball and adult softball, the new multi-use fields will allow our staff the opportunity to
expand our programming in both sports as well as creating new opportunities for future programs including girl's
fast pitch. The addition of this phase will ensure that the Texas Star Sports Complex remains the premier sports
facility for amateur athletics for many years to come.
The project includes the design of four (4) multi-use playing fields that would accommodate adult slow pitch and
girl's fast pitch softball, as well as youth baseball. In addition, the design would also include an additional 60/90
or high school aged field as the need for another field this size continues to grow. Phase V will also feature
synthetic sports turf in all the infields, a concession and restroom building, a pavilion, playground and sufficient
parking to accommodate the additional patrons.
FY2016
Softball World is an aging facility with many necessary upgrades looming in the short-term which would require
a significant capital investment. This phase would eliminate the upgrades with consolidation and movement of
this operation to the Parks at Texas Star, collectively known as the Texas Star Sports Complex. With the
completion of Phase V, the new multi-use facility will serve the athletic needs of the community and spur
economic opportunities for the City.
296
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Escrow Funds
Other
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TEXAS STAR SPORTS COMPLEX PHASE V DESIGN
Design Development (30%)$222,000
Construction Documents (45%)$330,000
$0 Bidding (5%)$36,000
$0 Boundary Survey / Replat $40,000
Topographic Surveying $30,000
Geotechnical $15,000
$0 Reimbursable Expenses
$15,000
$0
$0
$0
$0 $688,000
XX 0%
XX 0%
0%
0%
0%
Note: Operating currently under the TSSC umbrella, Softball World's proposed relocation to Parks At Texas
Star, under this phase, will cover all operating costs of the new operations. Accordingly, no additional baseline
expenses are anticipated.
297
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 12,2008
RAY MCDONALD
TRAIL ENHANCEMENTS PHASE I
PARK/RECREATION TRAIL SYSTEM
B
Identified in the Needs Assessment and Identification section of the adopted Parks Master Plan are a number of
trail related improvements.
This project consists of the first phase of implementation of park improvements identified in the adopted Parks
Master Plan which includes additional water fountains, additional benches, construction of shaded seating areas
along the trail, addition and/or installation of new exercise equipment along the trails, picnic stations, and
construction of additional pedestrian bridges in high water areas. Also identified, is the need to address various
areas in our trails system that might need to be converted from unpaved to paved trails.
FY2016
The City of Euless has experienced significant progress in the last few years in the area of trail development
with an extensive network of paved and unpaved trails. The trails system is a valuable asset to the community
as it assists not only in providing a safe means for non-vehicular travel, but also in providing an opportunity for a
variety of unstructured, low-impact recreational pursuits. The development and maintenance of the trails system
continued to receive significant support from the citizens as indicated in the responses to the needs assessment
survey conducted as a part of the Parks Master Plan update.
298
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAIL ENHANCEMENTS PHASE I
Stopping Stations:
8'x8' w/bench (2) Bob Eden $8,200
$0 Health Trail:
$0 Fitness Course - Bob Eden
$9,678
Freight for fitness equipment $1,249
Installation of fitness equipment $2,709
$0 32' Gazebo shade shelter
$44,552
Freight for gazebo $2,050
Installation of gazebo $17,820
New fitness trail surface $19,240
$0 (4527 sq. ft @ $4.25 sq. ft)
Gazebo slab (805 sq. ft @ $4.25 sq.ft)$3,421
$0 Safety surface for fitness stations $50,000
Contingency (10%)$15,892
Other (5%)$7,945
$0
$0 $182,756
0%
XX 0%
0%
0%
0%
The proposed method of finance is EDC CIP Fund Balance.
299
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 01,2010
RAY MCDONALD
TEXAS STAR SPORTS COMPLEX PHASE V CONSTRUCTION
PARK/RECREATION TSSC IMPROVEMENTS
B
The Texas Star Sports Complex Phase V includes additional multi-use fields to accommodate both softball and
baseball. Also included in the project is additional parking and a concession building to support the new phase
and the number of participants the activities hosted by the new phase will generate. With the growing number of
participants in youth baseball and adult softball, the new multi-use fields will allow our staff the opportunity to
expand our programming in both sports as well as creating new opportunities for future programs including girl's
fast pitch. The addition of this phase will ensure that the Texas Star Sports Complex remains the premier sports
facility for amateur athletics for many years to come.
The project includes the construction of four (4) multi-use playing fields that would accommodate adult slow
pitch and girl's fast pitch softball, as well as youth baseball. In addition, the construction would also include an
additional 60/90 or high school aged field as the need for another field this size continues to grow. Phase V will
also feature synthetic sports turf in all the infields, a concession and restroom building, a pavilion, playground
and sufficient parking to accommodate the additional patrons.
FY2017
Softball World is an aging facility with many necessary upgrades looming in the short-term which would require
a significant capital investment. This phase would eliminate the upgrades with consolidation and movement of
this operation to the Parks at Texas Star, collectively known as the Texas Star Sports Complex. With the
completion of Phase V, the new multi-use facility will serve the athletic needs of the community and spur
economic opportunities for the City.
300
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Escrow Funds
Other
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TEXAS STAR SPORTS COMPLEX PHASE V CONSTRUCTION
General Items $115,000
$0 Earth Work $167,000
$0 Site Paving $1,370,100
Softball Fields (four - plex)$1,821,920
Baseball Field $799,812
$0 General Site Amenities
$139,180
Playground $200,000
Concession/Restroom Bldg $450,000
Irrigation/Landscaping $320,000
$0 Water $132,600
Sanitary Sewer $46,600
$0 Storm Drain
$389,460
Electrical $817,900
10% Contingency $677,037
Survey,Geotech, Etc 15%$1,015,555
$0
$0 $8,462,164
0%
XX 0%
0%
0%
0%
XX
XX
Note: Operating currently under the TSSC umbrella, Softball World's proposed relocation to Parks At Texas
Star, under this phase, will cover all operating costs of the new operations. Accordingly, no additional baseline
expenses are anticipated.
