City of Albuquerque
File #: R-19-142   
Type: Resolution Status: Enacted
File created: 4/15/2019 In control: City Council
Final action: 6/3/2019
Enactment date: 6/19/2019 Enactment #: R-2019-039
Title: Amending The Adopted Capital Implementation Program Of The City Of Albuquerque By Approving New Projects, Supplementing Current Appropriations And Changing The Scope Of Existing Projects (Pe?a, Davis, Sanchez)
Attachments: 1. R-142, 2. R-142Enacted
Date Action ByActionResultAction Details
6/19/2019 City Clerk Published  Action details
6/17/2019 Mayor Signed by the Mayor  Action details
6/11/2019 City Council Sent to Mayor for Signature  Action details
6/3/2019 City Council Passed as AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
6/3/2019 City Council AmendedPass Action details
5/20/2019 City Council MotionPass Action details
4/15/2019 City Council Introduced and Referred  Action details
4/15/2019 President Referred  Action details

CITY of ALBUQUERQUE

TWENTY-THIRD COUNCIL

 

 

COUNCIL BILL NO.         R-19-142               ENACTMENT NO.   _____________________

 

SPONSORED BY:                     Klarissa J. Peña, Patrick Davis, Ken Sanchez 

 

 

RESOLUTION

title

Amending The Adopted Capital Implementation Program Of The City Of Albuquerque By Approving New Projects, Supplementing Current Appropriations And Changing The Scope Of Existing Projects (Peña, Davis, Sanchez)

body

AMENDING THE ADOPTED CAPITAL IMPLEMENTATION PROGRAM OF THE CITY OF ALBUQUERQUE BY APPROVING NEW PROJECTS, SUPPLEMENTING CURRENT APPROPRIATIONS AND CHANGING THE SCOPE OF EXISTING PROJECTS.

WHEREAS, the Capital Implementation Program of the City of Albuquerque is governed by the requirements established under Section 2-12-4 ROA, 1994, which provides for semiannual amendments to the approved program; and

WHEREAS, appropriations are needed for various purposes including the Cultural Services, Facilities, Family & Community Services, Finance, Storm, Streets, Fire, Parks and Recreation, Planning, Police, Senior Affairs, Solid Waste, Transit; and

WHEREAS, appropriations are needed for continued improvements at the Sunport; and

WHEREAS, Impact Fee revenues now need to be appropriated; and

WHEREAS,   §2-12-1 ROA 1994 establishes as the definition for infrastructure deficiencies the definition adopted through R-2000-37 Section 9 Paragraph C that states, “deficiency projects are projects that correct inadequate service, provide system backup capability, or minimize downtime”; and

WHEREAS, the appropriations of these various funds to projects within their respective purposes are timely and necessary for the City to serve its citizens.

BE IT RESOLVED BY THE COUNCIL, THE GOVERNING BODY OF THE CITY OF ALBUQUERQUE:

Section 1.  That the appropriations are hereby made and/or changed and that decreases in interest/contingency for activities/projects are transfers of revenues to the specific projects as indicated.

                                                                                                                                                                                                                               Increase  Department                                                                                                         Source                                                                         (Decrease)

Aviation

Taxiway E Reconstruction                                                    FAA Grant                                                                                     5,162,965

Taxiway A1 Hold Line Relocation                               Transfer from Fund 611                                 (778,000)                                                                                                                   FAA Grant                                                                1,363,854                                                                                                                   NMDOT                                                                                         76,000

Taxiway F6                                                                                              Transfer from Fund 611                                             580,000                                                                                                                              FAA Grant                                                                                       911,911

Federal Inspection                                                                                    Transfer from Fund 611                                   4,198,000 Cultural Services/Bio Park

Zoo Penguin Exhibit                                                                                    Interest                                                                                       (38,928) Contingency                                                                                               Interest                                                                                                   38,928                     $38,928 of interest for Bio Park shall be used for indirect overhead assessed on state grants.

Cultural Services/BioPark Tax

BioPark Tax Project                                                                                    Interest                                                                          (172,400) BioPark Tax Project                                                                Interest                                                                            172,400                                                                                                                              Contribution                                                                                        30,000 Cultural Services/Library

Library                                                                                                         Interest                                                                                      (16,837)  Contingency                                                                                                         Interest                                                                             16,837                     $16,837 of interest for Library shall be used for indirect overhead assessed on State grants.

Library Materials                                                                                    Miscellaneous Revenue                                          750,000 Juan Tabo Library Improvements                                          13 GO Bonds    

                     The scope of the project is hereby expanded to include improvements at all citywide facilities.

