HomeMy WebLinkAbout2019-06-18; City Council; Resolution 2019-092RESOLUTION NO. 2019-092
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF CARLSBAD,
CALIFORNIA, ADOPTING THE FINAL OPERATING BUDGET AND CAPITAL
IMPROVEMENT PROGRAM FOR FISCAL YEAR 2019-20 FOR THE CITY OF
CARLSBAD AND ESTABLISHING CONTROLS ON CHANGES IN
APPROPRIATIONS FOR THE VARIOUS FUNDS.
EXHIBIT 3
WHEREAS, the City Council of the City of Carlsbad, California has reviewed the
proposed final Operating Budget and Capital Improvement Program for FY 2019-20 and has held such
public hearings as are necessary prior to adoption of the final budgets.
NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Carlsbad,
California, as follows:
1. That the above recitations are true and correct.
2. That certain documents now on file in the office of the City Clerk of the City of
Carlsbad entitled, "City of Carlsbad, FY 2019-20 Preliminary Operating Budget and FY 2019-20 to FY
2033-34 Capital Improvement Program -Preliminary" as amended, if necessary, in accordance with
Exhibits 3A through 3C attached hereto and incorporated by reference herein, is hereby adopted as
the Operating and Capital Improvement Budgets for the City of Carlsbad for FY 2019-20 along with
the Program Options and/or adjustments, if any, determined by the City Council as set forth in the
minutes of the Council meeting of Tuesday, June 18, 2019.
3. That the amounts reflected as estimated revenues for FY 2019-20 as shown in
Exhibits 3A and 3B are hereby adopted as the budgeted revenues for FY 2019-20.
4. That the amounts designated as the FY 2019-20 Budget request in Exhibits 3A
and 3B are hereby appropriated to the department or fund for which they are designated and such
appropriation shall not be increased except as provided herein.
5. That total appropriations for each fund may only be increased or decreased by
the City Council by passage of a resolution amending the budget except as provided herein.
June 18, 2019 Item #5 Page 52 of 197
6. That the following controls are hereby placed on the use and transfers of
budget funds:
A. No expenditure of funds shall be authorized unless sufficient funds have been
appropriated by the City Council or City Manager as described below.
i. The City Manager may authorize all transfers of funds from account to
account within any department.
ii. The City Manager may authorize transfers of funds between departments
within the same fund in an amount up to $100,000 per transfer.
iii. The City Manager may delegate any of the authority given to him/her under
this resolution.
iv. The City Manager may authorize budget adjustments involving offsetting
revenues and expenditures; the City Manager may authorize increases in an appropriation for a
specific purpose where the appropriation is offset by unbudgeted revenue, which is designated for
said specific purpose.
v. The City Manager may authorize the transfer of appropriations between
accounts and/or capital projects up to $1,000,000 for the costs associated with the Encina
Wastewater Facility (Encina) as authorized by the Encina Wastewater Authority's staff and/or Board.
Any increase to the total appropriations for Encina's operating budget and capital program must be
approved by the City Council.
vi. The City Manager may authorize budget adjustments to increase the
appropriations for the Workers Compensation and Risk Management Funds operating budgets in an
amount equal to the increases in costs of estimated claims expenses.
vii. The City Manager may authorize budget adjustments to increase the
appropriations for the Workers Compensation and Risk Management Funds for estimated IBNR
(incurred but not reported) losses.
viii. The City Manager may authorize budget adjustments to increase the
appropriations for Mutual Aid Overtime in an amount equal to the increases in amounts to be
reimbursed by other agencies.
June 18, 2019 Item #5 Page 53 of 197
ix. The City Council must authorize all transfers of funds from the Council's
Contingency Account.
B. The City Manager may authorize emergency out of state travel for public safety
or emergency services purposes.
C. The City Council must authorize any increase in the number of authorized
permanent personnel positions above the level identified in Exhibit 3C.
D. The City Manager may authorize the hiring of temporary or part-time staff as
necessary, within the limits imposed by the controls listed above.
7. That the legal level of budgetary control is the fund level. Budgets may not legally be
exceeded at the fund level without appropriate authorization by the City Council.
8. That interest earned on grants may be appropriated during the year for the purpose
for which the grant was received.
9. That all appropriations in the Capital Improvement Program and grants in the
Operating Budget remaining unexpended at June 30, 2019, are hereby appropriated to FY 2019-20.
10. That all appropriations for outstanding encumbrances as of June 30, 2019, are hereby
continued into FY 2019-20 for such contracts or obligations.
Ill
Ill
Ill
Ill
Ill
Ill
Ill
Ill
Ill
Ill
June 18, 2019 Item #5 Page 54 of 197
PASSED, APPROVED AND ADOPTED at a Joint Special Meeting of the Carlsbad City
Council, Carlsbad Municipal Water District Board of Directors, Carlsbad Public Financing Authority
Board of Directors, Community Development Commission, and City of Carlsbad as Successor Agency
to the Redevelopment Agency, held on the 18th day of June, 2019, by the following vote to wit:
AYES: Blackburn, Bhat-Patel, Schumacher, Hamilton.
NAYS: Hall.
ABSENT: None.
ATTEST:
~~iY1 ~ENGL QN,Otyk ·
(SEAL)
,1111111111,,,,,,,,,
;t'o'''~ CAFl,/~111
1/;,/,c
"' ·"•" /,c
~ •' ... ~;:::, ~~ .•· ···V' ~
{S(~-~l') ~ -~11~.-'> -:=:: ·• •• .._.,.. •' ~ ~ A 0
'•• •••• •·ti. .. S ~ "-:0. ........... ..,.".,,,-"' .,,,✓. ..,I..IFO°'~ ,~ 'I,,,,, 1" ,,,,, ....
,,,,,,,,,11111111111
June 18, 2019 Item #5 Page 55 of 197
EXH I BIT 3B
CAPITA L PROJECT FUNDS
PRO JECTED FUND BALANCES FOR FY 2018-19
July 1, 2018 Projected June 30, 2019
Unreserved Projected Projected Debt Service Projected
Fund Balance Revenues Expenditures Loans & Other Balance
BTD#2 -Poinsettia Lane/Aviara Pkwy 11,614,234 1,031,716 12,645,950
BTD#3 -Cannon Road West 493,704 9,584 503,288
Community Development Block Grant
CFD #1 -Citywide 83,486,745 3,505,404 1,652,353 176,077 85,163,719
Gas Tax 12,934,295 3,104,275 2,797,901 610,000 12,630,669
Gas Tax (Road Maint. & Rehab Acct.) 415,762 1,839,992 1,881,924 373,830
General Capital Const. 44,944,114 4,824,940 40,119,174
Grants -Federal (956,847) 956,847
Infrastructure Replacement 107,920,898 12,967,492 2,620,913 118,267,477
Other 1,823,732 35,403 1,859,135
Park Fee Zones 5,13,16, 17, 18 4,263,461 235,693 4,499,154
Park-In-Lieu NE 2,445,433 2,132,648 4,578,081
Park-In-Lieu NW 441,687 761,754 1,203,441
Park-In-Lieu SE 1,518,606 313,184 441,921 1,389,869
Park-In-Lieu SW 2,863,171 59,005 2,838,493 83,683
Planned Local Drainage Area A 878,000 168,162 1,750 1,044,412
Planned Local Drainage Area B 3,525,273 295,100 1,200,918 2,619,455
Planned Local Drainage Area C 1,546,698 76,367 283 1,622,782
Planned Local Drainage Area D 672,085 33,936 377 705,644
Public Facilities Fee 28,869,182 2,557,550 6,124,900 25,301,832
Sewer Connection 9,192,982 12,052,970 3,640,251 17,605,701
Sewer Replacement 24,737,719 5,619,082 5,431,229 24,925,572