301
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 12,2008
RAY MCDONALD
TRAIL CONNECTION SOUTH EULESS
PARK/RECREATION TRAIL SYSTEM
B
Identified in the adopted Parks Master Plan is the need for additional trail connections from neighborhoods to
parks.
There is very high interest in trails and trail connectivity as identified in the scientific survey in the adopted Parks
Master Plan. 88% of those participating in the survey identified the need for trail connections between
neighborhoods and parks. Additionally, 68% percent identified the need for trail connectivity to schools as a top
priority. This project would allow for safe access to South Euless Park from adjacent neighborhoods as well as
South Euless Elementary from the adjacent neighborhood to the south.
FY2017
The City of Euless has experienced significant progress in the last few years in the area of trail development
with an extensive network of paved and unpaved trails. The trails system is a valuable asset to the community
as it assists not only in providing a safe means for non-vehicular travel, but also in providing an opportunity for a
variety of unstructured, low-impact recreational pursuits. The development and maintenance of the trails system
continued to receive significant support from the citizens as indicated in the responses to the needs assessment
survey conducted as a part of the Parks Master Plan update.
302
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAIL CONNECTION SOUTH EULESS
Approximately 5,600 Square Feet
of 4'x8'x4" Concrete Trail @ $4.25 sq.ft $23,800
$0 Handrails, Concrete Footer, Retaining
$0 Wall
$25,000
Contingencies 5%$2,440
$0
$0
$0
$0
$0 $51,240
0%
XX 0%
0%
0%
0%
The proposed method of finance is EDC CIP Fund Balance.
303
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 13,2008
RAY MCDONALD
TRAILWOOD PARK IMPROVEMENTS
PARK/RECREATION PARK IMPROVEMENTS
B
This project is a continuation of the overall park improvement plan as identified in the Parks Master Plan.
Trailwood Park is an eleven acre site that currently has a playground and a half-mile hike/bike trail. This project
includes the installation of a new pavilion, a parking lot, upgraded playground to meet American with Disabilities
Act standards, park lighting, new park signs, benches along the trail, and trail lighting.
FY2017
As identified in the adopted Parks Master Plan, the municipal park is the foundation of any solid parks and
recreation system. The City of Euless parks and recreation system provides the residents and visitors with
significant personal, social, environmental and economic benefits. The revitalization efforts that the Euless City
Council has focused on over the years has increased the sense of community pride. This proposed project will
continue those efforts by creating an area that will serve both the passive and active leisure needs of the
residents in the vicinity.
304
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAILWOOD PARK IMPROVEMENTS
Park amenities (playground, signs, etc)$100,000
Parking (30 spaces)$75,000
$0 Parking lot lighting $15,000
$0 2- IIlini picnic shelters (12'x12')$20,000
Contingencies 5%$10,500
$0
$0
$0
$0
$0 $220,500
0%
0%
0%
0%
0%
XX
305
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS April 01,2013
KYLE MCADAMS
LIBRARY REMODEL DESIGN
FACILITIES REMODEL
B
This remodel planning is submitted as a new project and is not related to the City's Master Plan.
Planning and design phase for remodel of the Library scheduled for FY2019.
FY2018
The Library was constructed in 1996 and interior furnishings and design layout are in need of updating.
306
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LIBRARY REMODEL DESIGN
Planning/Bid Specifications $147,630
$0
$0
$0
Insurance
$0
$0
$0
$0 $147,630
0%
0%
0%
0%
0%
XX
307
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS April 01,2013
KYLE MCADAMS
LIBRARY REMODEL CONSTRUCTION
FACILITIES REMODEL
B
This remodel is submitted as a new project and is not related to the City Master Plan.
The library facility remodel project scope includes reconfiguration of the general interior layout, HVAC upgrade,
replacement of furnishings, updating overall facility decor, lighting upgrades, and electrical work.
FY2019
The Library was constructed in 1996, pre-internet and pre-digital age. Electrical plugs and data ports are
currently in limited areas but are needed throughout the building to provide increased access to computers and
technology. Patrons are requesting more space for quiet study, group study, and collaboration. The Young
Adult/Teen collection is one of the highest circulation and this group needs a space in the Library.
308
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
LIBRARY REMODEL CONSTRUCTION
Construction $1,596,000
$0
$0
$0
$0
$0
$0
$0 $1,596,000
0%
0%
0%
0%
0%
XX
309
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS May 07,2007
KYLE MCADAMS
ANIMAL SHELTER-EXPANSION/RENOVATION
FACILITIES REMODEL
C
This project is part of the City's five year master plan.
The project consists of the expansion of the current animal shelter facility to better accommodate visitors,
adoptions, and animal services. The project scope includes the addition of ten (10) enclosed dog runs, six (6)
quarantine runs, an adoption room, additional room for cat containment, and an area for animal washing. Office
space expansion will be included in the renovation as well as updates to the public/employee rest rooms.
The current animal control facility has insufficient space to meet current and future demands.
310
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
ANIMAL SHELTER-EXPANSION/RENOVATION
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
25%
0%
0%
0%
0%
XX
311
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
FLEET & FACILITY OPERATIONS March 13,2013
KYLE MCADAMS
FIRE STATION #2 REMODEL
CONSTRUCTION REMODEL
C
This structure was the former vehicle service center and was reconstructed for the relocation of Fire Station #2
from 1100 Westpark Way. The building is in need of Americans with Disabilities Act enhancements,
reconfiguration of the bathrooms and shower facilities, kitchen, and general remodel of interior structures.
312
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
FIRE STATION #2 REMODEL
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
313
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 13,2008
RAY MCDONALD
KIDDIE CARR PARK IMPROVEMENTS
PARK/RECREATION PARK IMPROVEMENTS
C
The adopted Parks Master Plan recommends funding for system-wide park facilities and amenities upgrades.
This project includes the construction or installation of a pavilion, a concrete trail connection to Carr Park, bank
stabilization along Boyd Branch Creek which runs through the park, a playground, park lighting, picnic stations,
an irrigation system, new perimeter fencing, a drinking fountain, benches, and a dedicated parking lot at Kiddie
Carr Park.