Cultural Services/Museum

Museum                                                                                                         Interest                                                                         (18,820) Contingency                                                                                                         Interest                                                                                     18,820                     $18,820 of interest for Museum shall be used for indirect overhead assessed on state grants.

DMD/CIP

MD Vehicles Replacement                                                                Miscellaneous Revenue                                                  1,604

Alameda Median Landscaping                                          13 GO Bonds    

                     The scope of the project is hereby expanded to include the plan, design, and construct landscaping and aesthetic improvements on city streets and interstate facilities and not be limited to Alameda Boulevard.

DMD/Facilities

Building/Equipment                                                                                     Interest                                                                                     (200,000) City Building Improvement & Rehab                     Interest                                                                                       200,000                                                                                                                              Contribution in Aid                              24,558 DMD/Facilities/Parking

Security Improvement & Rehab                                          Miscellaneous Revenue                          247 DMD/Storm

Storm                                                                                                                              Interest                                                                                     (200,000) NPDES Storm Water                                                                Interest                                                                             200,000 Broadway Pump Station                                                               Miscellaneous Revenue                                               16,500

MS4 Storm Water Implementation                     Contributions                     43,000

North Diversion Channel Indian

                     School Water Quality                     Contribution in Aid                     9,244

Juan Tabo Hills West                     Contribution in Aid                     135,000

Martineztown Storm Drain Rehab                     Contribution in Aid                     47,841

Emergency Action Plans                     09 GO Bonds

     The scope of the project is hereby expanded to include Storm Water Quality.

Emergency Action Plans                     11 GO Bonds

     The scope of the project is hereby expanded to include Storm Water Quality.

Emergency Action Plans                     15 GO Bonds

     The scope of the project is hereby expanded to include Storm Water Quality.

Tower SW Regional Storm Drainage                     13 GO Bonds

The scope of the project is hereby expanded to include city-wide drain

improvements.

DMD/Streets

Streets                     Interest                     (467,220)

Signalization                     Interest                     465,235

                     $1,985 of interest for Streets shall be used for indirect overhead assessed on

State grants.

Reconstruction Major Streets                     Contribution in Aid                     107,536

Replace Street Maintenance

                     Heavy Equipment                     Miscellaneous Revenue                     3,061

Unser Improvements                     Miscellaneous Revenue                     7,000

                                          Contribution in Aid                     1,100,000

Advance Right of Way                     Miscellaneous Revenue                     4,553

SW Arterial Roadway Improvement                     Contribution in Aid                     895,725

NW Arterial Roadway Improvement                     Contribution in Aid                     (151,463)

D5 Street Projects                     Contribution in Aid                     10,000

Alameda Boulevard Widening                     13 GO Bonds

     The scope of the project is hereby expanded to include city-wide improvements.

Rio Grande Candelaria Intersection                     State Grant                     176,000

University Multi Modal Improvement                     Transfer from 305                     340,824

ABQ Complete Streets W Central                     Transfer from 305                     340,824

Zuni Road                                                                                                         State Grant                                                                                       300,000

Municipal Arterial Program                     NMDOT                     210,246

                                          Transfer from 305                     70,082

The project description attached hereto may only be amended as provided by Section 2-12-4-ROA, 1994.

Local Government Road Fund                     NMDOT                     150,000

                                          Transfer from 305                     50,000

                     The project description attached hereto may only be amended as provided by Section 2-12-4-ROA, 1994.

ATSPM Edith and San Pedro                     NMDOT                     820,000

                                          Transfer from 305                     139,738

                     The project description attached hereto may only be amended as provided by

Section 2-12-4-ROA, 1994.

DMD/Streets/Transportation Tax                     

Road Deficiencies                     Transportation Tax                     2,604,957

                     The scope of the project is expanded to include, but is not limited to, the Ladera Road project from Coors to Gavin, including construction of bike lanes, narrowing of the median, roadway rehabilitation, striping, signing, storm drain improvements, and landscaping.

Of the amount reserved for the Channel Road project, $2,000,000 will be released and reserved as follows: $1,000,000 for improvements to Wyoming Boulevard North of Alameda, and $1,000,000 for Road Deficiency projects as determined by the Mayor and/or the Department of Municipal Development.

Road Deficiencies                                                               Transportation Tax                                                          (6,000,000)

District 1 Road Deficiencies                     Transportation Tax                                                               750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 1.

District 2 Road Deficiencies                     Transportation Tax                                                              750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 2.

District 3 Road Deficiencies                     Transportation Tax                                                              750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 3.

District 5 Road Deficiencies                     Transportation Tax                                                              750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 5.

District 6 Road Deficiencies                     Transportation Tax                                                             750,000

                     The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 6.

District 7 Road Deficiencies                     Transportation Tax                                                             750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 7.

