HomeMy WebLinkAbout2013 09 04 Public Hearing 501 5-year Capital Improvements ProgramPLANNING & ZONING BOARD /
LOCAL PLANNING AGENCY
ITEM 501
September 4, 2013
Meeting
Consent
Information
Public Hearing
X
Regular
REQUEST: The Community Development Department — Planning Division requests that the Local
Planning Agency review the preliminary Five -Year Capital Improvements Program for FY 2014
through FY 2019.
SYNOPSIS: All major capital project requests are to be submitted for review and recommendation by
the Local Planning Agency. Staff from the various departments making requests will be in attendance
to answer questions.
CONSIDERATIONS:
APPLICABLE LAW, PUBLIC POLICY, AND EVENTS
Section 2(b), Article VIII, of the State Constitution. Municipal Home Rule Powers Act
Section 166 041, Florida Statutes. Procedures for adoption of ordinances and resolutions
Winter Springs Charter, Article IV. Governing Body.
Winter Springs Charter, Article VII. Financial Procedure.
City of Winter Springs Comprehensive Plan
FINDINGS
The Capital Improvements Program (CIP) furthers the City's legitimate government purpose of meeting
the demands for new and properly maintained infrastructure and facilities in a fiscally responsible
manner and in furtherance of section 166.021, Florida Statutes.
The CIP is the vehicle that links capital expenditures with adopted public policy. The CIP neither
appropriates funds nor authorizes projects; it is a planning document. The CIP integrates planning for
significant capital or operating projects with financial planning into a multi -year schedule of projects. It
is used as an alternative to considering individual projects one -at -a -time without reference to overall
community priorities or fiscal capacity.
The CIP is the primary tool for implementing City Commission initiatives and reflects the various
master plans that serve as a blueprint for future capital investment. The proposed CIP also serves as the
companion to the Capital Improvements Element of the Comprehensive Plan, which outlines capital
improvements that are required to maintain adopted levels of service and keep pace with community
growth.
September 4, 2013
Public Hearing Agenda Item 501
Page 2 of 5
Each capital improvement is described, listed by year it is to be purchased or commenced, the amount
to be spent per year, and the method of financing. The list is prioritized over the 5 -year period and is
reviewed and updated annually. The adoption of the CIP does not commit the City to expenditures or
appropriations beyond the first year (which will be included in the forthcoming Adopted FY2014
budget).
What is Included?
• Projects that cost more than $50,000, and
• Projects identified in the Comprehensive Plan that are necessary to meet Levels of Service
(LOS) [elimination of existing deficiencies];
• Projects which increase the capacity or efficiency of existing infrastructure;
• Projects which replace failing infrastructure [the repair and replacement of existing public
facilities]; and /or
• Projects which enhance facilities and infrastructure [the provision for new public facilities].
Items may include:
• New and expanded facilities;
• Rehabilitation or replacement of existing facilities;
• Major pieces of equipment;
• Cost of professional studies related to the improvement; and /or
• Acquisition of land related to a community facility.
Priorities of Capital Improvements
The biggest priority for the capital program is ensuring that facilities currently meet adopted Level of
Service (LOS) standards and that they will continue to do so in the future as growth occurs or other
conditions change.
TRANSPORTATION FACILITIES- The City shall use Quality/Level of Service (Q/LOS) for
monitoring purposes in order to identify where multimodal improvements are needed, for guiding
capital improvements facility /operations planning to achieve and maintain mobility, to reduce
greenhouse gases, and to assist in determining a fair share that a development should contribute to
the achievement of these mobility strategies.
Roadway QILOS. The following minimum Roadway Q/LOS standards are applicable to all
TCEA Zones for monitoring intersection capacity based on annual average daily trips (AADT)
and peak hour maximum service volumes:
• Limited Access Highways D
• Arterials E
• Collectors D
• Local Roads D
Transit QILOS. Coordinate with METROPLAN ORLANDO and LYNX to assist the County
in maintaining the County's minimum Q/LOS standard for transit applicable to the citywide
TCEA, to link urban centers and neighborhoods to nearby LYNX stops and subsequently to
commuter rail. Work toward a long range vision of implementing higher capacity transit
modes, such as bus rapid transit (BRT) along Seminole Way (SR 417) and between Zones A &
B:
September 4, 2013
Public Hearing Agenda Item 501
Page 3 of 5
Fixed Route Public Transit Initial 2030
Link 103 Altamonte Station 15 -min. headway (2013) No Change
Link 434 Crosstown 60 -min. headway (2010) 30 -min. headway
Seminole Way BRT N/A 15 -min. headway
PickUpDne (PUL) Transit Initial 2030
Tuskawilla/Red Bug Lake Rd N/A 60 -min headway(2 hr adv)
Pedestrian Q /LOS. The pedestrian QLLOS shall be the presence of pedestrian paths /sidewalks
on both sides of roadways in areas of new development or within' /4 mile of existing schools,
parks, or transit fixed service routes and shall be considered a QLOS standard of `B ". The
QLLOS is not a standard that is intended to be achieved on an annual basis, but rather as an
objective to be achieved by 2030.