As identified in the adopted Parks Master Plan, the municipal park is the foundation of any solid parks and
recreation system. The City of Euless parks and recreation system provides residents and visitors with
significant personal, social, environmental, and economic benefits. The revitalization efforts that the Euless City
Council has focused on over the years has increased the sense of community pride. Kiddie Carr Park is a four
acre park located adjacent to Carr Park off Pauline. The current amenities at this park include the Parks
Department's in-ground tree farm, a greenhouse, and an outdoor basketball court. The park is located in a
section of town that needs something to stimulate community pride. The proposed project will continue the City
Council's revitalization efforts by creating an area that will serve both the passive and active leisure needs of the
residents in this area.
314
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
KIDDIE CARR PARK IMPROVEMENTS
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
315
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES April 02,2013
RAY MCDONALD
SOUTH EULESS PARK UPGRADES
PARK/RECREATION PARK IMPROVEMENTS
C
The adopted Parks Master Plan calls for general upgrades and improvements in the overall quality of parks in
the city and to develop a high quality parks system that provides for all age and interest groups and enhances
the adjoining neighborhoods.
Overall park enhancements and improvements that might include amenities such as new playground equipment,
park redevelopment, improved lighting, water features, upgrades to existing splashpad, expansion of existing
splashpad, and additional landscaping.
This has been documented in the adopted Parks Master Plan.
316
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
SOUTH EULESS PARK UPGRADES
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
317
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES May 13,2008
RAY MCDONALD
TRAIL ENHANCEMENTS PHASE II
PARK/RECREATION TRAIL SYSTEM
C
This enhancement was identified in the Needs Assessment and Identification section of the adopted Parks
Master Plan.
This project is Phase II of the trail enhancements that continues implementation of park improvements identified
in the adopted Parks Master Plan which includes additional water fountains, additional benches, construction of
shaded seating areas along the trail, addition and/or installation of new exercise equipment along the trails,
picnic stations, and construction of additional pedestrian bridges in high water areas. Also identified, is the need
to address various areas along the trail that need to be converted from unpaved to paved trails.
The City of Euless has experienced significant progress in the last few years in the area of trail development
with an extensive network of paved and unpaved trails. The trails system is a valuable asset to the community
as it assists not only in providing a safe means for non-vehicular travel, but also in providing an opportunity for a
variety of unstructured, low-impact recreational pursuits. The development and maintenance of the trails system
continued to receive significant support from the citizens as indicated in the responses to the needs assessment
survey conducted as a part of the Parks Master Plan update.
318
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAIL ENHANCEMENTS PHASE II
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
319
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES March 23,2004
RAY MCDONALD
TRAIL ENHANCEMENTS VILLAGES OF BEAR CREEK
PARK/RECREATION TRAIL SYSTEM
C
This project includes infrastructure improvements which were identified as a high priority in the adopted Parks
Master Plan.
This project includes the redevelopment/redesign and improvement of the trail at the Villages of Bear Creek
Park to offer multiple uses for the citizens of Euless.
Trail development and enhancement opportunities will be consistent with available land, funding and time
variables. This Master Plan recommendation will be part of a city-wide comprehensive trail enhancement
project. Due to the continual erosion of the existing trail, a redevelopment/redesign of the trail system at Villages
of Bear Creek will be a high priority.
320
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
TRAIL ENHANCEMENTS VILLAGES OF BEAR CREEK
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
321
City of Euless
Capital Project Request
Department: Date Prepared:
Submitted By: Date Completed:
Project Title:
Project Type: Sub-Type:
Project Code: Priority:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
COMMUNITY SERVICES April 03,2013
RAY MCDONALD
WILSHIRE PARK UPGRADES
PARK/RECREATION PARK IMPROVEMENTS
C
The adopted Parks Master Plan calls for general upgrades and improvements in the overall quality of parks in
the city and to develop a high quality parks system that provides for all age and interest groups and enhances
the adjoining neighborhoods.
Overall park enhancements and improvements that might include amenities such as new playground equipment,
park/trail lighting, pavilion, additional water features, parking improvements, additional landscaping and shade
structures for existing picnic pads.
Documented in the adopted Parks Master Plan.
322
PROJECT TITLE:
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel: Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal:
Maintenance Costs
Subtotal:
Total Estimated Annual Cost Total Estimated Capital Cost
PROPOSED METHOD OF FINANCE: CURRENT STATUS:
Operating Fund Conceptual Design %
Fund Balance Preliminary Design %
Special Project Fund Final Plans %
Certificate of Obligation Specifications %
County, State, Federal Funding Construction %
General Obligation Bonds
Revenue Bonds
Donations
Supplemental Sales Tax
Car Rental Tax Fund
To Be Determined
ADDITIONAL COMMENTS:
WILSHIRE PARK UPGRADES
Engineering - To Be Determined
Construction - To Be Determined
$0
$0
$0
$0
$0
$0
$0
0%
0%
0%
0%
0%
XX
323
324
CAPITAL IMPROVEMENTS PROGRAM
COMPLETED PROJECTS SUMMARY