TDA
Traffic Impact Fee 20,759,345 2,009,965 939,693 21,829,617
Transnet/Local 21,835,971 4,340,687 2,819,610 23,357,048
Transnet/STP
Water -Potable 32,269,949 1,306,607 14,335 33,562,221
Water -Recycled (8,886,137) 28,548,907 9,523,737 10,139,033
Water Replacement -Potable 56,241,790 5,801,487 16,334,863 45,708,414
Water Replacement -Recycled 15,086,849 1,415,504 392,878 16,109,475
Total 480,938,701 91,179,320 63,483,269 786,077 507,848,675
June 18, 2019 Item #5 Page 67 of 197
CAPITAL PROJECT FUNDS
PROJECTED FUND BALANCES FOR FY 2019-20
July 1, 2019 June 30, 2019 July 01, 2019 2019-20
Projected Estimated Continuing New Total CIP
Fund Balance Revenues Appropriations Appropriations Appropriations
BTD#2 -Poinsettia Lane/ Aviara Pkwy 12,645,950 1,417,022 12,645,950 1,123,200 13,769,150
BTD#3 -Cannon Road West 503,288 77,088 105,021 -105,021
Community Development Block Grant -----
CFD #1 -Citywide 85,163,719 3,582,516 29,848,971 190,000 30,038,971
Gas Tax 12,630,669 3,015,224 12,699,060 1,054,000 13,753,060
Gas Tax (Road Maint. & Rehab Acct.) 373,830 1,897,182 774,365 1,400,000 2,174,365
General Capital Const. 40,119,174 5,112,000 32,438,897 8,286,500 40,725,397
Grants -Federal -1,440,000 1,440,000 -1,440,000
Infrastructure Replacement 118,267,477 5,112,000 24,724,678 7,705,250 32,429,928
Other 1,859,135 -1,294,592 -1,294,592
Park Fee Zones 5,13,16, 17, 18 4,499,154 141,020 ---
Park-In-Lieu NE 4,578,081 255,278 200,000 -200,000
Park-In-Lieu NW 1,203,441 311,901 ---
Park-In-Lieu SE 1,389,869 556,506 ---
Park-In-Lieu SW 83,683 234,856 228,077 -228,077
Planned Local Drainage Area A 1,044,412 95,786 95,688 -95,688
Planned Local Drainage Area B 2,619,455 487,488 3,437,827 -3,437,827
Planned Local Drainage Area C 1,622,782 53,582 227,734 -227,734
Planned Local Drainage Area D 705,644 125,280 128,623 -128,623
Public Facilities Fee 25,301,832 1,690,411 2,296,803 98,000 2,394,803
Sewer Connection 17,605,701 1,327,615 1,833,018 1,628,000 3,461,018
Sewer Replacement 24,925,572 6,747,000 21,465,643 9,847,211 31,312,854
TDA -----
Traffic Impact Fee 21,829,617 3,160,576 13,626,238 8,043,000 21,669,238
Transnet/Local 23,357,048 5,331,000 18,841,124 3,925,000 22,766,124
Transnet/STP -----
Water -Potable 33,562,221 1,805,640 2,477,547 1,450,000 3,927,547
Water -Recycled 10,139,033 275,615 6,886,642 -6,886,642
Water Replacement -Potable 45,708,414 6,052,997 38,731,607 8,120,000 46,851,607
Water Replacement -Recycled 16,109,475 1,140,000 3,997,950 557,800 4,555,750
June 30, 2020
Projected
Balance
293,822
475,355
-
58,707,264
1,892,833
96,647
4,505,777
-
90,949,549
564,543
4,640,174
4,633,359
1,515,342
1,946,375
90,462
1,044,510
(330,884)
1,448,630
702,301
24,597,440
15,472,298
359,718
-
3,320,955
5,921,924
-
31,440,314
3,528,006
4,909,804
12,693,725
Total 507,848,675 51,445,583 230,446,055 53,427,961 283,874,016 275,420,243
City of Carlsbad
2019-20 Operating Budget June 18, 2019 Item #5 Page 68 of 197
CAPITAL PROJECT FUNDS
REVENUE PROJECTIONS SCHEDULE
2015-16 2016-17 2017-18 2018-19
Actual Actual Actual Projected
Fund Revenue Revenue Revenue Revenue
BTD#2 -Poinsettia Lane/Aviara Pkwy 170,247 59,251 305,677 1,031,716
BTD#3 -Cannon Road West 142,735 79,875 4,293 9,584
Community Development Block Grant 16,685 308,112 16,335
CFD #1 -Citywide 3,703,742 3,157,564 2,893,157 3,505,404
Gas Tax 2,670,913 2,194,398 2,749,382 3,104,275
Gas Tax (Road Ma int. & Rehab Acct.) 661,528 1,839,992
General Capital Const. 10,521,222 423,659
Grants -Federal 586,794 19,890 40,371 956,847
Infrastructure Replacement 10,398,720 9,765,585 10,358,061 12,967,492
Other 37,172 11,763 19,704 35,403
Park Fee Zones 5,13,16, 17, 18 222,742 420,515 501,489 235,693
Park-In-Lieu NE 425,412 998,551 69,308 2,132,648
Park-In-Lieu NW 1,373,329 253,193 771,528 761,754
Park-In-Lieu SE 247,608 18,033 16,622 313,184
Park-In-Lieu SW 1,144,840 52,856 61,225 59,005
Planned Local Drainage Area A 60,052 49,255 77,773 168,162
Planned Local Drainage Area B 73,444 362,617 75,817 295,100
Planned Local Drainage Area C 23,344 4,339 5,489 76,367
Planned Local Drainage Area D 12,157 27,296 22,847 33,936
Public Facilities Fee 3,023,448 6,501,517 6,168,509 2,557,550
Sewer Connection 3,841,658 1,377,814 842,150 12,052,970
Sewer Replacement 3,634,999 4,932,632 4,872,244 5,619,082
TDA 59,887 23,682
Traffic Impact Fee 2,152,837 3,041,034 3,059,920 2,009,965
Transnet/Local 4,114,901 4,172,670 4,269,152 4,340,687
Transnet/STP 1,037 (198}
Water -Potable 1,273,422 1,932,938 1,786,623 1,306,607
Water -Recycled 82,341 3,987,107 1,231,038 28,548,907
Water Replacement -Potable 6,132,087 5,073,257 5,002,438 5,801,487
Water Replacement -Recycled 1,362,016 1,015,575 1,348,906 1,415,504
Total 46,928,682 60,398,548 47,678,927 91,179,320
Note: Revenues include loans, advances and transfers.
City of Carlsbad
2019-20 Operating Budget
2019-20
Estimated
Revenue
1,417,022
77,088
3,582,516
3,015,224
1,897,182
5,112,000
1,440,000
5,112,000
141,020
255,278
311,901
556,506
234,856
95,786
487,488
53,582
125,280
1,690,411
1,327,615
6,747,ood
3,160,576
5,331,000
1,805,640
275,615
6,052,997
1,140,000
51,445,583
June 18, 2019 Item #5 Page 69 of 197
CAPITAL PROJECT FUNDS
BUDGET EXPENDITURE SCHEDULE
2016-17 2017-18 2018-19 2019-20 2019-20 2019-20
Actual Actual Estimated Continuing New Total CIP
FUND Expense Expense Expense Appropriations Appropriations Appropriations
BTD#2-Poinsettia Lane/Aviara Pkwy 36,395 13,995 12,645,950 1,123,200 13,769,150
BTD#3 -Cannon Road West 1,241 193,137 105,021 105,021
Community Development Block Grant 308,112 16,335
CFO #1 -Citywide 157,793 384,470 1,828,430 29,848,971 190,000 30,038,971
Gas Tax 2,992,097 2,862,646 3,407,901 12,699,060 1,054,000 13,753,060
Gas Tax (Road Ma int. & Rehab Acct.) 10,711 1,881,924 774,365 1,400,000 2,174,365
General Capital Const. 2,396,960 3,122,730 4,824,940 32,438,897 8,286,500 40,725,397
Grants -Federal 41,915 975,193 1,440,000 1,440,000
Infrastructure Replacement 2,834,779 3,346,454 2,620,913 24,724,678 7,705,250 32,429,928
Other 1,294,592 1,294,592
Park Fee Zones 5,13,16, 17, 18
Park-In-Lieu NE 200,000 200,000
Park-In-Lieu NW 1,142,850 1,792,883
Park-In-Lieu SE 3,468 887,896 441,921
Park-In-Lieu SW 54,961 9,191 2,838,493 228,077 228,077
Planned Local Drainage Area A 562 1,750 95,688 95,688
Planned Local Drainage Area B 230,860 286,812 1,200,918 3,437,827 3,437,827
Planned Local Drainage Area C 9,577 283 227,734 227,734
Planned Local Drainage Area D 377 128,623 128,623
Public Facilities Fee 766,176 8,820,647 6,124,900 2,296,803 98,000 2,394,803
Sewer Connection 24,443,894 1,001,281 3,640,251 1,833,018 1,628,000 3,461,018
Sewer Replacement 4,374,704 1,921,655 5,431,229 21,465,643 9,847,211 31,312,854
TOA 56,619 5,783
Traffic Impact Fee 3,785,577 722,126 939,693 13,626,238 8,043,000 21,669,238
Transnet/Local 3,418,316 5,254,026 2,819,610 18,841,124 3,925,000 22,766,124
Transnet/STP 51,749
Water -Potable 3,047 6,700 14,335 2,477,547 cl.,450,000 3,927,547
Water -Recycled 2,241,719 139,990 9,523,737 6,886,642 6,886,642
Water Replacement -Potable 2,718,426 2,663,820 16,334,863 38,731,607 8,120,000 46,851,607
Water Replacement -Recycled 30,136 62,970 392,878 3,997,950 557,800 4,555,750
Total 52,101,933 34,501,451 64,269,346 230,446,055 53,427,961 283,874,016
Note: Expenditures include loans, advances and transfers.