Bicycle Q /LOS. The bicycle QLLOS shall be the presence of designated bike lanes, bike routes,
and /or multi -use paths or trails, which run the length of the City in an east -west, north -south
grid pattern at 1 -1/2 mile intervals. The provision of this citywide network shall be considered a
QLOS standard of `B ". The QLOS is not a standard that is intended to be achieved on an
annual basis, but rather as an objective to be achieved by 2030.
SANITARY SEWER- 100 gallons per person per day.
POTABLE WATER- 115 gallons (minimum) per person per day.
SOLID WASTE- 3.7 pounds per person per day.
STORMWATER MANAGEMENT (DRAINAGE)-
Water Quantity - Peak post - development runoff rate shall not exceed peak pre - development
runoff rate for the 25 -year, 24 -hour storm event. Each development shall accommodate its
proportion of basin runoff rate above the downstream systems actual capacity.
Water Quality - Stormwater treatment system which meets the requirements of the Florida
Administrative Code (F.A.C.) and which is site - specific or serve sub -areas of the City.
Roadway construction - All public roadways within a development shall be designed and
constructed to standards which do not allow any amount of water above the roadway centerline
during the following storm events for the following roadway types:
Local Roadway — 25 -year, 24 -hour design storm event (8.6 inches of rainfall).
Collector Roadway — 25 -year, 24 -hour design storm event (8.6 inches of rainfall).
Arterial Roadway — 100 -year, 24 -hour design storm event (10.6 inches of rainfall).
PARKS AND RECREATION-
Parks- 8 acres (total public park and recreation land acreage, including open space) per 1,000
residents. The City may utilize State and county park lands and trails that are located within the
City's jurisdictional boundaries. This standard includes both passive and active recreation lands.
City Owned Open Space- 4 acres per 1, 000 residents. Open space is defined as "undeveloped
lands suitable for passive recreation or conservation ".
September 4, 2013
Public Hearing Agenda Item 501
Page 4 of 5
SCHOOL CAPACITY- as established by the Seminole County School Board- 100% ofthe aggregate
permanent Florida Inventory of School Houses (FISH) capacity for each school type within each
Concurrency Service Area, except for high schools which are established at 110% of the aggregate
permanent FISH capacity for 2008 -2012 in order to financially achieve the desired LOS.
The following thresholds shall be used to target initiation and budgeting of construction and /or
purchase of capital facilities to meet projected future needs based on adopted LOS standards:
• SANITARY SEWER- 75 % of available capacity is being utilized.
• POTABLE WATER- 75 % of available capacity is being utilized.
• PARKS AND RECREATION- Park lands when 95 % of available land area is utilized or when 90
% of the population exists in areas in need of new park acreage.
Ranking of Proposed Capital Improvements
The following criteria were used by each Department Head in evaluating and ranking their list of capital
improvement projects:
■ [8 pts.] Does the project eliminate (or assist in the elimination of) proven or obvious dangers to
public or employee health or safety? [CIE, p. 1.1.3]; or
■ [6 pts.] Does the project raise a service or facility to an adopted Level of Service by eliminating
(or assist in the elimination of) existing capacity deficits? [CIE, p. 1.1.3]; or
■ [4 pts.] Does the project maintain adopted Level of Service standards in already developed
areas by increasing the efficiency of existing facilities or infrastructure? [CIE, p. 1.1.3 ] Will the
project accommodate redevelopment Level of Service demands ?; or
■ [2 pts.] Does the project represent a logical extension of facilities to accommodate projected
growth and new development demands by providing comparable Level of Service in developing
areas? [CIE, p. 1.1.3].
In addition, add two pts. for each, as applicable:
■ [2 pts.] Is the project financially feasible (meaning, does the project have committed funding?
[CIE, p. 1.1.3]; and
■ [2 pts.] Is the project coordinated with major projects of other agencies? Does the project
accommodate plans of state agencies and water management districts that provide public
facilities within the local government's jurisdiction? [CIE, p. 1.1.3]; and
■ [2 pts.] Does the project specifically implement one or more policies of the Comprehensive Plan
pertaining to concurrency requirements? [CIE, p. 1.1.3].