Date Completed Total Budget
Total Project
Costs
(Over) Under
Budget
DRAINAGE PROJECTS
DR9901 Sulphur Branch Phase II 08/01/99 123,404$ 120,128$ 3,276$
DR9902 Windlea & WestCliff 08/01/99 4,396$ 1,159$ 3,237$
DR9904 Hurricane Creek 04/30/02 257,500$ 69,906$ 187,594$
DR0302 Flooding Mitigation Cancelled 250,000$ -$ 250,000$
DR0303 Aransas @ Glenn 12/31/04 250,000$ 250,000$ -$
DR0304 Live Oak Drainage 04/15/05 218,000$ 175,958$ 42,042$
DR0305 Sierra Drive Drainage 04/15/05 40,738$ 40,738$ 0$
DR0306 Flood Mitigation Plan(FEMA)04/15/05 32,000$ 7,750$ 24,250$
DR0307 Simmons Drainage 04/15/05 22,995$ 22,995$ -$
DR0301 Fuller Branch Channel Stabilization 05/31/07 279,136$ 232,176$ 46,960$
DR0401 Channel Stabilization Tributary WFA 05/31/07 437,462$ 438,070$ (608)$
DR0402 Drainage Project Study 05/31/07 60,000$ 51,000$ 9,000$
DR0601 Little Bear Creek Study Update 04/25/08 50,000$ 49,000$ 1,000$
DR0602 McCormick Park 04/25/08 250,000$ 247,925$ 2,075$
DR0701 Eastcliff Drive/Greenbriar Drive Drainage Imp. 04/17/10 340,000$ 246,584$ 93,416$
DR0801 Rockwall Drive/Lamar Drive Drainage Imp.04/17/10 430,000$ 272,554$ 157,446$
DR0901 Bear Creek Parkway Erosion Repair 02/17/11 530,000$ 464,465$ 65,535$
DR0802
Hurricane Creek & Bridge at Marlene
Improvements 04/14/11 378,500$ 344,574$ 33,926$
3,954,131$ 3,034,982$ 919,149$
-$ -$ -$
Total Drainage Projects 3,954,131$ 3,034,982$ 919,149$
Drainage Projects - Current Year
Project
Number Project Description
Drainage Projects - Prior Years
325
326
CAPITAL IMPROVEMENTS PROGRAM
COMPLETED PROJECTS SUMMARY
Date Completed Total Budget
Total Project
Costs
(Over) Under
Budget
STREET PROJECTS
PS9911 Overlay Projects 03/30/00 294,687$ 294,687$ -$
PS9912 Harwood-Main Intersection 04/30/00 1,126,935$ 1,077,303$ 49,632$
PS9907 Westpark Way - SH10 to SH183 09/30/00 605,542$ 479,915$ 125,627$
PS9902 Mid Cities Blvd.05/02/02 1,075,074$ 963,635$ 111,439$
PS9910 Sidewalks 06/30/03 200,000$ 200,000$ -$
PS0001 FM 157 S Pipeline to SH10 (Utility Relocation) 04/30/04 378,207$ 371,318$ 6,889$
PS0003 Glade from Heritage to SH121 04/30/04 1,866,612$ 1,866,612$ -$
PS0004 Glade Rd (East) - SH121 to Champagne 04/30/04 1,210,014$ 1,162,009$ 48,005$
PS0201 Gateway Blvd - Southern Portion 04/30/04 510,000$ 473,817$ 36,183$
PS0301 Mid Cities Roadway Illumination 04/15/05 160,000$ 148,115$ 11,885$
PS0302 Driftwood Pipeline Traffic Signal 04/15/05 100,000$ 68,665$ 31,335$
PS0303 Aransas/Harwood Traffic Signal 04/15/05 120,000$ 89,118$ 30,882$
PS0402 South Pipeline Road Bridge 04/30/05 28,208$ 28,208$ -$
PS9908 Signalization 05/31/06 168,055$ 168,055$ -$
PS0401 West Pipeline - Raider to City Limits 05/31/06 223,000$ 104,859$ 118,141$
PS0403 Raider Dr - SH10 to South Pipeline 05/31/06 330,000$ 293,435$ 36,565$
PS0501 Ross Avenue/S.Main 300' W 05/31/06 95,688$ 95,638$ 50$
PS0502 Industrial Signal Timing 05/31/06 50,000$ 50,000$ -$
PS0503 Overlay-Harwood 157/Main 05/31/06 137,000$ 119,816$ 17,184$
PS0604 Overlay-S.Main, SH10/S.Pipeline 05/31/06 137,000$ 140,211$ (3,211)$
PS0601 Overlay-East Midway 05/31/07 83,000$ 73,550$ 9,450$
PS0602 Overlay-Midway, N Main,/FM157 05/31/07 105,000$ 67,632$ 37,368$
PS0603 Overlay-Fuller Wiser, Midway/Harwood 05/31/07 40,000$ 28,695$ 11,305$
PS9906 Traffic Safety/Signalization 05/31/08 128,027$ 127,939$ 88$
PS0404 South Pipeline Road Overlay 05/31/08 114,750$ 85,062$ 29,688$
PS0701 Overlay-Dickey Drive 05/31/08 122,200$ 48,435$ 73,765$
PS0702 Overlay-East Huitt 05/31/08 89,000$ 64,895$ 24,105$
PS0703 Overlay-Huntington Drive 05/31/08 69,500$ 42,884$ 26,616$
PS0706 Gateway Blvd Screening Wall 05/31/08 135,800$ 138,862$ (3,062)$
PS0705 Signal Gateway Blvd @ Glade 10/28/08 98,000$ 98,000$ -$
PS0002 West Pipeline Road-Raider/Hwy10 12/01/08 6,082,621$ 6,081,392$ 1,229$
PS0801 Overlay-North Main/Cullum Drive 12/31/08 290,000$ 211,130$ 78,870$
PS9905 Traffic Studies 05/30/09 27,286$ 27,197$ 89$
PS0704 Disability Access Study 05/31/09 30,000$ 13,950$ 16,050$
PS0901 Ash/Denton/Fair Oaks Overlay 09/30/09 320,000$ 231,984$ 88,016$
PS0902 Vine Street Design Cancelled 100,000$ -$ 100,000$
PS9903 HWY 183 Service Road Cancelled -$ -$ -$
PS0304 Glade Road 04/16/10 3,077,977$ 2,905,205$ 172,772$
PS9909 FM157 North - SH183 to SH121 04/16/10 267,519$ 129,215$ 138,304$
PS0903 Mid Cities @ Gateway & Baze Traffic Signals 04/16/10 320,000$ 250,702$ 69,298$
PS0802 Fuller-Wiser Connector 02/17/11 495,000$ 441,491$ 53,509$
PS1002 FY10 County Overlay - Wilshire/Marlene 05/17/11 288,000$ 200,890$ 87,110$
PS9901 North Main Street 05/31/12 6,745,047$ 6,698,149$ 46,898$
PS9904 Harwood Road 05/31/12 5,770,211$ 5,686,556$ 83,655$
PS1001 Baze Road 05/31/12 1,830,000$ 1,558,401$ 271,599$
PS1101
FY2011 County Overlay-Bear Creek
Drive/Lakewood Blvd/Ash Lane 05/31/12 300,000$ 265,887$ 34,113$
PS0605 South Pipeline Road Bridge Replacement 05/31/13 157,000$ 157,000$ -$
PS1003 Ash Lane-Aransas Drive to N. Main Street 05/31/13 1,959,230$ 1,597,270$ 361,960$
PS1201
FY2012 County Overlay-Aransas Drive/Slaughter
Lane 05/31/13 300,000$ 228,759$ 71,241$
38,161,190$ 35,656,547$ 2,504,643$
PS1301
FY2013 38th CDBG-ADA/TAS Infrastructure
Improvements 05/31/14 450,000$ 284,581$ 165,419$
PS1302
FY2013 County Overlay-Trailwood/Summit
Ridge/Westpark/Baze 05/31/14 280,000$ 273,995$ 6,005$
PS1402
FY2014 County Overlay-Ector Drive/Midway
Drive/Trojan Trail 05/31/14 300,000$ 300,000$ -$
1,030,000$ 858,576$ 171,424$
Total Street Projects 39,191,190$ 36,515,123$ 2,676,067$
Project
Number Project Description
Street Projects - Current Year
Street Projects - Prior Years
327
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 17,2011
CHRIS BARKER Jan 31, 2014
38TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS
STREET CDBG
PS1301
February 28, 2012: Conduct a Public Hearing regarding the proposed 38th year CDBG project, including the
installation of sidewalk accessibility ramps located along South Main Street, Fair Oaks Boulevard, Limestone
Drive, Himes Drive, Collin Drive, Sixpence Lane and Newport Way and motion to approve a recommendation
regarding the selected CDBG project.