City of Carlsbad
2019-20 Operating Budget June 18, 2019 Item #5 Page 70 of 197
PROJ.
ID
40081
35721
35724
35722
35725
35723
40601
47151
47152
NA
NA
NA
40811
38661
40631
NA
NA
47331
NEW
NEW
47271
60741
47181
47251
NEW
47191
47192
47201
47401
47361
47141
47142
NEW
47081
47091
NEW
47411
47221
47231
47241
47242
PROJECT TITLE
CIVIC PROJECTS
ADMINISTRATIVE FACILITIES
City Hall Complex
Orlon Center
Orion Center-Public Art
Orion Center
Orion Center
Orion Center
POLICE & FIRE FACILITIES
Fire Station No. 2 Replacement
Safety Center Improvements
Safety Center Improvements
LIBRARY FACILITIES
Cole library Expansion
Cole Library Expansion
Cole Library Expansion (Brownley Donation)
Dove Library Lighting Improvements
OPEN SPACE AND TRAILS
Lake Calavera Trails Master Plan/Construction (Prop C)
Trail Connectivity To Tamarack State·Beach (Prop C)
Open Space And Trail Acquisition (Prop C)
MISCELLANEOUS CITYWIDE PROJECTS
CFD#l Administration
SUBTOTAL CIVIC PROJECTS
FACILITIES MAINTENANCE
Alga Norte Park Modifications
Aviara & Hidden Canyon Park Playground Safety Resurfacing
Calavera Hills Community Center Refurbishment
City Facility Accessibility Upgrades
City Facility safety And Parking Lot Lighting Assessment
City Hall Complex Refurbishment
City Hall Exterior Refurbishment
Dove Library Parking Lot Revision
Emergency Center Reconfiguration
Emergency Center Reconfiguration
Faraday Center Refurbishment
Fire Station No. 4 Expansion
Fire Station No. 5 New Roof And Storage Building
Fleet Maintenance Refurbishment
Fleet Maintenance Refurbishment
Fleet Service Center Fuel Island Evaluation
Harding Center Refurbishment
Holiday Park. Facilities Maintenance
Leo Carrillo Ranch Roof Repairs
Library Fire Alarm Panel Upgrades
Maerkle Reservoir Solar Project
Miscellaneous City Building Improvements
Monroe Street Pool Replacement
Monroe Street Pool Replacement -Public Art
FY 2019-20 Preliminary Capital Improvement Program
COUNCIL PROJECT FUNDING
DISTRICT SCORE SOURCE
ALL 100 CFD#l
2 75 CFD#l
2 75 CFD#l
2 75 WATER REPL
2 75 RECL REPL
2 75 SEWER REPL
4 85 GCC
2 80 IRF
2 80 GCC
1 CFD#l
1 PFF
1 GCC
3 45 GCC
2 85 GCC
1 52 GCC
ALL N/A GCC
N/A N/A CFD#l
3 62 GCC
1,2 82 IRF
2 so IRF
ALL 60 GCC
ALL 75 IRF
1 58 IRF
1 97 GCC
3 52 GCC
2 58 GCC
2 58 IRF
2 60 IRF
3 80 IRF
2 55 GCC
2 75 IRF
2 75 GCC
2 85 IRF
1 45 IRF
1 so IRF
2 85 IRF
1,3 42 IRF
2 35 GCC
ALL 55 IRF
1 70 IRF
·1 70 GCC
TOTAL
COST
51,028,105
33,995,266
541,000
6,650,399
2,660,000
3,995,000
13,000,000
5,953,050
2,013,500
5,988,000
11,936,000
1,000,000
225,000
1,063,250
3,276,000
4,000,000
550,000
147,874,570
314,000
600,000
685,000
500,000
410,000
1,059,000
2,250,000
50,000
1,658,000
200,000
3,154,380
810,000
225,000
1,374,000
896,100
150,000
115,000
80,000
250,000
180,000
250,000
3,665,000
6,187,000
62,000
PRIOR
EXP/ENC
278,105
5,456,866
429
197,926
142,767
170,225
822,694
442,710
224,899
-
29,731
983,902
181,721
35,000
8,966,975
30,445
8,101
89,448
873,230
305,550
-
15,756
633,448
229,861
169,249
143,013
17,683
95,032
4,500
-
830
555,738
109,965
BALANCE
FORWARD
750,000
28,538,400
540,571
6,452,473
2,517,233
3,824,775
9,727,306 I
5,510,340
1,788,601
195,269
79,348
18,279
I
59,942,595
183,555
-
491,899
320,552
120,770
1,944,450
1,642,244
200,000
2,220,932
580,139
55,751
1,121,987
807,417
19,968
75,500
180,000
249,170
144,262
5,307,035
YEAR 1
2019-20
2,450,000
3,076,000
110,000
5,636,000
100,000
600,000
45,000
65,000
50,000
300,000
109,000
71,000
150,000
250,000
865,000
770,000
62,000
YEAR 2
2020-21
3,965,000
110,000
4,075,000
640,000
150,000
YEAR 3
2021-22
110,000
110,000
150,000
YEAR4
2022-23
110,000
110,000
150,000
YEAR 5
2023-24
110,000
110,000
150,000
YEAR 6-10
2025-29
50,000,000
50,000,000
750,000
YEAR 11-15
2030-34
5,988,000
11,936,000
1,000,000
18,924,000
750,000
June 18, 2019 Item #5 Page 71 of 197
I PROJ.
ID
47391
47291
60521
60571
60572
47431
47321
47381
47421
---NA
47261
47281
46031
46032
46033
46091
---46011
46012
38011
NA
---46041
46042
46043
36491
46051
46052
46081
46082
46021
46022
46023
66181
66191
NEW
66261
NA
NA
66091
NA
NA
33381
NA
PROJECT TITLE
New Village Arts Building Roof And Exterior Refurbishment
Ocean Street Restroom Facility
Parking Lot Maintenance Program
Public Beach Access Improvements (Ocean Street)
Public Beach Access Improvements (Ocean Street)
Safety Training Center Refurbishments
Safety Training Center Water Recirculating System Study
Senior Center Refurbishment
Stagecoach Park Synthetic Turf Replacement
SUBTOTAL FACILITIES MAINTENANCE
PARK DEVELOPMENT PROJECTS
NORTHWEST QUADRANT PARKS
Business Park Recreational Facility (Partial Funding)
Cannon Park Restroom
Hosp Grove Park Improvements
Pine Avenue Park -Phase 2 (Community Center And Garden)
Pine Avenue Park -Phase 2 (Community Center And Garden)
Pine Avenue Park -Phase 2 (Community Center And Garden) -Public Art
Veteran's Memorial Park (All Quadrants)
NORTHEAST QUADRANT PARKS
Calavera Park Gateway Improvements
Calavera Park Gateway Improvements -Public Art
Robertson Ranch Park Development
Robertson Ranch Park Development
SOUTHWEST QUADRANT PARKS
Avlara Community Park -Phase 2
Aviara Community Park -Phase 2 -Public Art
Aviara Community Park -Phase 3
Aviara Reimbursement Agreement
Poinsettia Community Park -Phase 3
Poinsettia Community Park -Phase 3 -Public Art
Poinsettia Community Park -Phase 4 -Dog Park
Poinsettia Community Park -Phase 4 -Dog Park -Public Art
SOUTHEAST QUADRANT PARKS
Leo Carrillo Park -Phase 3
Leo Carrillo Park -Phase 3
Leo Carrillo Park -Phase 3 -Public Art
SUBTOTAL PARK PROJECTS
DRAINAGE PROJECTS
Agua Hedionda Creek Storm Drain Outfall (Faro! Court)
Buena Vista Creek Channel Clearing At El Camino Real
Cannon Road At Sage Creek Road Rehabilitation
Curb Inlet Filter Retrofit
DMP Facility AAA (Jefferson Street)
DMP Facility AAAA (Madison Street)
DMP Facility AC (Highland Drive)
DMP Facility AFA (Hidden Valley Drainage Restoration)
DMP Facility AFB (Calavera Hills Drainage Restoration)
DMP Facility B & BN (Agua Hedionda And Calavera Creek Plda "B")
DMP Facility BB 1 And 2 (Washington Street)
COUNCIL PROJECT
DISTRICT SCORE
1 63
1 70
ALL 80
1 88
1 88
2 N/A
2 35
1 69
4 89
2 N/A
1 68
1 66
2 73
2 73
2 73
ALL 94
2 66
2 66
2 45
2 45
2 83
2 83
2 83
2 N/A
2 83
2 83
2 62
2 62
2 66
2 66
2 66
2 60
1,2 87
2 77
All 60
1
1
2 50
FY 2019-20 Preliminary Capital Improvement Program
FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 YEAR 11-15
SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 2025-29 2030-34
IRF 253,626 2,386 221,240 30,000
GCC 775,000 35,485 739,515
IRF 1,530,001 227,920 1,302,081
GCC 3,610,336 3,580,273 30,063
IRF 726,683 550,000 176,683
GCC 895,574 895,574
GCC 50,000 50,000
IRF 1,248,000 327,015 20,985 900,000
IRF 2,200,000 35,000 1,765,000 400,000
36,413,700 8,039,928 20,866,772 4,767,000 790,000 150,000 150,000 150,000 750,000 750,000
ZONES 4,760,000 4,760,000
GCC 690,000 56,101 633,899
IRF 1,682,000 7,101 915,899 759,000
PIL-NW 2,197,001 2,197,001
PFF 10,016,040 9,358,365 657,675
PFF 123,300 123,300
CFO#l 23,898,200 378,200 20,000 80,000 23,420,000
GCC 1,046,850 62,427 809,423 175,000
GCC 10,500 10,500
Pll-NE 2,650,000 -200,000 2,450,000
PFF -12,592,000 12,592,000
PIL-SW 3,120,500 3,119,755 745
Pll-SW 38,200 29,968 8,232
PFF 700,000 426,856 273,144
PIL-SW 238,000 18,900 219,100
PFF 5,231,475 5,092,168 139,307
PFF 43,22S 38,631 4,594
PFF 1,080,500 . 40,663 943,337 96,500
PFF 11,340 9,840 1,500
PFF 1,631,500 1,605,680 25,820
PIL-SE 1,334,100 1,334,100
PFF 29,655 288 29,367
73,124,386 23,889~,890,382 1 1,122,500 ~042,00_0 23,420,000 4,760,000
IRF 696,700 581,021 115,679
GCC 675,000 28,884 371,116 275,000
GAS TAX 675,000 155,000 520,000
IRF 230,000 230,000
PLOA 289,534 289,534
PLOA 416,SOO -416,500
PLOA 921,408 921,408
PLDA 91,608 91,608
PLDA 163,164 163,164
PLOB 4,598,069 3,512,142 1,085,927
PLOB 1,086,065 1,086,065
June 18, 2019 Item #5 Page 72 of 197
I PROJ.