District 8 Road Deficiencies                     Transportation Tax                                                             750,000

The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 8.

District 9 Road Deficiencies                                Transportation Tax                                                        750,000

                     The scope of the project is to construct roadway improvements that correct inadequate service, provide system backup capability, or minimize downtime in City Council District 9.

Road Maintenance                     Transportation Tax                     2,257,630

                                          Contribution in Aid                      5,000

                     The scope of the project is hereby expanded to include but not limited to the micro seal at Carlisle North of Montgomery; Cesar Chaves from Yale to I25; Crack Repair at 98th between Blake to Sage and crack repair at Taylor Ranch from South of Montaño.

Road Rehabilitation                     Transportation Tax                     5,383,578

                     The scope of the project is hereby expanded to include the replacement and or repair of sidewalk defects and ADA ramps, including the supplies, equipment, and employees’ salaries necessary. To include but not limited to projects of Mill Inlay or CLMR at Cesar Chavez - I25 to Arenal; Broadway Avenue between Iron and Cesar Chavez; Tramway between Central to Four Hills; 2nd street between Candelaria to Menaul; University-Lomas Intersection and Lomas between Girard to University.

Trails And Bikeways                     Transportation Tax                     868,319

                     The appropriation stated above is to reconcile the appropriation to the amounts actually received and expensed thru FY/18.

Family and Community Services

Citizen Centers                     Interest                     (1,563)

Contingency                     Interest                     1,563

                     $1,563 of interest for Family & Community Services shall be used for indirect overhead assessed on state grants.

Reno Family Community Services

                     & Health Social Services Facilities                     City Property Damage                     13,026

Affordable Housing                     Interest                     (105,133)

Affordable Housing                     Interest                     105,133

Finance & Management

Convention Center LT & HF                     Interest                     (3,062)

Convention Center LT & HF                     Interest                     3,062

Convention Center 15 GRT LT                     Interest                     (33,899)

Convention Center 15 GRT LT                     Interest                     33,899

Fire

Fire                     Interest                     (131,614)

Fire Marshal Software                     Interest                     131,614

                     The project description attached hereto may only be amended as provided by Section 2-12-4-ROA, 1994.

Apparatus Replacement                     17 GO Bond

                     The scope is expanded to include the construction of Fire Station 9. This is not limited to land acquisition, design, infrastructure, construction and equipment of the facility.

Legal

Comcast Fund                     Interest                     (19,029)

Comcast Capital                     Interest                     19,029

Comcast Capital                     Franchise Revenue                     99,987

Parks and Recreation

Parks and Recreation                     Interest                     (5,325)

Contingency                     Interest                     5,325                     $5,325 of interest from Parks and Recreation shall be used for indirect overhead assessed on state grants.

Central Street Trees                     Contribution in Aid                      (100,000)

State Grant                                                                                         100,000

Transfer fund 305                                                                     20,000

Open Space Property                     Transfer from Fund 850                     121,905

Park Irrigation System Reno                     G.O. Bond

                     The scope of the project is hereby expanded to include Park irrigation systems, electrical upgrades, playground upgrades, site furnishings, landscaping, trees, shade structures, and all other associated improvements associated with a park renovation project.

CIP Parks Construction Heavy Equipment

                     The scope of the project is hereby expanded to include the purchase of light equipment, and vehicles for park construction.

New Park Development and Land Acquisition           ’17 GO Bond                     

                     The scope of the project is expanded to include the renovation of existing facilities at North Domingo Baca Park, up to a total amount of $175,000.

Planning

Sawmill Wells Park                      Real Property Sales                     30,000

El Vado/Casa Grande Redevelopment                     11 G.O. Bond

                     The scope of the project is hereby expanded to include acquiring land, planning, designing, demolish, renovating and construction infrastructure and facilities, as well as renovating and implementing improvements, finance development as/or otherwise support private sector redevelopment in Metropolitan Redevelopment Areas in Council District 2, which will enrich the cultural, recreational, educational, civic and entertainment environment and encourage economic development.

El Vado/Casa Grande Redevelopment                     13 G.O. Bond

                     The scope of the project is hereby expanded to include acquiring land, planning, designing, demolish, renovating and construction infrastructure and facilities, as well as renovating and implementing improvements, finance development as/or otherwise support private sector redevelopment in Metropolitan Redevelopment Areas in Council District 2, which will enrich the cultural, recreational, educational, civic and entertainment environment and encourage economic development.

El Vado MRA Project                     

                     The scope of the project is hereby expanded to include acquiring land, planning, designing, demolish, renovating and construction infrastructure and facilities, as well as renovating and implementing improvements, finance development as/or otherwise support private sector redevelopment in Metropolitan Redevelopment Areas in Council District 2, which will enrich the cultural, recreational, educational, civic and entertainment environment and encourage economic development.