March 26, 2013: Awarded construction contract to Estrada Concrete Company, LLC in the amount of
$306,492.50 for the replacement of sidewalk accessibility ramps.
This project provides for continued improvements to accessibility ramps by removing architectural barriers to
accessibility as required by Federal and State mandated Americans with Disabilities Act/Texas Accessibility
Standards ("ADA/TAS"). The project scope includes identification of architectural barriers to accessibility that
meet CDBG eligibility guidelines and the subsequent replacement thereof.
(38th year CDBG project)
Began Construction: May 2013
Construction Complete: January 2014
Removing architectural barriers to accessibility is an eligible CDBG activity and will assist in the City's efforts to
maintain compliance with applicable Federal and State ADA/TAS codes.
328
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $67,500
Construction $382,500
$0
$0
$0
$0 $450,000
CDBG Award $450,000
$0
$0
Unused 38th CDBG Funding ($165,419)
$0 $284,581
Engineering $67,500 $0 $67,500 0%
Construction $382,500 $284,581 $97,919 74%
$450,000 $284,581 $165,419 63%
38TH CDBG-ADA/TAS INFRASTRUCTURE IMPROVEMENTS PS1301
329
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS May 20, 2010
RON YOUNG Aug 31, 2013
FY2013 COUNTY OVERLAY - TRAILWOOD/SUMMIT RIDGE/WESTPARK/BAZE
STREET OVERLAY
PS1302
January 22, 2013: Authorized the City Manager to execute an interlocal agreement with Tarrant County for
asphalt overlay improvements to Summit Ridge Drive, Westpark Way, Trailwood Drive and Baze Road.
Trailwood Drive, Summit Ridge Drive and Baze Road are collector streets in the City's Master Thoroughfare Plan.
Westpark Way is an undivided arterial street in the City's Master Thoroughfare Plan.
The project consists of edge milling, asphalt overlay, and restriping on:
1. Trailwood Drive from N Main Street to Summit Ridge Drive (west end),
2. Summit Ridge Drive from Lakewood Boulevard to Trailwood Drive,
3. Westpark Way from S Pipeline to SH10, and
4. Baze Road from Mid Cities Boulevard to Priest Lane.
Began Construction: January 2013
Construction Complete: August 2013
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadway, and will enhance the appearance of the streets.
330
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Construction $280,000
$0
$0
$0
$0 $280,000
Transfer from:
Car Rental $300,000
$0
$0 Transfer to:
Street CIP Fund Balance FY13 ($20,000)
Street CIP Fund Balance FY14 ($6,005)
$0 $273,995
Construction $280,000 $273,995 $6,005 98%
$280,000 $273,995 $6,005 98%
FY2013 COUNTY OVERLAY - TRAILWOOD/SUMMIT RIDGE/WE PS1302
331
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS April 01,2014
HAL CRANOR May 31, 2014
FY2014 COUNTY OVERLAY-ECTOR DR/MIDWAY DR/TROJAN TR
STREET OVERLAY
PS1402
September 24, 2013: Authorized the City Manager to execute an Interlocal Agreement with Tarrant County for
asphalt overlay improvements to South Ector Drive, North Ector Drive, Trojan Trail, and Midway Drive. The
estimated expenditure is $300,000.
February 25, 2014: Renewed Bid No. 007-12 for an annual contract for the purchase of Type-B and Type-D Hot
Mix Asphalt to Reynolds Asphalt and Construction Co. Euless, TX 76039, as the primary supplier and to JLB
Contracting, LLC as secondary supplier.
Ector Drive, Midway Drive and Trojan Trail are collector streets in the City's Master Thoroughfare Plan.
The project consists of edge milling, asphalt overlay, and restriping on:
1. Ector Drive from SH10 to SH183 and from SH183 to Midway Drive,
2. Midway Drive from Ector Drive to North Main Street, and
3. Trojan Trail from FM157 to Ector Drive.
Began Construction: March 2014
Construction Complete: March 2014
The existing asphalt pavement is deteriorating. The asphalt overlay will provide an improved riding surface, will
extend the life of the roadways, and will enhance the appearance of the streets.
