City of Albuquerque
File #: R-21-212   
Type: Resolution Status: Enacted
File created: 11/3/2021 In control: City Council
Final action: 11/15/2021
Enactment date: 11/29/2021 Enactment #: R-2021-083
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, by request)
Sponsors: Klarissa J. Peña (By Request)
Attachments: 1. R-212, 2. R-212Enacted
Date Action ByActionResultAction Details
11/29/2021 City Clerk Published  Action details
11/22/2021 Mayor Signed by the Mayor  Action details
11/18/2021 City Council Sent to Mayor for Signature  Action details
11/15/2021 City Council Passed as AmendedPass Action details
11/15/2021 City Council AmendedPass Action details
11/15/2021 City Council AmendedPass Action details
11/15/2021 City Council AmendedPass Action details
11/15/2021 City Council AmendedPass Action details
11/3/2021 City Council Introduced  Action details
11/3/2021 President To be heard at the Council Meeting  Action details

CITY of ALBUQUERQUE

TWENTY FOURTH COUNCIL

 

 

COUNCIL BILL NO.           R-21-212          ENACTMENT NO.   ________________________

 

SPONSORED BY:                      Klarissa J. Peña, by request

 

 

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, by request)

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 Animal Welfare, Arts and Culture, Economic Development, Family & Community Services, Municipal Development, Legal, Fire, Parks and Recreation, Police, Solid Waste, Transit; and

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

Animal Welfare

Animal Shelter Rehab                     Miscellaneous Revenue                     2,050,000

The scope of the project is to plan, design, renovate, construct, otherwise improve, purchase equipment, and vehicles for City animal shelters and facilities of the Animal Welfare Department.

Arts and Culture/Bio Park

Bio Park                     Interest                     (740)

Contingency                     Interest                     740

                     $740 of interest for Bio Park shall be used for indirect overhead assessed on

State grants.

Arts and Culture/Library

Library                     Interest                     (137,330)

Contingency                     Interest                     2,330

                     $2,330 of interest for Library shall be used for indirect overhead assessed on

State grants.

Library Building Renovations                     Interest                     135,000

Albuquerque Museum Collection                     G.O. Bonds                     (415)

Balloon Museum Parking Lot                     G.O. Bonds                     415

Feasibility Study NW Library                      

                     The scope of this project is hereby expanded to allow for unused funding to be used to purchase vehicles, design, construct, equip, furnish, repair and renovate current library facilities city wide.

Arts and Culture/Museum

2016C GRT REV BOND                     Interest                     (23,921)

Route 66 Museum                     Interest                     23,921

DMD/CIP

MD Vehicles Replacement                     Miscellaneous Revenue                     7,904

DMD/Energy

Energy Conservation                     Contribution in Aid                     6,065

                                          Miscellaneous Revenue                     1,500

DMD/Storm

Storm                     Interest                     (500,000)

Townsend SE                     Interest                     400,000

Montgomery NE Storm Drain                     Interest                     50,000

Hahn Arroyo Structural Rehab                     Interest                     50,000

Broadway Pump Station                     Miscellaneous Revenue                     8,500

                                          Contribution in Aid                     245,116

MS4 Storm Water Implementation                     Contributions                     40,163

DMD/Streets

Streets                     Interest                     (832,824)

Contingency                     Interest                     12,824

                     $12,824 of interest for Streets shall be used for indirect overhead assessed on

State grants.

Reconstruction Major Intersection                     Interest                     820,000

Of this amount, $320,000 is designated for traffic signals at Lead Ave and Walter St. and at Coal Ave and Walter St.