FISCAL IMPACT:
The Capital Improvements Program (CIP) is a 6 -year schedule of improvements that includes the
Capital Improvements Element Schedule and all other capital projects to be funded by the City. There
is no immediate fiscal impact directly associated with this agenda item.
COMMUNICATION EFFORTS:
This Agenda Item Has Been Electronically Forwarded To The Mayor And City Commission, City
Manager, City Attorney /Staff, And All eAlert /eCitizen Recipients; And Is Available On The City's
Website, LaserFiche, And The City's Server. Additionally, Portions Of This Agenda Item Are Typed
Verbatim On The Respective Meeting Agenda Which Has Also Been Electronically Forwarded To The
Individuals Noted Above; And Which Is Also Available On The City's Website, LaserFiche, And The
September 4, 2013
Public Hearing Agenda Item 501
Page 5 of 5
City's Server; Has Been Sent To City Staff, Media/Press Representatives Who Have Requested
Agendas /Agenda Item Information, Homeowner's Associations/Representatives On File With The City,
And All Individuals Who Have Requested Such Information; And Has Been Posted Outside City Hall;
Posted Inside City Hall With Additional Copies Available For The General Public; And Posted At Five
(5) Different Locations Around The City. This Agenda Item Is Also Available To Any New Individual
Requestors. City Staff Is Always Willing To Discuss This Or Any Agenda Item With Any Interested
Individuals.
STAFF RECOMMENDATION:
Staff recommends that the P &Z/Local Planning Agency hold a Public Hearing and make a
recommendation to the City Commission related to the preliminary Capital Improvements Program
for FY 2014 thru FY 2019.
ATTACHMENTS:
A. Preliminary Capital Improvements Program, FY 2014 thru FY 2019
CITY OF WINTER SPRINGS
CAPITAL IMPROVEMENTS ELEMENT
Table IX -1: Citv of Winter Springs Five -Year Schedule of Capital Improvements (SCI) FY 2013/2014- 2018/2019
Project Name
LOS
Funding
Description/ Justification
Location
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
Project Name
Purpose
Source
Description /Justification
Location
Score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
(Years 1 -5)
Reference
LOS: PARKS & RECREATION
Artesian Well
FUTURE
UEF
Outdoor amphitheatre furthers the network of
Parkstone
6
$ 275,000
$ -
$ -
$ -
$ -
$ 275,000
IE IV.B.3; IE IV.B.3.2;
Connection
public green spaces that form the framework for
FLUE 1.3.1
the Town Center and promotes & expands trail
ROS- 1.1.1; ROS -1.4;
Magnolia Park
FUTURE
CF -305 &
system; Improves recreational opportunities
Winter Springs
10
$ 1,217,125
$ -
$ -
$ -
$ -
$ 1,217,125
ROS- 1.5.2; FLUE- 1.3.1;
1CTX
consistent with the recreational needs of
Town Center
FLUE - 2.1.5; FLUE -
residents; Is a catalyst for private development in
2.2.3; CIE- 1.3.1
the Town Center; Accomodates growth through
additional acreage for active recreation [LOS].
Total
$ 1,217,125
$ -
$ -
$ -
$ -
$ 1,217,125
LOS: POTABLE WATER
New Variable Frequency
REPLCMT
UEF
Control upgrades.
WTP
6
$ 90,000
$ 75,000
$ -
$ -
$ -
$ 165 000
CIE 1.6.1; IE IV.B.2;
Controls WTP #3 /WWRF
#3 /WWRF
IE IV.B.2.1
WTP #1 Treatment
FUTURE
UEF
Process Control Improvements to meet new
WTP #1
6
$ -
$ 300,000
$ 1,500,000
$ 1,500,000
$ -
$ 3,300 000
CIE 1.6.1; IE IV.B.2;
Improvements
Federal water quality standards
IE IV.B.2.1
Administration Building
Construct Admin Building at Public Works
Pulbic Works
at Public Works
FUTURE
311
Compound to Centralize Management Team and
6
$ 965,000
$ -
$ -
$ -
$ -
$ 965,000
IE IV.B.3.2; FLUE 1.3.1;
Compound
eliminate Rental Trailer
Compound
Total
$ 1,055,000
$ 375,000
$ 1,500,000
$ 1,500,000
$ -
$ 4,430,000
LOS: SANITARY SEWER
West Force Main
FUTURE
Project needed to meet future demand; Bolsters
Lift Station 10
8
$
$ 210,000
210,000
HE 1.3.9; IE IV.A.4.3;
FLUE 1.3.1; CIE 1.3.3;
Rerouting / Design
UEF
service to new growth; Improves efficiency.