332
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Construction $300,000
$0
$0
$0
$0 $300,000
Transfer from:
Car Rental $300,000
$0
$0
$0 $300,000
Construction $300,000 $300,000 $0 100%
$300,000 $300,000 $0 100%
FY2014 COUNTY OVERLAY-ECTOR DR/MIDWAY DR/TROJAN PS1402
333
334
CAPITAL IMPROVEMENTS PROGRAM
COMPLETED PROJECTS SUMMARY
Date Completed Total Budget
Total Project
Costs
(Over) Under
Budget
WASTEWATER PROJECTS
WW9902 Impact Fee Study 09/30/99 13,000$ 12,238$ 762$
WW9903 Misc Sewer Rehab FY99 09/30/99 50,000$ 12,987$ 37,013$
WW9904 Hydraulic Analysis 06/30/00 27,000$ 27,000$ -$
WW9901 CDBG B/98-UC-48-0001/B95-22-50 08/19/00 150,000$ 72,927$ 77,073$
WW0003 TRA Debt Payment 05/31/01 822,037$ 822,037$ -$
WW0001 CDBG B/99-UC-48-0001 09/30/01 150,000$ 121,682$ 28,318$
WW0101 CDBG B00-UC480001-2250 02/20/02 251,485$ 247,790$ 3,695$
WW0102 Manhole Rehab. Program 03/31/03 250,000$ 184,520$ 65,480$
WW0201 CDBG - B01-UC-48-0001-22-50 03/31/03 237,086$ 172,948$ 64,138$
WW0202 Line Replacement -Dunaway 02/28/05 140,000$ 139,955$ 45$
WW0203 Line Replacement - E. Alexander 02/28/05 20,000$ 20,000$ -$
WW0204 Line Replacement - Paula Lane 02/28/05 79,000$ 79,000$ -$
WW0103 Line replacement-S. Pipeline,Heather-Vine 04/15/05 489,759$ 464,504$ 25,255$
WW0205 Line Replacement - Midway Park 04/30/05 366,000$ 318,149$ 47,851$
WW0401 CDBG B03-UC-48-0001-22-50 04/30/05 217,000$ 161,170$ 55,830$
WW0301 CDBG B02-UC-48-0001-22-50 07/26/05 271,455$ 271,454$ 1$
WW0302 Inflow & Infiltration Cancelled 200,000$ -$ 200,000$
WW0303 Line Replacement, Canyon Ridge 08/31/06 196,200$ 173,516$ 22,684$
WW0304 Line Replacement, Sagebrush 08/31/06 160,900$ 136,470$ 24,430$
WW0305 Line Replacement, Short 08/31/06 251,400$ 219,932$ 31,468$
WW0306 Line Replacement, E. Fuller 08/31/06 231,372$ 180,089$ 51,283$
WW0501 Line Replacement, Pebble Creek 08/31/06 172,600$ 145,655$ 26,945$
WW0604 Line Replacement, CDBG-Oakwood Terrace 05/31/07 293,723$ 232,274$ 61,449$
WW0402 Line Replacement, Carr Park/SH10 05/31/08 588,000$ 528,302$ 59,698$
WW0403 Line Replacement, Ector Drive 05/31/08 373,000$ 328,309$ 44,691$
WW0601 Line Replacement, Cedar Hills Estate 05/31/08 319,000$ 200,201$ 118,799$
WW0602 Line Replacement, Ector Drive 05/31/08 425,000$ 285,758$ 139,242$
WW0603 Little Bear Creek Collection Line 05/31/08 575,000$ 464,293$ 110,707$
WW0701 Line Replacement, McCormick & Copher 02/05/09 243,000$ 194,254$ 48,746$
WW0702 Line Replacement, Arnett Addition 02/05/09 313,322$ 229,006$ 84,316$
WW0703 Line Replacement, Jean Lane 02/05/09 111,000$ 70,603$ 40,397$
WW0704 Line Replacement, W. Fuller 02/05/09 132,000$ 82,708$ 49,292$
WW0902 Line Replacement, West Mills Drive-34th CDBG 04/16/10 46,855$ 46,855$ -$
WW0802 Line Replacement South Mills Drive CDBG-R 11/01/10 253,710$ 165,867$ 87,843$
WW0901 Line Replacement Woodridge Circle/Koen Lane 11/01/10 407,000$ 309,410$ 97,590$
WW0801 Line Replacement Fayette Drive 04/14/11 357,000$ 325,676$ 31,324$
WW1001 Line Rep - W Alexander Ln/Norman Dr/Franklin Dr 05/31/12 420,000$ 331,614$ 88,386$
WW1101 Line Rep - Bayless/Pauline/Jones (CDBG)05/31/12 350,000$ 208,903$ 141,097$
WW1103 Line Rep - Bayless/Pauline/Jones Outfall 05/31/12 57,000$ 37,544$ 19,456$
WW1202 Line Rep - Collin Drive (37th CDBG)05/31/12 300,000$ 231,173$ 68,827$
WW1102 Line Rep - E Huit Lane/Ascot Drive/Dunaway Drive 05/31/13 560,000$ 468,932$ 91,068$
WW1201 Line Rep - Blanco/Aransas/Crane 05/31/13 327,000$ 284,321$ 42,679$
11,197,904$ 9,010,026$ 2,187,878$
WW1301 Line Rep - Ross/Slaughter/East & West Huitt 05/31/14 670,000$ 566,640$ 103,360$
670,000$ 566,640$ 103,360$
Total Wastewater Projects 11,867,904$ 9,576,666$ 2,291,238$
Wastewater Projects- Current Year
Project
Number Project Description
Wastewater Projects - Prior Years
335
City of Euless
Capital Project Request
Department:Date Prepared:
Submitted By:Date Completed:
Project Title:
Project Type:Sub-Type:
Project Code:Priority: A
COUNCIL AUTHORIZATION:
RELATIONSHIP TO OTHER PROJECTS AND/OR MASTER PLAN:
PROJECT DESCRIPTION:
PROJECT SCHEDULE:
JUSTIFICATION:
PUBLIC WORKS March 27,2014
HAL CRANOR May 31, 2014
LINE REP-ROSS AVE/SLAUGHTER LN/EAST&WEST HUITT LN
WASTEWATER MAIN REPLACEMENT
WW1301
January 8, 2013: Authorized the City Manager to execute an engineering design contract with Elliot and Hughes,
Inc. with an amount not to exceed $71,500 for the design of replacement sanitary sewer mains.