ID PROJECT TITLE
NA DMP Facility BCB (Magnolia Avenue)
66271 DMP Facility BFA (Country Store)
NA DMP Facility BFB-L & BFB-1 (Tamarack And El Camino Real Plda "B")
66221 DMP Facility BFB-U (El Camino Real)
36363 DMP Facility BJ B, BNB And BJ-1 (College Boulevard/Cannon Road)
NA DMP Facility BL-L (College Blvd. Bridge Reimb. Plda "B'.')
NA DMP Facility BL'U (College Boulevard)
NA DMP Facility BM (Cantarini/College Boulevard Box Culvert)
NA DMP Facility BQ (sunny Creek)
NA DMP Facility BR (Cantarini/College Boulevard Pipe Drainage)
39192 DMP Facility Cl -Carlsbad Boulevard Encinas Creek Bridge Plda "C")
NA DMP Facility C2 (Paseo Del Norte)
NA DMP Facility CA (Avenida Encinas)
NA DMP Facility DBA (Poinsettia Village)
NA DMP Facility DBB (Avenida Encinas)
NA DMP Facility DFA (Batiquitos Lagoon Stormwater Treatment)
NA DMP Facility DH (Altive Place Canyon Restoration)
NA · DMP Facility DQB (La Costa Town Center)
NA DMP Facility DZ (Poinsettia Lane)
66211 DMP Wetland Creation
66231 Drainage Master Plan Update
66232 Drainage Master Plan Update
66233 Drainage Master Plan Update
66234 Drainage Master Plan Update
66161 Fire Station No, 1-5 Drainage Improvements
66241 Headwall Replacement Program
66061 Kelly Drive Channel Repair
66021 La Costa Avenue Drainage Improvements
66281 Laguna Drive Storm Drain
50492 Lake Calavera Reservoir Mitigation
66251 Lake Calavera Storm Drain Improvements
66141 Marca Place Drainage Improvements
66083 Nw Quadrant Storm Drain Improvement Program
66082 Nw Quadrant Storm Dratn Improvement Program
66111 Park Drive Drainage And Street Improvements
66112 Park Drive Drainage And Street Improvements
66042 Romeria Drainage Improvements
66041 Romeria Drainage Improvements
66201 Storm Drain Condition Assessment
66071 Storm Drain System Rehab And Repair Program
SUBTOTAL DRAINAGE PROJECTS
SEWER PROJECTS
ENCINA WATER POLLUTION CONTROL FACILITY
58011 Encina Capital e~ojects
55451
55371
55011
55012
55441
55381
55391
55261
55401
SEWER COLLECTION SYSTEM
Agua Hedionda Lift Station Blological Monitoring And Maintenance
Buena Interceptor Sewer Access Road Improvements
Buena Interceptor Sewer Improvements
Buena Interceptor Sewer Improvements
Buena Interceptor Sewer Realignment - East Segment
Chinquapin lift Station Force Main Outfall Realignment
Faraday & El Camino Real Sewer Replacement -Orion To PAR
Foxes Landing lift Station Wetwell And Pump Replacement
Las Palmas Trunk Sewer
COUNCIL PROJECT
DISTRICT SCORE
2
2
2 77
2 74
2
2 64
ALL 70
ALL 70
ALL 70
ALL 70
ALL 60
ALL 55
2 75
4 76
1 65
2 70
2 64
4
1,2 70
1,2 70
1 80
1 80
4 80
4 80
ALL 84
ALL 79
ALL N/A
2 63
3 87
2,3 93
2,3 93
2 81
1 62
2 71
1 90
2 90
FY 2019-20 Preliminary Capital Improvement Program
FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10 YEAR 11-15
SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 2025-29 2030-34
PLDB 468,096 -468,096
PLDB 963,673 963,673
PLDB 904,329 904,329
PLDB 138,220 110,223 27,997
PLDB 2,761,644 2,249,448 512,196
PLDB 1,816,101 1,816,101
PLDB 384,509 384,509
PLDB 204,077 204,077
PLDB 131,355 131,355
PLDB 180,773 180,773
PLDC 2,539,565 2,376,548 163,017
PLDC 727,730 727,730
PLDC 529,402 529,402
PLOD 167,215 167,215
PLOD 429,108 429,108
PLOD 256,423 256,423
PLOD 232,812 232,812
PLOD 745,842 745,842
PLOD 642,063 642,063
PLDB 955,000 52,393 902,607
PLDA 98,000 2,312 95,688
PLOB 458,000 377 457,623
PLDC 65,000 283 64,717
PLOD 129,000 377 128,623
GCC 480,000 225,000 125,000 130,000
IRF 510,000 34,768 475,232
IRF 1,666,000 411,277 749,723 180,000 325,000
IRF 1,244,150 944,809 184,341 115,000
GAS TAX 370,000 370,000
GCC 901,501 347,956 258,545 114,500 72,000 50,000 58,500
GCC 609,000 5,569 230,931 215,000 157,500
GAS TAX 65,000 1,071 63,929
IRF 1,634,000 318,729 1,285,271 30,000
GAS TAX 6,090,594 6,084,110 6,484
GCC 717,439 692,148 25,291
GAS TAX 1,865,000 98,347 1,766,653
GAS TAX 348,000 346,979 1,021
GCC 410,000 342,047 37,953 30,000
IRF 1,400,000 210,656 189,344 200,000 200,000 200,000 200,000 200,000
IRF 5,391,360 2,993,391 505,969 1,092,000 200,000 200,000 200,000 200,000
49,473,029 21,745,865 10,982,354 2,531,500 1,604,500 450,000 458,500 400,000 1,816,101 9,484,209
SEWER REPL 128,754,044 21,607,523 8,345,493] 5,290,711 6,234,341 5,127,072 5,924,570 6,563,932 34,272,281 35,388,121 I
SEWER REPL 225,000 125,000 25,000 25,000 2S,OOO 25,000
SEWER REPL 1,150,000 359 1,149,641
SEWER REPL 3,758,499 431,011 930,988 226,500 2,170,000
SEWER CONN 550,000 500,000 50,000
SEWER REPL 1,987,000 507,000 1,480,000
SEWER REPL 320,000 61,775 258,225
SEWER CONN 186,000 140,000 46,000
SEWER REPL 5,492,000 4,972,879 519,121
SEWER CONN 3,186,000 556,000 2,630,000
June 18, 2019 Item #5 Page 73 of 197
I PROJ.