Discharge
-
-
$ -
$
IE IV.A.1.5; HE 1.19
East Force Main
FUTURE
UEF &
Project needed to meet future demand; Bolsters
Tuskawilla
8
$ 567,000
$
$ 300,000
$
$
867,000
HE 1.3.9; IE IV.A.4.3;
FLUE 1.3.1; CIE 1.3.3;
Rerouting / Design
UCF
service to new growth; Improves efficiency.
-
-
-
$
IE IV.A.1.5; HE 1.19
Artesian Well
FUTURE
UEF
Connect free flowing artesian well to reclaimed
Parkstone
6
$ 275,000
$ -
$ -
$ -
$ 275,000
IE IV.B.3; IE IV.B.3.2;
Connection
water augmentation system
FLUE 1.3.1
Lift Station #7 Upgrades
REPLCMT
UEF
Major maintenance to master pump station.
Lift Station #7 -
S. Edgemon
6
$ 90,000
$ -
$ -
$ -
$ -
$ 90,000
CIE 1.6.1; IE IV.B.2;
Avenue
IE IV.B.2.1
Pond Relining
REPLCMT
UEF
Major maintenance reject pond at East WRF
East WRF
6
$ 260,000
$ 260,000
CIE 1.6.1; IE IV.B.2;
IE IV.B.2.1
Sewer Relining
REPLCMT
UEF
Sewer Relining
Various
6
$ 200,000
$ 200,000
$ 200,000
$ 200,000
$ 200,000
$ 1,000,000
CIE 1.6.1; IE IV.B.2;
IE IV.B.2.1
WWRF Sand Filter
REPLACE
UEF
Project needed to meet future demand; Increases
WWRF
6
$
$
$
$ 250,000
$
$ 250,000
HE 1.3.9; FLUE 1.3.1;
CIE 1.3.3; IE IV.A.1.5;
capacity for new growth; Improves efficiency.
-
-
-
-
HE 1.19
Total
$ -
$ -
$ -
$ 210,000
1 $ -
$ 210,000
Project Name
LOS
Funding
Description/ Justification
Location
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
Project Name
Purpose
Source
Description/ Justification
Location
Score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
(Years 1 -5)
Reference
LOS: RECLAIMED WATER
Artesian Well
FUTURE
UEF
Connect free flowing artesian well to reclaimed
Parkstone
6
$ 275,000
$ -
$ -
$ -
$ -
$ 275,000
IE IV.B.3; IE IV.B.3.2;
Connection
water augmentation system
FLUE 1.3.1
Project Name
LOS
Purpose
Funding
Source
Description/ Justification
Location
Ranking
Score
Year 1
2014/2015
Year 2
2015/2016
Year 3
2016/2017
Year 4
2017/2018
Year 5
2018/2019
TOTALS
(Years 1 -5)
Comprehensive Plan
Reference
LOS: SOLID WASTE
Total
$ -
$ -
$ -
$ -
$ -
$ -
VIII -13
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENTS ELEMENT
VIII -14
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENTS ELEMENT
LOS
Funding
Funding Sources:
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
Project Name
Purpose
Source
Description/ Justification
Location
Score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
(Years 1 -5)
Reference
LOS: STORMWATER
Local Option Gas Tax (Transportation Improvement Fund
TMDL Water Quality
FUTURE
SUF
Mandate to meet State water quality regulations;
City Wide
6
$ 25,000
$ 50,000
$ 50,000
$ -
$ -
$ 125,000.00
CIE 1.3.2; IE IV.D.1.1;
Management Projects
Improves surface water quality.
CE 1.3.2
Ranchlands Swale
REPLACE
SUF
Major maintenance enabling efficient operation.
Ranchlands
6
$ 50,000
$ 50 000.00
CIE 1.3.2; CIE 1.6.1;
Improvements
FLUE 1.3.1; HE 1.1.9
Lombardy Canal Piping
REPLACE
SUF
Major maintenance enabling efficient operation.
Lombardy
6
$ 300,000
$ -
$' -
$ -
$ 300 000.00
CIE 1.3.2; CIE 1.6.1;
Road area
FLUE 1.3.1; HE 1.1.9
Total
$ 375,000
$ 50,000
$ 50,000
$ -
$ -
$ 475,000
LOS: TRANSPORTATION
SR 434 & Consolidated
EXISTING
1CTX
Addresses existing deficiency on SR 434 with
SR 434 & Bus
6
$ 75,000
$
$
$
$
$ 75,000
CIE 1.3.1; CIE 1.6.1;
Services Traffic Signal
upgraded traffic signals.