October 8, 2013: Awarded Bid No. 008-13 for a construction contract to William J. Schultz Inc. dba Circle C
Construction, Fort Worth, Texas, for the replacement of sanitary sewer mains in portions of the Oak Crest
Estates, Alexander Cullum, Oakwood Terrace East, and Ross Additions and authorized the City Manager to enter
into a contract with William J. Schultz Inc. dba Circle C Construction. The estimated expenditure is $509,590.50.
The wastewater mains included in this project are part of the City's Wastewater System Master Plan. The project
is part of the systematic replacement of wastewater mains using a worst first approach.
The project consists of the replacement of the following wastewater mains:
1. Ross Avenue and the outfall to West Alexander Lane,
2. Between John Vernon Lane and Slaughter Lane east of Dunaway Drive,
3. East of Dunaway Drive from Slaughter Lane to E Huitt Lane,
4. Along E Huitt Lane from S Main Street to Dunaway Drive, and
5. Between Linda Lane and W Huitt Lane.
Award Design: January 2013
Plans Complete: July 2013
Award Construction: October 2013
Construction Began: November 2013
Construction Compete: April 2014
Many wastewater mains throughout the City are 40+ years old. Most of these lines are clay tile and are
susceptible to ground movement, pulled joints, root infiltration, and deterioration from hydrogen sulfide gas.
Many are substandard in size and have inflow/infiltration problems. Systematic replacement will reduce
maintenance costs and customer problems.
336
NET EFFECTS ON OPERATING AND TOTAL ESTIMATED CAPITAL COST:
MAINTENANCE COST (+ OR -) ANNUAL:
Direct Operating Cost
Personnel:Full Time
Part Time
Total Salary
Purchase of Services
Materials & Supplies
Utilities
Subtotal: Total Estimated Capital Cost
Maintenance Costs Funding Source:
Subtotal:
Total Estimated Annual Cost Total Funding
CURRENT STATUS
OVER/UNDER
PHASE/FUNDING SOURCE BUDGET EXPENDED BUDGET (- +)% EXPENDED
TOTAL PROJECT
PROJECT TITLE:PROJECT CODE:
Engineering $100,000
Construction $570,000
$0
$0
$0
$0 $670,000
Transfer from/to:
W/WW Operating Fund $870,000
W/WW CIP Fund Balance ($200,000)
$0
$0
Transfer to:
W/WW CIP Fund Bal FY14 ($103,360)
$0 $566,640
Engineering $100,000 $66,555 $33,445 67%
Construction $570,000 $500,085 $69,915 88%
$670,000 $566,640 $103,360 85%
LINE REP-ROSS AVE/SLAUGHTER LN/EAST&WEST HUITT LN WW1301
337
338
CAPITAL IMPROVEMENTS PROGRAM
COMPLETED PROJECTS SUMMARY
Date Completed Total Budget
Total Project
Costs
(Over) Under
Budget
WATER PROJECTS
WT9903 Master Plan 08/30/99 42,000$ 5,445$ 36,555$
WT9904 Well Repairs 09/30/99 66,921$ 66,921$ -$
WT9907 Impact Fee Study 09/30/99 13,000$ 12,238$ 762$
WT9911 Water Distribution - Master Plan 09/30/99 25,600$ 24,000$ 1,600$
WT9901 Meter Change Out Program 10/30/99 101,917$ 98,365$ 3,552$
WT0002 Emergency Repair - Hwy 10 11/30/99 15,450$ 14,214$ 1,236$
WT9906 Hwy 10 Water Line 01/30/00 150,000$ 138,883$ 11,117$
WT0006 Central Drive Water Mains 03/31/00 92,814$ 90,742$ 2,072$
WT9905 Misc Water Rehab 06/30/00 50,000$ 43,749$ 6,251$
WT0004 Water Line Milam - Ector/Midway 06/30/00 18,248$ 13,743$ 4,505$
WT0102 SCADA Upgrade 04/09/01 93,400$ 93,400$ -$
WT0003 Waterline Replacement - Aransas 06/30/01 12,057$ 7,089$ 4,968$
WT0005 Waterline Replacement - Milam- Denton/Mid 04/30/02 26,988$ 26,988$ -$
WT9910 Water Line for Elevated Tank 05/31/02 1,608,386$ 1,201,698$ 406,688$
WT9909 2MG Water Tank 03/31/03 2,430,881$ 2,289,571$ 141,310$
WT0103 Fire Hydrant Replacement Program 03/31/03 50,000$ 49,626$ 374$
WT9908 Mid Cities Blvd. 12" Line 04/30/04 342,080$ 313,354$ 28,726$
WT0401 Line Replacement, West Pipeline Main 05/31/06 1,215,663$ 1,215,663$ -$
WT0403 Waterline Replacement - Fairlawn Court Cancelled 35,000$ -$ 35,000$
WT0404 Waterline Replacement - Atkerson Lane Cancelled 104,000$ -$ 104,000$
WT0405 Line Replacement, West Ash Lane 08/31/06 30,000$ 11,626$ 18,374$
WT0406 Line Replacement, Westport/Newport/Asbury 08/31/06 67,000$ 9,866$ 57,134$
WT0502 FY'2005 CDBG 08/31/06 69,300$ 29,549$ 39,751$
WT0503 Line Replacement, S. Atkerson Lane 08/31/06 79,000$ 51,294$ 27,706$
WT0504 Line Replacement, Blanco Drive 08/31/06 112,620$ 112,620$ -$
WT0505 Line Replacement, Henslee 08/31/06 183,000$ 123,859$ 59,141$