ID
NEW
55361
55201
55291
NA
55421
38401
NEW
55131
55031
NEW
55041
55331
55341
NEW
NA
NEW
34921
55351
38861
39491
39501
55431
NA
50481
50071
50131
50121
50331
50381
50341
50431
NEW
50541
50351
50091
50361
50011
39041
50501
50551
S0451
50201
NA
NA
50241
50561
50441
50442
SOS71
50461
55422
PROJECT TITLE
North Batiquitos Interceptor Sewer Access Road Improvements
North Batiquitos Lift Station Forcemain Rehabilitation
Odor And Corrosion Prevention Assessment
Poinsettia Lane Lift Station Overflow
Quarry Creek Sewer Extension (SBA 11A11 -Reimb. Agreement)
SCADA Improvements
Sewer Lift Station Repairs And Upgrades
Sewer Line Capacity Improvements
Sewer Line Condition Assessment
Sewer Line Refurbishments And Replacement
Sewer Modeling
Sewer Monitoring Program (Capacity)
Simsbury Sewer Extension
Terra mar Sewer Rep lacement -El Arbo[ And Los Robles
Vallecitos Interceptor Sewer Cleaning And CCTV
Villas Sewer lift Station Replacement
Vista Carlsbad lntercepter-Rehabilitation (VCl & VC2)
Vista Carlsbad Interceptor-Agua Hedionda Ls & Force main (VC12-VC13)
Vista Carlsbad Interceptor-Buena Vista Lift Station Improvements
Vista Carlsbad Interceptor-Lagoon Bridge Replacement (VCllB)
Vista Carlsbad Interceptor-Reach VC14 To VC15
Vista Carlsbad Interceptor-Reach VC3
Water, Recycled, And Sewer Master Plan
SUBTOTAL SEWER PROJECTS
WATER DISTRIBUTION SYSTEM
Aviara Parkway And Plum Tree Waterline
Carlsbad Boulevard Waterline Replacement At Terra mar
Cathodic Protection Program
College Boulevard -Cannon Road To Badger Lane (37S Zone)
College Boulevard -Cannon Road To Badger Lane (490 Zone)
Crestview Drive Transmission Main
Desalinated Water Flow Control Facility No, 5
El Fuerte And Corintia Street Pressure Reducing Station
Fire Flow System Improvements
Hydroelectric Generator At Desa! Flow Control Facility No. 5
Lake Calavera Outlet Improvements
Limited Access Pipeline Relocation Progr:am
Maerkle Facility Improvements
Maerkle Reservoir Floating Cover Replacement
Maerkle Reservoir Transmission Main
Miscellaneous Pipeline Replacements
Normally Closed Valve (Install Motorized Valve)
Palomar Airport Waterline Realignment
Poinsettia Lane -Cassia Road To Skimmer Court (Reimb. Agreement)
Pressure Reducing Station Program
Rancho Carlsbad Groundwater Supply
Rancho Carlsbad Groundwater Supply
Reservoir Repair And Maintenance Program
San Dieguito Water !ntertie And Pipeline Extension
San Luis Rey Mission Basin Groundwater Supply
San Luis Rey Mission Basin Groundwater Supply
Santa Fe II Inlet Pipeline
Santa Fe II Reservoir Site Electrical Improvements
SCADA Improvements
COUN_clL PROJECT
DISTRICT SCORE
4 80
4 60
ALL 52
3 80
2 45
ALL 100
ALL 95
ALL 70
ALL 100
ALL 73
ALL 40
ALL 98
2 65
2 70
2,3 89
2 90
1,2 90
2 90
1 95
1,2 90
2,3 80
1 90
ALL 90
2,3 25
2 95
ALL 97
2 60
2 60
2 30
2 70
3 25
2 75
2 so
2 8S
ALL 98
2 98
2 90
2 90
ALL 73
2,3 72
2 85
3 55
ALL 98
2
2
ALL 98
4 40
N/A 35
N/A 35
N/A 81
N/A so
ALL 100
FY 2019-20 Preliminary Capital Improvement Program
FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEARS YEAR 6-10 YEAR 11-15
SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 202S-29 2030-34
SEWER REPL 250,000 250,000
SEWER REPL 550,000 966 549,034
SEWER REPL 320,000 51,572 268,428
SEWER REPL 1,299,249 1,006,242 193,007 100,000
OTHER 567,000 567,000
SEWER REPL 1,207,500 121,726 85,774 1,000,000
SEWER REPL 5,035,380 2,364,418 45,962 525,000 150,000 150,000 150,000 150,000 750,000 750,000
SEWER REPL 970,000 100,000 870,000
SEWER REPL 4,968,000 462,488 770,512 225,000 225,000 225,000 225,000 225,000 1,240,000 1,370,000
SEWER REPL 41,856,475 3,726,955 2,119,520 1,530,000 1,530,000 1,850,000 1,850,000 1,850,000 13,350,000 14,050,000
SEWER CONN 2,400,000 300,000 300,000 300,000 600,000 900,000
SEWER CONN 928,000 340,127 51,873 125,000 125,000 22,000 22,000 22,000 110,000 110,000
SEWER REPL 671,000 666,999 4,001
SEWER REPL 1,250,000 -1,250,000
SEWER REPL 250,000 250,000 .
SEWER REPL 850,000 130,000 720,000
SEWER REPL 141,000 20,000 121,000
SEWER CONN 30,367,000 30,352,881 14,119
SEWER CONN 1,125,000 141,735 983,265
SEWER CONN 9,518,000 9,411,903 106,097
SEWER CONN 20,745,000 20,707,336 37,664
SEWER CONN 2,689,000 597,000 2,092,000
SEWER REPL 447,680 388,518 9,162 25,000 25,000
274,013,827 96,817,413 18,963,886 11,325,211 16,918,341 7,699,072 10,288,570 9,110,932 50,322,281 52,568,121
WATER REPL 1,100,500 100,000 1,000,500
WATER REPL 5,080,000 133 1,929,867 500,000 2,500,000 150,000
WATER REPL 2,716,700 169,686 1,077,014 180,000 180,000 190,000 190,000 190,000 260,000 280,000
WATER CONN 1,095,000 183 1,059,817 35,000
WATER CONN 1,460,000 1,090,000 370,000
WATER REPL 240,000 240,000
WATER CONN 7,904,300 1,104,070 230 800,000 6,000,000
WATER REPL 800,000 800,000
WATER REPL 6,045,000 1,620,000 90;000 390,000 390,000 390,000 390,000 1,450,000 1,325,000
WATER REPL 2,275,000 200,000 2,075,000
GCC 1,260,000 780,000 440,000 40,000
WATER REPL 4,940,000 760,854 1,179,146 2,000,000 1,000,000
WATER REPL 2,235,200 1,242,330 892,870 100,000
WATER REPL 13,055,000 9,003,973 4,051,027
WATER REPL 15,631,000 172,652 6,157,348 1,000,000 8,301,000
WATER REPL 56,973,000 3,144,311 788,689 3,320,000 1,530,000 1,730,000 2,690,000 2,800,000 19,890,000 21,080,000
WATER REPL 485,000 260,000 225,000
WATER REPL 525,000 525,000
WATER CONN 2,032,000 300,000 300,000 1,432,000
WATER REPL 11,862,000 894,249 1,967,751 600,000 600,000 600,000 600,000 600,000 3,000,000 3,000,000
WATER CONN 1,750,000 325,000 1,425,000
WATER REPL 1,750,000 325,000 1,425,000
WATER REPL 15,490,000 3,923,921 1,726,079 200,000 1,000,000 1,960,000 3,070,000 3,610,000
WATER REPL 280,000 280,000
WATER CONN 8,577,500 27,500 50,000 6,000,000 2,500,000
WATER REPL 8,577,500 27,500 50,000 6,000,000 2,500,000
WATER REPL 2,865,000 470,000 25,000 2,370,000
WATER REPL 150,000 8,580 141,420
WATER REPL 1,305,000 480,187 474,813 350,000
June 18, 2019 Item #5 Page 74 of 197
I PROJ.