Barn
-
-
-
-
FLUE 1.3.1;
Improvements
Doran Drive (Blumberg to high school) -
CIE CIE 1.6.1;
Doran Drive
REPLCMT
1CTX
Refurbishes collector road so that existing LOS is
Town Center
6
$ 200,000
$ 200,000
maintained.
FLUE 1
1..33 .1;
GID
FUTURE
1CTX
Road Networks to Serve GID
GID
6
$ 500,000
$ 700,000
$ 700,000
$' -
$ -
$ 1,900,000
HE 1.1.9; CIE 1.3.1;
FLUE 1.3.1
Residential Road
REPLCMT
1CTX
Rebuilds existing neighborhood streets so that
Various
6
$ 200,000
$ 200 000
CIE 1.3.1; CIE 1.6.1;
Reconstruction
transportation network is maintained.
FLUE 1.3.1;
North Moss Road
REPLCMT
1CTX
Major maintenance- Refurbishes collector road so
Moss Road
6
$ 200,000
$' -
-
$ 200 000
CIE 1.3.1; CIE 1.6.1;
that existing LOS is maintained.
FLUE 1.3.1;
Residential Road
REPLCMT
LOGT
Rebuilds existing neighborhood streets so that
Various
6
$ 150,000
$ 350,000
$ 350,000
$ 350,000
$ 350,000
$ 1,550 000
CIE 1.3.1; CIE 1.6.1;
Reconstruction
transportation network is maintained.
FLUE 1.3.1;
Tractor
REPLCMT
LOGT
Replace Tractor used for mowing Rights of Way
PWC
6
$ 75,000
$ -
-
$ -
$ -
$ 75,000
CIE 1.3.1; CIE 1.6.1;
FLUE 1.3.1;
Services future demand and addresses future
Town
CIE 1.7; CIE 1.7.4;
Orange Avenue
FUTURE
TIMF
deficiency of SR 434 by expanding
Center /Central
6
$ 60,000
$ 200,000
$ 1,500,000
$ 1,760,000
FLUE 1.3.1; TE 1.2;
Extension
interconnecting collector road network in Town
Winds Park
TE 1.2.4; TE 1.3
Center to reduce demand on SR 434.
Addresses future deficiency of SR 434 by adding
SR 434 &
TE 1; TE 1.2; CIE 1.3.1;
Tuscora Decel Lane
FUTURE
TIMF
a deceleration lane to ensure adequate movement
Tuscora Drive
6
$ 200,000
$ 200,000
CIE 1.6.1; FLUE 1.3.1;
of people and goods.
Total
$ 1,710,000
$ 1,250,000
$ 1,050,000
$ 350,000
$ 1,850,000
$ 6,410,000
VIII -14
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENTS ELEMENT
L E G E N D:
Funding Sources:
Funding Sources:
1 CTX
One Cent Sales Tax (Road Improvement Fund) - 115
PIMF
Park & Rec Impact Fee Fund
CF -305
1999 Construction Capital Project Fund - 305
R &R
Utility Renewal & Replacement Fund
FDOT
Florida Dept of Transportation
TLBD
Assessment District (Tuscawilla Lighting & Beautifictn)
GNF
General Fund
UCF
Utility Construction Fund
GIRT
Grants & CDBG
UEF
Utility Enterprise Fund
LGTX
Local Option Gas Tax (Transportation Improvement Fund
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
Table IX -2: Five -Year Schedule of Capital Imarovements (SCI) FY 2013/2014 - 2018/2019 by Fund
CAPITAL IMPROVEMENTS ELEMENT
Project Name
LOS
Funding
Description/ Justification
Location
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
Category
Source
score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
Reference
1CTX - ONE CENT SALES TAX (ROAD IMPROVEMENT FUND) - 115
SR 434 & Consolidated
Services Traffic Signal
EXISTING
1 CTX
Addresses existing deficiency on SR 434 with
SR 434 & Bus
6
$ 75,000
-
$ -
$ -
$ -
$ 75,000
CIE 1.3.1; CIE 1.6.1;
Improvements
upgraded traffic signals.
Barn
FLUE 1.3.1;
Doran Drive (Blumberg to high school)-
CIE 1.3.1; CIE 1.6.1;
Doran Drive
REPLCMT
1CTX
Refurbishes collector road so that existing LOS is
Town Center
6
$ 200,000
$ 200,000
FLUE 1.3.1;
maintained.