WT0506 Line Replacement, Vernon/Slaughter 08/31/06 161,000$ 113,052$ 47,948$
WT9902 Tank Painting 05/31/07 1,317,763$ 957,542$ 360,221$
WT0501 System Security Upgrade 05/31/08 40,000$ 28,319$ 11,681$
WT0601 Wtr Sys Security Perimeter Fence Upgrade 05/31/08 75,000$ 49,567$ 25,433$
WT0602 Line Replacement, Cannon Drive 05/31/08 250,000$ 223,055$ 26,945$
WT0701 Line Replacement, Canyon Ridge 05/31/08 116,000$ 78,136$ 37,864$
WT0702 CDBG FY07 - 32nd Oakwood Terrace 05/31/08 334,481$ 296,223$ 38,258$
WT0802 CDBG-33rd Oakwood Terrace-Simmons 12/31/08 451,639$ 384,173$ 67,466$
WT0402 Water & Wastewater Impact Fee Update 05/31/09 30,000$ 17,729$ 12,271$
WT0801 Line Replacement, Signet/Mesa 05/31/09 255,000$ 218,663$ 36,337$
WT0201 Well Rehabilitation/Disinfection 04/17/10 600,000$ 522,308$ 77,692$
WT0202 Reclaimed Water Main 05/31/13 1,750,000$ 1,606,337$ 143,663$
WT1202 Standpipe Storage Tank & Building Demolition 05/31/13 134,640$ 70,089$ 64,551$
WT1203 Water & Wastewater Impact Fee Update 05/31/13 34,575$ 34,575$ -$
12,585,423$ 10,644,271$ 1,941,152$
-$ -$ -$
Total Water Projects 12,585,423$ 10,644,271$ 1,941,152$
Project
Number Project Description
Water Projects- Current Year
Water Projects - Prior Years
339
340
CAPITAL IMPROVEMENTS PROGRAM
COMPLETED PROJECTS SUMMARY
Date Completed Total Budget
Total Project
Costs
(Over) Under
Budget
OTHER PROJECTS
AC9901 Athletic Complex Phase II 06/30/02 123,654$ 75,047$ 48,607$
AC0202 Athletic Complex Phase Ill 05/31/06 1,252,221$ 1,251,915$ 306$
AC1001 Texas Star Sports Complex Lighting Improvements 05/31/12 504,200$ 475,246$ 28,954$
ED0102 Bell Ranch Terrace Cancelled 200,000$ -$ 200,000$
FM0209 Midway Recreation Upgrade 06/30/02 557,125$ 557,125$ -$
FM0101 Building D 09/30/02 930,610$ 930,608$ 2$
FM0308 Building A Remodel 05/31/07 1,663,238$ 1,651,325$ 11,913$
FM0309 Fire Station #3 05/31/07 2,286,798$ 2,286,229$ 569$
FM0601 Public Works Facility 05/31/08 2,210,956$ 2,213,507$ (2,551)$
FM0802 Senior Citizen Center Design cancelled 250,000$ -$ 250,000$
FM0804 Library-Shell Expansion 12/31/08 307,034$ 305,664$ 1,370$
FM0803 Midway Recreation Improvements 03/31/09 293,500$ 75,976$ 217,524$
FM0504 Building "B" Remodel 05/31/09 1,322,490$ 1,315,697$ 6,793$
FM0801 TX Star Golf Course & Conference Ctr Expand 05/31/09 3,630,079$ 3,630,079$ -$
PR0015 Purchase of Dallas Stars Center 05/31/00 10,327,978$ 10,327,978$ -$
PR0016 Wilshire Park Improvements 06/30/02 150,000$ 149,926$ 74$
PR0110 Slope Protection/Screening Wall 03/31/03 1,275,203$ 1,273,923$ 1,280$
PR0409 Parking Improvements, Simmons 07/29/04 6,960$ 6,960$ -$
PR0410 Parking Improvements, Villages Bear Creek 07/29/04 33,666$ 33,666$ -$
PR0302 Bob Eden Parking 04/30/05 75,000$ 74,854$ 146$
PR0303 Youth Ballpark 04/30/05 600,000$ 600,000$ -$
PR9901 Hike/Bike Trail 04/30/05 237,714$ 237,714$ -$
PR9902 Senior Citizen Remodel 04/30/05 16,130$ 16,130$ -$
PR0407 Parking Improvements, Midway Cancelled 11,000$ -$ 11,000$
PR0408 Parking Improvements, S. Euless Park 05/31/06 55,000$ 20,991$ 34,009$
PR0411 Preserve at McCormick Park 05/31/06 1,168,427$ 1,168,427$ -$
PR0412 Splash Pool 05/31/06 125,000$ 124,477$ 523$
PR9903-
PR9918 Various EDC Park Projects 09/30/06 259,566$ 248,891$ 10,675$
PR0602 Mid Cities Landscaping 05/31/09 40,000$ 33,199$ 6,801$
PR0719 Midway Park Trail 05/31/09 210,000$ 190,473$ 19,527$
PR0601 Park Amenities Upgrade 04/17/10 150,000$ 145,316$ 4,684$
PR0901 Trail Enhancements - Bob Eden Park 04/17/10 135,000$ 101,673$ 33,327$
PR0902 Senior Citizen Center at Midway Park 05/31/11 4,763,661$ 3,888,892$ 874,769$
PR0907 Euless Family Life Center Phase I 05/31/11 2,105,000$ 2,099,281$ 5,719$
PR9922 Tejas Remodel 11/30/01 430,000$ 455,885$ (25,885)$
PR9927 Park Improvements - Texas Star 09/30/01 1,036,500$ 1,025,298$ 11,202$
SS9901 Fire Station II 03/30/00 49,688$ 49,688$ -$
SS9919 Fire Station #3 - Structural Repairs 03/30/00 30,000$ 17,344$ 12,656$
SS9902 Library Books 08/15/00 3,302$ 3,302$ -$
SS0010 Former Fire Station #2 06/30/02 599,600$ 595,257$ 4,343$
SS0113 Park Building 06/30/02 1,492,400$ 1,492,100$ 300$
40,918,700$ 39,150,063$ 1,768,637$
-$ -$ -$
Total Other Projects 40,918,700$ 39,150,063$ 1,768,637$
Other Projects- Current Year
Other Projects - Prior Years
Project
Number Project Description
341
342