ID
50081
50511
50521
NEW
50191
55432
---52051
52031
52032
NEW
52131
NA
52111
50271
50272
52091
52092
52081
52082
52102
52101
52121
55423
55433
---63261
63264
NEW
63292
63302
NA
NA
NA
63251
NA
63281
63311
63141
39381
63322
NA
NA
NA
63331
63271
PROJECT TITLE
Tri-Agency Water Transmission Pipeline Replacement
Water Condition Assessment Program
Water Loss Monitoring
Water Modeling
Water Valve Repair/Replacement Program
Water, Recycled, And Sewer Master Plan
SUBTOTAL WATER DISTRIBUTION SYSTEM
RECYCLED WATER SYSTEM
Abandon Potable Services (New Recycled Services)
Carlsbad Water Recycling Facility (Encina Capital Projects)
Carlsbad Water Recycling Facility (Encina Capital Projects)
Cathodic Protection Program
Cwrf Irrigation And Landscape
Miscellaneous Pipeline Replacements
Recycled Water Condition Assessment Program
Recycled Water line -CWRF To Agua Hedionda Lagoon
Recycled Water line -CWRF To ·Agua Hedionda lagoon
Recycled Water Phase 3 -CWRF Expansion
Recycled Water Phase 3 -CWRF Expansion
Recycled Water Phase 3 -Pipelines
Recycled Water Phase 3 -Pipelines
Recycled Water Phase 3 -Reservoir
Recycled Water Phase 3 -Reservoir
Recycled Water Valve & Appurtenance Replacement Program
SCADA Improvements
Water, Recycled, And Sewer Master Plan
SUBTOTAL RECYCLED WATER PROJECTS
CIRCULATION SYSTEM
TRAFFIC SIGNALS
Adaptive Traffic Signal Program
Adaptive Traffic Signal Program (Non-Jurisdictional Fees)
Intelligent Traffic Control Devices
Traffic Control Improvements -Poinsettia lane & Cassia Road
Traffic Control Improvements -Poinsettia lane & Oriole Court
Traffic Signal -Alga Road And Cazadero Drive
Traffic Signal -Armada Drive And Fleet Street South
Traffic Signal -Armada Drive And Grand Pacific Resorts
Traffic Signal -camino De Los Caches And La Costa Avenue
Traffic Signal -Camino Vida Roble And Yarrow Drive
Traffic Signal - El Fuerte Street And Rancho Pancho
Traffic Signal -Faraday Avenue And Camino Hills Drive
Traffic Signal -Faraday Avenue And Palmer Way
Traffic Signal -La Costa Avenue And Levante Street
Traffic Signal -Maverick Way & Camino De Los Caches
Traffic Signal -Monroe Street And Hosp Way
Traffic Signal -Poinsettia Lane And Brigantine Road
Traffic Signal -Tamarack Avenue And Valley Street
Traffic Signal Master Plan
Traffic Signal Operations Modifications
SUBTOTAL TRAFFIC SIGNAL PROJECTS
STREET PROJECTS
COUNCIL PROJECT
DISTRICT SCORE
2 87
ALL 98
ALL 80
ALL 40
ALL 98
ALL 100
2,3 80
3 97
3 97
ALL 92
3 25
ALL 92
ALL 100
2,3 90
2,3 90
3 70
3' 70
ALL 90
ALL 90
3 87
3 87
ALL 98
ALL 100
ALL 100
ALL 80
ALL 80
ALL 29
3 80
3 80
3 45
2 40
2 40
4 95
2 40
2 35
2 so
2 so
4 45
4 90
1 45
3 45
2 65
ALL 72
1,2,3 75
FY 2019-20 Preliminary Capital Improvement Program
FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 YEAR 11-15
SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 2025-29 2030-34
WATER REPL 6,455,000 2,182,093 4,272,907
WATER REPL 7,360,000 600,000 390,000 400,000 410,000 410,000 420,000 2,250,000 2,480,000
WATER REPL 1,700,000 49,173 150,827 100,000 100,000 100,000 100,000 100,000 500,000 500,000
WATER CONN 2,400,000 300,000 300,000 300,000 600,000 900,000
WATER REPL 20,490,000 3,644,325 1,455,675 890,000 910,000 930,000 940,000 960,000 5,110,000 5,650,000
WATER REPL 568,560 490,310 3,250 50,000 25,000
217,433,260 27,271,030 33,548,730 9,160,000 6,175,000 15,250,000 14,552,500 16,021,000 48,780,000 46,675,000
WATER REPL 1,742,000 779,920 112,080 850,000
WATER REPL 709,390 405,329 304,061
RECL REPL 3,929,658 428,910 202,800 207,000 211,000 215,000 219,000 1,162,478 1,283,470
RECL REPL 160,000 20,000 20,000 20,000 20,000 20,000 30,000 30,000
RECL REPL 175,000 175,000
RECL REPL 5,660,000 250,000 350,000 2,150,000 2,910,000
RECL REPL 1,440,000 600,000 50,000 50,000 50,000 50,000 50,000 280,000 310,000
WATER REPL 1,632,594 1,328,831 303,763 ·
RECL WATER 3,417,406 3,417,406
WATER REPL 3,517,276 3,479,960 37,316
RECL WATER 6,844,124 6,806,524 37,600
WATER REPL 2,497,529 2,022,404 475,125
RECL WATER 18,700,000 13,788,968 4,911,032
RECL WATER 2,250,000 311,990 1,938,010
WATER REPL 690,000 5,190 684,810
RECL REPL 2,050,000 150,000 110,000 110,000 110,000 120,000 120,000 630,000 700,000
RECL REPL 357,500 98,359 109,141 150,000
RECL REPL 436,760 369,094 17,666 25,000 25,000
S6,209,237 32,813,975 10,284,514 1,407,800 412,000 391,000 655,000 759,000 4,252,478 5,233,470
TRANSNET-LOC 2,641,938 2,329,746 312,192
TRANS NET-LDC 1,000,000 1,000,000
GAS TAX 200,000 200,000
GAS TAX 250,000 511 249,489
GAS TAX 250,000 14,928 235,072
GAS TAX 210,000 210,000
GAS TAX 210,000 210,000
GAS TAX 210,000 210,000
GAS TAX 250,000 250,000
GAS TAX 210,000 210,000
GAS TAX 210,000 210,000
GAS TAX 210,000 -210,000
GAS TAX 210,000 210,000
GAS TAX 250,000 250,000
GAS TAX 140,000 4,000 116,000 20,000
GAS TAX 210,000 210,000
GAS TAX 210,000 210,000
GAS TAX 210,000 210,000
GCC 150,000 150,000
GAS TAX 180,000 32,995 117,005 30,000
7,411,938 2,382,180 2,849,758 500,000 210,000 1,260,000 210,000
June 18, 2019 Item #5 Page 75 of 197
FY 2019-20 Preliminary Capital Improvement Program
I PROJ. COUNCIL PROJECT FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR4 YEAR 5 YEAR 6-10 YEAR 11-15
ID PROJECT TITLE DISTRICT SCORE SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 202S-29 2030-34
606Sl ADA Beach Access-Pine To Tamarack 1 64 GCC 2,875,000 72,331 2,669 300,000 2,500,000
60491 ADA Improvement Program ALL 95 TRANSNET-LOC 1,670,000 9S4,472 71S,528
60861 Advance Street Name Signs ALL 70 GAS TAX 40,000 40,000
60841 Assessment District 97-1 Concrete Improvements 3 70 GCC 420,000 204,026 21S,974
NEW Avenida Encinas Pedestrian Access Improvements 2 95 GAS TAX 7S,OOO 7S,OOO
60041 Avenida Encinas Widening -sOuth of Palomar Airport Road 3 80 TIF S,346,7SO 169,7SO S,177,000
40131 Barrio Street Lighting 1 73 GCC 760,000 3,14S 756,855
38961 Beach Access Repair/Upgrades -Pine Avenue To Tamarack 1 95 IRF 1,612,750 590,240 177,260 845,2SO
38962 Beach Access Repair/Upgrades -Pine Avenue To Tamarack 1 95 GCC 4,199,000 583,138 3,615,862
60661 Bridge Preventitive Maintenance Program ALL 90 IRF 1,190,000 791,514 398,486
60671 Btd#3 Reconciliation And Closeout 2 N/A BTD#3 12S,OOO 19,979 105,021
60301 Camino Hills And Jackspar Drive Slope Stabilization 2 90 GCC 8S9,400 64,842 794,558
60581 Carlsbad Blvd And Tamarack Avenue Pedestrian Improvements 1,2 90 GAS TAX 1,576,000 587,783 988,217
60583 Carlsbad Blvd And Tamarack Avenue Pedestrian Improvements 1,2 90 TRANSNET-LOC 1,054,000 71,630 982,370
60631 Carlsbad Blvd Emergency Repair 3 91 GAS TAX 841,000 420,455 420,545
NA Carlsbad Blvd Median-Tamarack Avenue To Pine A\!'enue 1 GAST AX 2,763,000 2,763,000
60681 Carlsbad Blvd Pedestrian lighting -Tamarack To State Street 1 75 TRANSNET-LOC 1,325,000 21,925 1,303,075
60311 Carlsbad Blvd Realignment 2,3,4 80 TRANSNET-LOC 3,250,000 1,528,891 1,721,109
NA Carlsbad 8lvd Realignment/ Palomar Airport Road (Segment 2) 2 TIF 9_32,000 932,000