GID
FUTURE
1CTX
Road Networks to Serve GID
GID
6
$ 500,000
$ 700,000
$ 700,000
$ -
$ -
$ 1,900,000
HE 1.1.9; CIE 1.3.1;
FLUE 1.3.1
Residential Road
REPLCMT
1CTX
Rebuilds existing neighborhood streets so that
Various
6
$ 200,000
$ 200,000
CIE 1.3.1; CIE 1.6.1;
Reconstruction
transportation network is maintained.
FLUE 1.3.1;
North Moss Road
REPLCMT
1CTX
Major maintenance- Refurbishes collector road so
Moss Road
6
$ 200,000
$ -
$ -
$ 200,000
CIE 1.3.1; CIE 1.6.1;
that existing LOS is maintained.
FLUE 1.3.1;
Outdoor amphitheatre furthers the network of
public green spaces that form the framework for
the Town Center and promotes & expands trail
ROS- 1.1.1; ROS -1.4;
Magnolia Park
FUTURE
1CTX
system; Improves recreational opportunities
Winter Springs
10
$ 300,000
$ -
$ -
-
$ 300,000
ROS- 1.5.2; FLUE- 1.3.1;
consistent with the recreational needs of residents;
Town Center
FLUE - 2.1.5; FLUE- 2.2.3;
Is a catalyst for private development in the Town
CIE- 1.3.1
Center; Accomodates growth through additional
acreage for active recreation [LOS].
TOTAL 1CTX EXPENSE
$ 1,725,000
$ 700,000
1 $ 700,000
1 $ -
$ -
$ 3,125,000
TOTAL 1CTX REVENUE
$ 3,200,000
1 $ -
1 $ -
1 $
1 $
1 $ 3,200,000
BND-BONDS
TOTAL BND EXPENSE
$
-
$ -
1 $
1 $
1 $ -
TOTAL BND REVENUE
I
I
1
1 $ -
1 $
1 $ -
1 $
1 $
1 $ -
CF -305 1999 CONSTRUCTION CAPITAL PROJECT FUND
Outdoor amphitheatre furthers the network of
public green spaces that form the framework for
the Town Center and promotes & expands trail
ROS- 1.1.1; ROS -1.4;
Magnolia Park
FUTURE
CF -305
system; Improves recreational opportunities
Winter Springs
10
$ 917,125
$ -
$ -
$ -
$ -
$ 917,125
ROS- 1.5.2; FLUE- 1.3.1;
consistent with the recreational needs of residents;
Town Center
FLUE - 2.1.5; FLUE- 2.2.3;
Is a catalyst for private development in the Town
CIE- 1.3.1
Center; Accomodates growth through additional
acreage for active recreation [LOS].
TOTAL CF -305
EXPENSE
1
$ 917,125
$ -
$ -
$ -
$ -
$ 917,125
TOTAL CF -305 REVENUE
1
1$ 917,125
$ -
1 $ -
$ -
$ 917,125
VIII -16
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENTS ELEMENT
Project Name
LOS
Funding
Description/ Justification
Location
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
Category
Source
score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
Reference
FDOT - FLORIDA DEPT OF TRANSPORTATION
TOTAL FDOT EXPENSE
$ -
$ -
$ -
$ -
$ -
$ -
TOTAL FDOT REVENUE
$ -
$ -
$ -
$ -
$ -
GRT - GRANTS & CDBG
TOTAL GRT EXPENSE
is -
is -
1 $
is -
$ -
$ -
T O T A L GRT REVENUE
1
1
1$ 602,000
1 $ 200,000
1 $ 135,611
1 $ -
$ -
$ 937,611
PIMF - PARK & REC IMPACT FEE FUND
TOTAL P I M F EXPENSE
1
1$ -
$ -
$ -
$ -
$ -
$ -
TOTAL P I M F REVENUE
$ 125,500
1 $ 115,000
1 $ 100,000
1 $ 110,000
1 $ 115,000
1 $ 565,500
SUF - STORMWATER UTILITY (ENTERPRISE) FUND
TMDL Water Quality
FUTURE
SUF
Mandate to meet State water quality regulations;
City Wide
6
$ 25,000
$ 50,000
$ 50,000
$ -
$ -
$ 125,000.00
CIE 1.3.2; IE IV-D-1.1;
Management Projects
Improves surface water quality.
CE 1.3.2
Ranchlands Swale
REPLACE
SUF
Major maintenance enabling efficient operation.
Ranchlands
6
$ 50,000
$ 50 000.00
CIE 1.3.2; CIE 1.6.1;
Improvements
FLUE 1.3.1; HE 1.1.9
Lombardy Canal Piping
REPLACE
SUF
Major maintenance enabling efficient operation.
