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Item 15 - Visual Slideshow provided by Staff at MeetingFY 2023-24 Capital Improvement Program Budget The proposed projects are essential to the community to: •Improve critical public infrastructures such as parks, streets, sidewalks, drainage, and sewers •Renovate facilities and make necessary repairs from COVID entrenchment •Provide better communication with Fiber Optics installation throughout the City The proposed funding will address the community’s immediate needs and continue to improve the quality of life for Poway residents. FY 2023-24 CIP Budget Request Streets Drainage Water Sewer Public Facilities: Parks, Safety, & Communications Renovations Total FY 2023-24 CIP Funding: $1,635,700 $580,000 $1,396,050 $716,541 $6,760,663 $3,388,823 $3,374,840 $11,088,954 FY 2023-24 CIP Overview Purpose: The purpose of the Capital Improvement Program (CIP) is to plan and implement those Capital Improvements that the City Council determines to be most important for maintaining the City’s infrastructure and long-term quality of life for the community of Poway. FY 2023-24 Capital Improvement Program Completed Projects Reservoir Overflow Retrofits Project Swim Center Artificial Turf Installation FY 2021-22 Annual CMP Repair/Replace Rattlesnake Creek Streambank Stabilization Design Espola Road Safety Improvements – Phase 2 FY 2021-22 Annual Trash Capture Program FY 2022-23 Street Overlay Fire Station 1 Interior Stairwell Project Streets – 7 Projects Drainage – 4 Projects Public Facilities – 28 Projects Water – 14 Projects Sewer – 7 Projects 60 Projects – Total Funding $80.64 MIL Capital Improvement Program Streets Active Projects: Traffic Signal Controller Upgrades $250,000 Neighborhood Sidewalks (Powers & Garden Areas) Poway Road Safety Improvement FY 2023-24 Street Maintenance FY 2023-24 Citywide Striping FY 23/24 Proposed Project: FY 2023-24 Street Overlay $1,385,700 Total FY 23/24 Funding: $1,635,700 FY 2023-24 Street Overlay Project Drainage Active Projects: Corrugated Metal Pipe Replacement $300,000 Annual Trash Capture Program $130,000 Community Park Concrete Ribbon Drain FY 23/24 Proposed Project: Channel Rehabilitation – Pomerado Channel $150,000 Total FY 23/24 Funding: $580,000 Channel Rehabilitation – Pomerado Channel TASSEL ROADPOMERADO ROADFRAME ROADGLENOAK ROAD VAUGHAN ROAD HOLLAND ROAD SHALLMAN STREETPOWERS ROAD Public Facilities Active Projects: Upper Lake Poway Playground Renovation FY 2022-23 ADA Barrier Removal Starridge & Community Park Pathway Extension PCPA Facility Maintenance Design Upper Lake Poway Playground Renovation Public Facilities – Parks, Safety, & Communications FY 23/24 Proposed Projects: Lifeguard Door Replacement $48,500 Pool Circulation Pump Replacement $199,200 Community Park Restroom $582,400 FY 2023-24 ADA Barrier Removal (CDBG) $127,398 Silverset Shade Area $241,000 Xeriscaping at Poway Library $48,750 Zero Emission Vehicle Charging Infrastructure Assessment $135,000 Fire Training Tower Ozone System Replacement $18,650 Fire Training Tower Pump Repair $77,950 Workplace Safety Facility Improvements $500,000 Fiber Optic Interconnect – Fire Station 3 $34,527 Fiber Optic Interconnect – Old Poway Park $291,272 Fiber Optic Interconnect – Community Park $109,939 Fiber Optic Interconnect – PCPA & PW Administration $971,237 Subtotal FY 23/24 Funding for Parks, Safety, & Communication: $3,388,823 Public Facilities - Renovations FY 23/24 Proposed Projects: Public Facilities Renovation – FY 24 General Maintenance $1,005,000 Public Facilities Renovation – FY 24 HVAC $471,200 Public Facilities Renovation – FY 24 Roofing $88,000 Public Facilities Renovation – FY 24 Painting $365,000 PCPA Roof and Electrical Renovation $1,445,640 Subtotal FY 23/24 Funding for Renovations: $3,374,840 Total FY 23/24 Funding – Public Facilities Projects $ 6,763,663 Water Active Projects: Annual Water Valve Replacement $191,000 Clearwell Replacement Poway Treated Water Facilities & Redundant Pipeline SDCWA POW-5 Turnout & Flow Control Facility Caustic Tank Rehabilitation R-4 Reservoir Upgrades $170,000 R-7 Reservoir Rehabilitation $445,800 Wash water Tank No. 2 Upgrades Water Treatment Plant Filters 1-8 Upgrades Motor Control Center Upgrades (PS No. 8 – 12) FY 23/24 Proposed Projects: Utility Security Enhancements $288,250 Water Treatment Plant Chemical Tank Rehabilitation $225,000 Emergency Interconnection #1 Study $75,000 Total FY 23/24 Funding: $1,396,050 R-4 & R-7 Reservoir Upgrades Sewer Active Projects: Annual Sewer Line Repair/Replace $331,038 Annual Sewer Manhole Rehabilitation $190,503 Butterfield Trail Sewer Upsize FY 23/24 Proposed Projects: Treatment Plant Sludge Discharge Study $25,000 Camino De Valle Lift Station Upgrades Assessment $45,000 Camino De Valle Lift Station MCC Rebuild Assessment $50,000 Wastewater Collection System Infiltration & Inflow Study $75,000 Total FY 23/24 Funding: $716,541 FY 2023-24 CIP Project Funding Streets $1,635,700 Drainage $580,000 Water $1,396,050 Sewer $716,541 Public Facilities: $6,760,663 Parks, Safety, & Communications $3,388,823 Renovations $3,374,840 Total FY 2023-24 CIP Funding: $11,088,954 Questions?