NA Carlsbad Blvd Realignment/ Palomar Airport Road (Segment 2) (RTCIP) 2 TIF 3,681,000 3,681,000
NA Carlsbad Blvd Widening Mountain View To Northerly City Limits 1 TIF 984,000 984,000
NA Carlsbad Blvd Widening Mountain View To Northerly City Limits (RTCIP) 1 TIF 1,274,000 1,274,000
NA Carlsbad Village Dr. & Grand Ave. Pedestrian And Crossing Imp. 1 85 TRANS NET-LDC 1,320,000 1,320,000
NA Carlsbad Village Drive Widening -Pontiac Drive To Victoria Avenue 1,2 TIF 3,102,000 3,102,000
NA Chestnut Avenue Complete Street Improvements-Valley To Pio Pico 1 62 TRANSNET-LOC 1,080,000 1,080,000
60691 Chestnut Complete Street 1-5 To Railroad Project Study 1 62 TRANSNET-LOC 85,000 85,000
NA Christiansen Avenue Improvements 1 63 TRANSNET-LOC 310,000 -310,000
NEW Citywide Street lighting Program ALL 65 GAS TAX 150,000 150,000
NEW Citywide Thermoplastic Pavement Markings ALL 95 GAS TAX 100,000 -50,000 50,000
36362 College Blvd Reach A And Cannon Road Reach 4A 2 74 OTHER 1,713,000 418,40B 1,294,592
60132 Concrete Repair/Replacement Program ALL 80 GAS TAX 6,433,000 2,358,165 324,835 250,000 250,000 250,000 250,000 250,000 1,250,000 1,250,000
60133 Concrete Repair/Replacement Program ALL 80 SAS TAX (RMRA 107,000 107,000
60561 El Camino Real And Agua Hedionda Creek Bridge Railing & Sidewalk 2 96 IRF 210,000 210,000
60421 El Camino Real And Cannon Road Intersection Improvements 2 97 TIF 2,615,000 1,295,598 989,402 330,000
NA El Camino Real And Carlsbad Village Drive Dual Left Turns 2 TIF 1,132,000 1,132,000
60711 El Camino Real And College Blvd Intersection Improvements 2 100 GAS TAX 895,000 200,570 694,430
60712 El Camino Real And College Blvd Intersection Improvements 2 100 GCC 131,000 131,000
60501 El Camino Real Left Turn Lane To Westbound Tamarack Avenue 2 30 TIF 286,000 286,000
36432 El Camino Real Medians ALL 72 GAS TAX 1,984,530 552,530 1,432,000
36431 El Camino Real Medians ALL 72 PFF 909,500 695,781 213,719
NA El Camino Real Right Turn Lane To East Bound Alga Road 3 TIF 438,000 438,000
60722 El Camino Real Widening -Cassia Rd To Camino Vida Roble 3 93 FED GRNT 1,440,000 1,440,000
60721 El Camino Real Widening -Cassia Rd To Camino Vida Roble 3 93 TRANSNET-LOC 1,380,000 329 1,379,671
60511 El Camino Real Widening -Arena I Road To la Costa Avenue 4 88 TIF 3,762,500 1,925,000 487,500 1,350,000
60511 El Camino Real Widening -Arena I Road To La Costa Avenue (RTCIP) 4 88 TIF 1,237,500 625,000 162,500 450,000
60851 El Camino Real Widening -Lisa Street To Crestview Drive GCC 108,953 108,953
NA E! Camino Real Widening -Sunny Creek To Jacks par 2 59 TRANSNET-LOC 3,335,000 3,335,000
60871 Guardrail Replacement And Improvement Program ALL 91 GAS TAX 250,000 2so,ooo
60753 Kelly Drive And Park Drive Road Diet And Multi use Trail 2 96 GAS TAX 130,000 130,000
60751 Kelly Drive And Park Drive Road Diet And Multi use Trail 2 96 TRANSNET-LOC 4,175,000 680,508 3,494,492
NA Kelly Drive Channel Replacement 2 IRF 2,114,000 2,114,000
60761 La Costa Avenue -Traffic Calming 4 GAS TAX 863,000 21,300 841,700
60771 Left Turn Lane Extensions 2,3,4 75 GAS TAX 200,000 200,000
NA Melrose Drive And Alga Road Dual Left Turn Lanes (RTCIP) 2 TIF 1,237,000 1,237,000
60341 Melrose Drive Right Turn Lane To West Bound Palomar Airport Road 2 71 TIF 561,000 95,632 465,368
60781 Ocean Street Reconfiguration Concepts Study 1 63 GCC 200,000 95,000 105,000
June 18, 2019 Item #5 Page 76 of 197
FY 2019-20 Preliminary Capital Improvement Program
I PROJ. COUNCIL PROJECT FUNDING TOTAL PRIOR BALANCE YEAR 1 YEAR 2 YEAR 3 YEAR 4 YEAR 5 YEAR 6-10 YEAR 11-15
ID PROJECT TITLE DISTRICT SCORE SOURCE COST EXP/ENC FORWARD 2019-20 2020-21 2021-22 2022-23 2023-24 2025-29 2030-34
60281 Palomar Airport Road And College Blvd Improvements 2 TIF 495,500 345,5S6 149,944
NA Palomar Airport Road/El Fuerte Street Right Turn Lane 2 TIF 1,198,000 1,198,000
60432 Palomar Airport Road/Paseo Del Norte Left Turn Lane 3 55 TRANSNET-LOC 250,277 82,093 168,184
60442 Palomar Airport Road/Paseo De! Norte Right Turn Lane 3 60 TRANSNET-LOC 925,639 92,145 833,494
60011 Pavement Management Program ALL 85 TRANSNET-LOC 41,946,375 17,990,483 1,455,892 1,500,000 1,500,000 1,500,000 1,500,000 1,500,000 7,500,000 7,500,000
60012 Pavement Management Program ALL 85 GAS TAX 8,138,130 7,326,599 811,531
60016 Pavement Management Program ALL 85 SAS TAX (RMRA 30,560,000 1,892,635 667,365 1,400,000 1,900,000 1,900,000 1,900,000 1,900,000 9,500,000 9,500,000
60013 Pavement Management Program (Non-Juris Fees) ALL 85 TRANSNET-LOC 24,622,476 6,379,403 1,243,073 1,600,000 1,100,000 1,100,000 1,100,000 1,100,000 5,500,000 5,500,000
39221 Poinsettia Lane -Reach E Cassia Road To Skimmer Court 3 88 BTD#2 14,081,200 312,050 12,645,950 1,123,200
NA Poinsettia Lane -Reaches A,B,C,F,G & Aviara Pkwy Reimb 3 BTD#2 1,168,833 1,168,833
NA Poinsettia Lane Widening -Paseo Del Norte To Batiquitos Drive (RTCIP) 3 TIF 1,039,000 1,039,000
60591 Railroad Doub!e Tracking 1 94· GCC 2,250,000 173,173 2,076,827
60881 Rancho Santa Fe Trail Slope Improvements 4 80 GCC '350,000 64,256 285,744
60701 Residential Traffic Improvement Program ALL 95 GAS TAX 2,100,000 544.,518 355,482 300,000 300,000 300,000 300,000
60371 Retroreflectivity Sign Replacement Program ALL 60 GAS TAX 2,320,000 21,317 2,298,683 (1,320,000) 660,000 660,000
60791 Roadway Improvements -Coastal Area Analysis & Implementation 1 60 GCC 200,000 47,617 152,383
60811 Roadway Slope Stabilization ALL 65 GAS TAX 614,000 118,069 331,931 164,000
60191 Sidewalk/Street Construction -Valley Street Magnolia Avenue 1 85 TIF 2,140,000 491,017 1,648,983
60192 Sidewalk/Street Construction -Valley Street Magnolia Avenue 1 85 WATER REPL 71,000 204 70,796
60191 Sidewalk/Street Construction -Valley Street Magnolia Avenue (5DG&E Funds) 1 85 TIF 1,060,000 1,060,000
60021 Sidewalk/Street Construction Program ALL 75 TIF 4,486,206 385,889 2,900,317 300,000 300,000 300,000 300,000
60821 State Street Improvements At NW Corner Of Grand 1 65 TRANSNET-LOC 325,000 325,000
60622 Street lighting Replacement Program ALL 70 TRANSNET-LOC 3,325,000 292,956 2,207,044 825,000
60621 Street Lighting Replacement Program ALL 70 GCC 319,270 319,270
60543 Terra mar Area Coastal Improvements 2 80 TRANSNET-LOC 1,000,000 1,000,000
60541 Terra mar Area Coastal Improvements 2 80 TIF 6,000,001 1,243,148 3,056,853 1,700,000
60544 Terra mar Area Coastal Improvements 2 80 SEWER REPL 500,000 350,000 150,000
60542 Terra mar Area Coastal Improvements (Park) 2 80 GCC 999,999 73 999,926
60401 Traffic Impact Fee Update ALL 72 TIF 200,000 24,400 175,600
60031 Traffic Monitoring Program ALL 68 TIF 2,102,900 991,129 343,771 96,000 96,000 96,000 96,000 96,000 288,000
60831 Utility Undergrounding Program Study ALL 70 GCC 100,000 100,000
NA Valley Street Road Diet And Traffic Calming 1 57 TRANSNET-LOC 1,645,000 1,645,000
40151 Village And Barrio Traffic Circles 1 80 GCC 315,000 37,453 277,547
40152 Village And Barrio Traffic Circles 1 80 TRANSNET-LOC 1,025,000 1,025,000