Lombardy Road
6
$ 300,000
$ -
$ -
$ -
$ 300,000.00
CIE 1.3.2; CIE 1.6.1;
area
FLUE 1.3.1; HE 1.1.9
TOTAL SUF EXPENSE
$ 375 000
$ 50,000
$ '50,00
$ -
$ -
$ 475,000
TOTAL SUF REVENUE
I
$ 1,035,000
1 $ 1,040,000
1 $ 1,042,000
1 $ 1,045,000
1 $ 1,047,000
1 $ 5,209,000
TIMF - TRANSPORTATION IMPACT FEE FUND
Addresses future deficiency of SR 434 by adding a
SR 434 &
TE 1; TE 1.2; CIE 1.3.1;
Tuscora Decel Lane
FUTURE
TIMF
deceleration lane to ensure adequate movement of
people and goods.
Tuscora Drive
6
$ 200,000
$ 200,000
CIE 1.6.1; FLUE 1.3.1;
Services future demand and addresses future
Town
CIE 1.7; CIE 1.7.4;
Orange Avenue
FUTURE
TIMF
deficiency of SR 434 by expanding interconnecting
Center /Central
6
$ 60,000
$ 200,000
$ 1,500,000
$ 1,760,000
FLUE 1.3.1; TE 1.2;
Extension
collector road network in Town Center to reduce
Winds Park
TE 1.2.4; TE 1.3
demand on SR 434.
TOTAL T I M F E
X P E N S L
$ 260,000
$ 200,000
$ -
1 $ -
1 $ 1,500,000
$ 1,960,000
TOTAL T I M F REVENUE
$ 662,450
$ 410,000
$ 360,000
1 $ 390,000
1 $ 400,000
$ 2,222,450
III-
CITY OF WINTER SPRINGS
COMPREHENSIVE PLAN
CAPITAL IMPROVEMENTS ELEMENT
Project Name
LOS
Funding
Description/ Justification
Location
Ranking
Year 1
Year 2
Year 3
Year 4
Year 5
TOTALS
Comprehensive Plan
IE IV.B.3.2; FLUE 1.3.1;
Category
Source
311
Compound to Centralize Management Team and
eliminate Rental Trailer
score
2014/2015
2015/2016
2016/2017
2017/2018
2018/2019
$ -
Reference
LOGT - LOCAL OPTION GAS TAX /TRANSPORTATION IMPROVEMENT FUND
Residential Road
REPLCMT
LOGT
Rebuilds existing neighborhood streets so that
Various
6
$ 150,000
$ 350,000
$ 350,000
$ 350,000
$ 350,000
$ 1,550,000
CIE 1.3.1; CIE 1.6.1;
Reconstruction
I
transportation network is maintained.
$ 965,000
1 $
1 $
1 $
1 $
1 $ 965,000
UEF - UTILITY ENTERPRISE FUND
FLUE 1.3.1;
Tractor
REPLCMT
LOGT
Replace Tractor used for mowing Rights of Way
PWC
6
$ 75,000
$ -
$ -
-
$ -
$ 75,000
CIE 1.3.1; CIE 1.6.1;
water augmentation system
FLUE 1.3.1
FLUE 1.3.1;
TOTAL LOGT EXPENSE
UEF
Major maintenance to master pump station.
Lift Station #7 -
S. Edgemon
6
$ 90,000
$ 225,000
$ -
$ -
$ -
$ -
$ 1,625,000
TOTAL LOGT REVENUE
Avenue
$ 500,000
$ 500,000
$ 500,000
$ 500,000
$ 500,000
$ 2,500,000
311 FUND - UTILTY /PUBLIC WORKS FACILITY
Administration Building at
Construct Admin Building at Public Works
Pulbic Works
1CTX
One Cent Sales Tax (Road Improvement Fund) - 115
PIMF
Park & Rec Impact Fee Fund
CF -305
1999 Construction Capital Project Fund - 305
R &R
IE IV.B.3.2; FLUE 1.3.1;
Public or Compound
FUTURE
311
Compound to Centralize Management Team and
eliminate Rental Trailer
Compound
6
$ 965,000
$ -
$ -
-
$ -
$ 965,000
IE IV.B.3.2; FLUE 1.3.1;
TOTAL UCF EXPENSE
I
$ 965,000
$
I $
I $
I $
I $ 965,000
11TOTAL UCF REVENUE
I
$ 965,000
1 $
1 $
1 $
1 $
1 $ 965,000
UCF - UTILITY CONSTRUCTION FUND
East Force Main
Increase Force Main Capacity to Serve GID and
Northern
1CTX
One Cent Sales Tax (Road Improvement Fund) - 115
PIMF
Park & Rec Impact Fee Fund
CF -305
1999 Construction Capital Project Fund - 305
R &R
IE IV.B.3.2; FLUE 1.3.1;
Improvements
FUTURE
UCF
alleviate current LOS deficiencies
Way /Vistawilla
Drive
6
$ 157,000
$ -
$ -
-
$ -
$ 157,000
HE 1.3.9; IE IV.E.1.7;
CE 1.2.8
TOTAL UCF EXPENSE
I
$ 157,000
$
I $ -
$ -
$ -
$ 157,000
TOTAL UCF REVENUE
I
$ 157,000
1
1 $ -
$ -
$ -
$ 157,000
UEF - UTILITY ENTERPRISE FUND
Artesian Well Connection
FUTURE
UEF
Connect free flowing artesian well to reclaimed
Parkstone
6
$ 275,000
$ -
$ -
$ -
$ 275,000
IE IV.B.3; IE IV.B.3.2;
water augmentation system
FLUE 1.3.1
Lift Station #7 Upgrades
REPLCMT
UEF
Major maintenance to master pump station.