East Gateway Metro Redevelopment Plan                                          The scope of the project is hereby expanded to include acquiring land, planning, designing, demolish, renovating and construction infrastructure and facilities, as well as renovating and implementing improvements, finance development as/or otherwise support private sector redevelopment in Metropolitan Redevelopment Areas, which will enrich the cultural, recreational, educational, civic and entertainment environment and encourage economic development.

Planning Metropolitan Redevelopment

MRA Account                      Miscellaneous Revenue                     792,386

The scope of the project is hereby expanded to include training of MRA staff.

Property Management                     Miscellaneous Revenue                     881,866

Office of Economic Development                     Miscellaneous Revenue                     29,920

Albuquerque Development Services                     Miscellaneous Revenue                     1,924

Police

Vehicle Replacement                      Miscellaneous Revenue                     144,886

Senior Affairs

Citizen Centers                     Interest                     (37,316)

Contingency                     Interest                     37,316

                     $37,316 of interest for Senior Affairs shall be used for indirect overhead assessed on state grants.

NW Albuquerque Multi-Generational Center

                     The scope of the project is hereby expanded to include studying, analyzing, planning, designing, constructing, rehabilitating, and purchasing and installing equipment, furniture, vehicles, software and hardware for all senior program facilities to improve, maintain, and enhance and extend the life of the facilities and grounds.

Senior Affairs Facilities Rehabilitation

                     The scope of the project is hereby expanded to include the purchase of software and hardware.

                     Of the amount appropriated for this project, $100,000 is designated for facility improvements at the Don Newton- Taylor Ranch Community Center, including but not limited to, replacement of window blinds and HVAC improvements.

Solid Waste

Solid Waste                     Interest                     (269,983)

Disposal Facilities                     Interest                     269,983

                                          Miscellaneous Revenue                     33,081

Technology and Innovation

15 GRT Revenue Bonds                     Interest                     (363,228)

Voice Over Internet Protocol                     Interest                     363,228

Transit

Transit G.O.                     Interest                     (50,000)

Maintenance Equipment Upgrades

                     and Improvements                      Interest                     50,000

BRT Small Start 5309                     FTA Grant                                                  6,011,972

                                          Transfer from 305                                           2,712,203

Transfer from 341                                       896,313

NMDOT                                                                                         100,000

Contribution in Aid                                                                1,099,030

Transit Enhancement

                     NM-90-X114                     Contribution in Aid                                              5,000

Transit/Transportation Tax

Transfer to Other Funds                          Transportation Infra. Tax               6,251,897

The appropriation stated above is to reconcile the appropriation to the amounts actually received and expensed thru FY/18.

                     Section 2.  That the following Impact Fee revenues and interest are hereby appropriated.

Project Name                                          Amount

Parks, Recreation, Trails and Open Space Facilities

Parks Northeast                     Impact Fee Revenue                     51,589

                                          Interest                     2,975

Parks Southeast                     Impact Fee Revenue                      15,202

                                          Interest                     971

Parks Northwest                     Impact Fee Revenue                      365,813

                                          Interest                     16,794

Parks Southwest                     Impact Fee Revenue                     156,402                                          Interest                     2,950

Trails                     Impact Fee Revenue                     35,279

Open Space                     Impact Fee Revenue                     229,007

                                          Interest                     20,004

                     Sub-total Parks, Recreation, Trails and Open Space Facilities                     896,986

Public Safety Facilities

Fire Citywide                     Impact Fee Revenue                     147,628

                                          Interest                     4,334

Police Citywide                     Impact Fee Revenue                     65,785

                     Sub-total Public Safety Facilities                                          217,747

Roadway Facilities

Roads Citywide                     Impact Fee Revenue                     1,253,825

                     Sub-total Roadway Facilities                                          1,253,825

Drainage Facilities

Southwest                     Impact Fee Revenue                     32,638

                                          Interest                     13,662

Tijeras                     Impact Fee Revenue                     11,377

Far Northeast                     Impact Fee Revenue                     43,313

Northwest                     Impact Fee Revenue                     108,220

                     Sub-total Drainage Facilities                                           209,210

                     Total Impact Fee and Interest                                          2,577,768

                     Section 3.  That in the event these grants and/or contributions are received, upon

execution of an agreement between the parties, the amounts indicated above will be

appropriated in their respective fund, with the provision that the amounts will be adjusted to reflect actual Federal, State, and/or private contribution participation.

 

 

 

 

 

 

 

 

 

 

 

 

 

 

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