40153 Village And Barrio Traffic Circles 1 80 SEWER REPL 160,000 160,000
40161 Village Decorative lighting 1 69 GCC 1,503,853 151,353 -552,500 400,000 400,000
60891 Village Intelligent Parking Implementation 1 29 GCC 300,000 60,000 240,000
40611 Village Public Gathering Spaces Study 1 68 GCC 345,000 345,000
60611 Wayfinding Sign Replacement Program ALL 60 GAS TAX 150,000 35,947 114,053
SUBTOTAL STREETS PROJECTS 241,180,542 51,765,695 68,117,064 16,287,950 15,726,000 6,506,000 5,446,000 5,146,000 32,255,000 39,930,833
LOANS TO OTHER FUNDS ---
NA loan -CFO #1 to Traffic Impact Fee Fund N/A CFD#l 1,973,000 1,973,000
NA loan -Sewer Rep I To Sewer Conn N/A SEWER REPL 4,700,000 4,700,000
NA loan -Public Facility Fee Fund To Park-in-lieu SW N/A PFF 1,100,000 1,100,000
NA loan -Public Facility Fee Fund To Park-in-lieu NE for Park Site Acquisition N/A PFF 4,550,000 4,550,000
SUBTOTAL FUTURE LOANS TO OTHER FUNDS 12,323,000 12,323,000 0 0 0 0 0 0 0 0
REPAYMENTS/TRANSFERS ---NA Gas Tax Transfer To General Fund (Transportation Operating Budget) N/A GAS TAX 3,600,000 600,000 600,000 600,000 600,000 600,000 600,000
NA loan -Park-in-lieu NE To Public Facility Fee Fund for Park Site Acquisition . N/A PIL-NE 4,550,000 4,550,000
NA loan Repay -Sewer Conn To Sewer Rep I N/A SEWER CONN 4,700,000 4,700,000
NA Loan Repay -Park-in-Lieu SW To Public Facility Fee Fund N/A PIL-SW 1,100,000 1,100,000
NA Traffic Impact Fee Funds to CFO #1 N/A TIF 1,973,000 90,000 90,000 90,000 90,000 90,000 90,000 1,433,000
SUBTOTAL LOAN REPAYMENTS 15,923,000 0 0 690,000 690,000 690,000 690,000 690,000 690,000 11,783,000
June 18, 2019 Item #5 Page 77 of 197
FY 2019-20 Preliminary Capital Improvement Program
PROJ. COUNCIL PROJECT FUNDING TOTAL PRIOR BALANCE
ID PROJECT TITLE DISTRICT SCORE SOURCE COST EXP/ENC FORWARD
GRAND TOTAL ALL FUNDED PROJECTS 1,131,380,489 286,015,5_65 230,446,055
UNFUNDED PROJECTS
Business Park Recreational Facility (Partial Funding) 6,600,000
Cannon Lake Park (6.7 Acres) 2,243,000
Carlsbad Boulevard Mountain View To Northerly City Limits (Partial Funding) 6,905,600
Carlsbad Boulevard/ Palomar Airport Road (Partial Funding) 14,109,600
Carlsbad Boulevard Realignment -Segments 3-5 26,100,000
TOTAL UNFUNDED PROJECTS 55,958,200
YEAR 1
2019-20
53,427,961
YEAR 2
2020-21
46,600,841
YEAR 3
2021-22
31,246,072
YEAR 4
2022-23
47,392,570
YEAR 5
2023-24
32,386,932
YEAR 6-10
2025-29
213,545,860
YEAR 11-15
2030-34
190,318,633
June 18, 2019 Item #5 Page 78 of 197
PRELIMINARY BUDGET STAFFING CHANGES FY 2019-20
REQUESTED,PROPOSED
Department Fund FTE Count Job Title Fiscal Impact
City Attorney General Fund 1.00 Assistant City Attorney $203,675
City Manager General Fund 1.00 Administrative Secretary $82,997
City Manager General Fund 1.00 Business Intelligence & Analytics Manager $164,075
City Manager General Fund 1.00 Intergovernmental Affairs Manager $154,420
City Treasurer General Fund 0.25 Assistant to the Treasurer $29,639
Community & Economic Development General Fund 1.00 Engineering Technician II $95,492
Community & Economic Development General Fund 1.00 Code Enforcement Officer II (approved 1.0 of 3.0) $93,978
Community & Economic Development General Fund 1.00 Code Enforcement Program Manager $109,546
Community & Economic Development Housing Trust 1.00 Housing Assistant $71,488
Community & Economic Development Housing Trust 1.00 Program Manager $109,546
Finance General Fund 1.00 Accountant $129,256
Fire General Fund 1.00 Business Systems Specialist $116,059
Fire General Fund 1.00 Fire Captain Specialist $156,251
Fire General Fund 0.75 Fire Prevention Specialist $80,434
Fire General Fund 2.00 Fire Prevention Specialist II $231,772
Fire General Fund 1.00 Senior Office Specialist $71,993
Human Resources General Fund 1.00 Human Resources Technician $82,997
Human Resources General Fund 1.00 Management Analyst (approved 1.0 of 2.0) $109,546
Human Resources General Fund 1.00 Senior Office Specialist $71,993
Information Technology Internal Service 1.00 Client Systems Administrator $119,975
Information Technology Internal Service 1.00 GIS Associate Administrator $128,994
Information Technology Internal Service 1.00 IT Operations Security Manager $162,493
Police General Fund 8.00 Police Officers $1,041,376
Police General Fund 2.00 Police Records Specialist II $142,976
Police General Fund 1.00 Police Sergeant $167,940
Public Works General Fund 1.00 Associate Contract Administrator $89,653
Public Works Enterprise 1.00 Environmental Specialist II (approved 1.0 of 2.0) $109,546
Public Works I nterna I Service 1.00 Public Works Superintendent, Fleet $148,201
Public Works Enterprise 1.00 SCADA Supervisor $129,256
Public Works General Fund 1.00 Senior Engineer $148,201
Public Works Enterprise 1.00 Senior Environmental Specialist $117,020
Total Requested, Proposed 39.00 $4,670,788
June 18, 2019 Item #5 Page 80 of 197
PRELIMINARY BUDGET STAFFING CHANGES FY 2019-20
REQUESTED, NOT PROPOSED
Department Fund FTE Count Job Title Fiscal Impact
City Manager General Fund 1.00 Senior Program Manager $126,854
Community & Economic Development General Fund 0.75 Associate Contract Administrator $73,466
Community & Economic Development General Fund 1.00 Associate Planner $108,434
Community & Economic Development General Fund 1.00 Senior Planner $128,862
Community & Economic Development General Fund 2.00 Code Enforcement Officer II (approved 1.0 of 3.0) $187,956
Finance General Fund 1.00 Purchasing Officer $148,201
Human Resources General Fund 1.00 Management Analyst (approved 1.0 of 2.0) $109,546
Human Resources General Fund 2.00 Senior Human Resources Technician $176,222
Information Technology Internal Service 1.00 Applications Analyst $123,830
Information Technology Internal Service 1.00 Business Intelligence Analyst $123,830
Information Technology Internal Service 1.00 IT Automation Engineer $151,658
Library & Cultural Arts General Fund 1.00 Community Arts Coordinator $88,294
Library & Cultural Arts General Fund 1.00 Library Assistant $72,413
Parks & Recreation General Fund 1.00 Archivist $92,137
Public Works Enterprise 1.00 Asset Management Analyst $109,546
Public Works General Fund 1.00 Assistant Engineer $115,562
Public Works Enterprise 1.00 Assistant Engineer $115,562
Public Works Enterprise 1.00 Associate Engineer $132,178
Public Works General Fund 1.00 Associate Engineer $132,178
Public Works Enterprise 1.00 Environmental Specialist II (approved 1.0 of 2.0) $109,546
Public Works General Fund 1.00 Municipal Project Manager -LTD Term $150,134
Public Works Enterprise 1.00 Municipal Projects Manager $150,134
Public Works General Fund 1.00 Program Manager $109,546
Public Works Enterprise 1.00 Utility Locator $67,591
Public Works General Fund 1.00 . Utility Locator $67,591
Public Works Enterprise 1.00 Water Systems Operator II $107,562
Total Requested, Not Proposed 27.75 $3,078,833
June 18, 2019 Item #5 Page 81 of 197