Lift Station #7 -
S. Edgemon
6
$ 90,000
-
$ -
$ -
$ -
$ 90,000
CIE 1.6.1; IE IV.B.2;
Avenue
IE IV.B.2.1
Pond Relining
REPLCMT
UEF
Major maintenance reject pond at East WRF
East WRF
6
$ 260,000
$ 260,000
CIE 1.6.1; IE IV.B.2;
IE IV.B.2.1
Sewer Relining
REPLCMT
UEF
Sewer Relining
Various
6
$ 200,000
$ 200,000
$ 200,000
$ 200,000
$ 200,000
$ 1,000,000
CIE 1.6.1; IE IV.B.2;
IE IV.B.2.1
New Variable Frequency
REPLCMT
UEF
Control upgrades.
WTP
6
$ 90,000
$ 75,000
$ -
$ -
$ -
$ 165 000
CIE 1.6.1; IE IV.B.2;
Controls WTP #3 /WWRF
#3 /WWRF
IE IV.B.2.1
WTP #1 Treatment
FUTURE
UEF
Process Control Improvements to meet new
WTP #1
6
$ -
$ 300,000
$ 1,500,000
$ 1,500,000
$ -
$ 3 300 000
CIE 1.6.1; IE IV.B.2;
Improvements
Federal water quality standards
IE IV.B.2.1
West Force Main
FUTURE
UEF
Project needed to meet future demand; Bolsters
Lift Station 10
8
$
$ 210,000
$
$ 210,000
HE 1.3.9; IE IV.A.4.3;
FLUE 1.3.1; CIE 1.3.3;
Rerouting / Design
service to new growth; Improves efficiency.
Discharge
-
-
-
IE IV.A.1.5; HE 1.19
East Force Main
Project needed to meet future demand; Bolsters
8
$ 410,000
$
$ 300,000
$
$ 710,000
HE 1.3.9; IE IV.A.4.3;
Rerouting / Design
FUTURE
UEF
service to new growth; Improves efficiency.
Tuskawilla
-
-
-
FLUE 1.3.1; CIE 1.3.3;
IE IV.A.1.5; HE 1.19
Project needed to meet future demand; Increases
HE 1.3.9; FLUE 1.3.1;
WWRF and Filter
REPLACE
UEF
capacity for new growth; Improves efficiency.
WWRF
6
$ -
-
$ -
$ 250,000
$ -
$ 250,000
CIE 1.3.3; IE IV.A.1.5;
HE 1.19
TOTAL UEF EXPENSE
$ 1,325,000
$ 575,000
$ 2,000,000
$ 2,160,000
$ 200,000t-$--
00 000
$ 6,260,000
TOTAL UEF REVENUE
$ 8,072,150
$ 8,750,000
$ 8,775,000
$ 8,800,000
1 $ 8,825,000
1 $ 43,222,150
VIII -18
L E G E N D:
Funding Sources:
Funding Sources:
1CTX
One Cent Sales Tax (Road Improvement Fund) - 115
PIMF
Park & Rec Impact Fee Fund
CF -305
1999 Construction Capital Project Fund - 305
R &R
Utility Renewal & Replacement Fund
FDOT
Florida Dept of Transportation
TLBD
Assessment District ( Tuscawilla Lighting & Beautifictn)
GIRT
Grants & CDBG
UCF
Utility Construction Fund
LGTX
Local Option Gas Tax (Transportation Improvement Fund
UEF
Utility Enterprise
VIII -18