Streets                                                                                                         Interest                                                                                     (250,000)

Wells Park Phase 2                                                                                    Interest                                                                                       250,000

Advance Right of Way                     Sale of Public Surplus                     2,000

Public Works Funding                     Contribution in Aid                     1,613

D2 Street Projects                     Contribution in Aid                      539

Sidewalk Improvements                     Contribution in Aid                      2,966

Major Paving Rehabilitation                     Contribution in Aid                      6,622

Safety Intersection                     City Property Damage                     26,544

Street Lighting                     City Property Damage                     7,542

                                          Auction Sales                     289

Traffic Sign and Markings                     Sale of Public Surplus                     3,160

Albuquerque Complete Streets                     FY22 NMDOT                     3,000,000

                                          Transfer from 305                     511,236

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

Albuquerque Complete Streets                     FY23 NMDOT                     3,000,000

                                          Transfer from 305                     511,236

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

98th/Gibson Intersection Reconstruction                     FY23 NMDOT                     2,000,000

                                          Transfer from 305                     340,824

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

AMPA Wide Bicycle/Facilities and

                     Program                     FY22 NMDOT                     200,000

                                          Transfer from 305                     34,082

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

Section 2-12-4 ROA, 1994.

Uptown Intersection Improvements                     FY23 NMDOT                     2,000,000

                                          Transfer from 305                     340,824

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

2nd Street Rehab/Sidewalk/Lighting                     FY22 NMDOT                     600,000

                                          Transfer from 305                     102,247

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

DMD/Streets/Transportation Tax                     

Transportation Tax                     Interest/340                     (180,605)

Median Landscape                      Interest/340                     180,605

Osuna I25 to Edith                     Transportation Tax/340                     (51,415)

I25 Rio Bravo                     Transportation Tax/340                     (11,254)

Reconstruction Major Streets                     Transportation Tax/340                     62,669

Central Avenue Streetscape                     Transportation Tax/341

                     The scope is expanded to include but not limited to city wide projects.

Road Rehabilitation                     Transportation Tax/341                     (2,958,216)

Neighborhood Traffic Mgmt Prog                     Transportation Tax/342                     250,000

Paseo Del Norte/Calle Nortena to Unser Contribution in Aid/342                     18,808

The Transportation Tax Project list adopted in Resolution-20-47 is amended, and a new list adopted by this Resolution is attached, that changes the termini for the project titled “Paseo Del Norte/Calle Nortena to Unser (Adopted City Wide Policy Priority R-18-84)”. The new project title will read as follows, “Paseo Del Norte/Calle Nortena to the Western City Limits (Adopted City Wide Policy Priority R-18-84)”.

EDD/Metropolitan Redevelopment

East Downtown                     Miscellaneous Revenue                     36,000

Property Management                      

                     The scope is to be changed to further the goals of the Metropolitan Redevelopment Agency in designated MR areas.

Albuquerque Development Services

The scope is to be changed to further the goals of the Metropolitan Redevelopment Agency in designated MR areas.

Family and Community Services

Family and Community Services                     Interest                     (15,132)

Contingency                     Interest                     15,132

                     $15,132 of interest for Family and Community Services shall be used for indirect overhead assessed on State grants.

Homeless                     Real Property Sales                     1,000,000

Affordable Housing                     Interest                     (14,842)

Affordable Housing                     Interest                     14,842

Renovation, Repair, Security

and Technology Improvements                     Miscellaneous Revenue                     7,750,000

The scope of the project is to plan, design, study, demolish, renovate, construct, equip/furnish, purchase/replace playground equipment, provide new security systems or upgrades to include technology upgrades and otherwise make improvements to existing FCS facilities: to include Community Centers, Child Development Centers, and related FCS facilities.

Trauma Recovery                     Miscellaneous Revenue                     1,500,000

The scope of the project is to plan, design, construct, purchase rights-of-way, equip, and furnish a Trauma Recovery Center to serve victims of violent crime.

Fire

Fire                     Interest                     (41,354)

Contingency                     Interest                     41,354

                     $41,354 of interest for Fire shall be used for indirect overhead assessed on

State grants.

Legal

Comcast Fund                     Interest                     (8,679)

Comcast Capital                     Interest                     8,679

Comcast Capital                     Franchise Revenue                     88,794

Parks and Recreation

2015 GRT Revenue Bond                     Interest                     (1,190,000)                     

2016C GRT Revenue Bond                     Interest                     (700,000)

Los Altos Park                     Interest                     1,890,000                     

Park Amenity and Forestry Rehab                     Contribution in Aid                     42,870

2% for Open Space Projects                     Contribution                      100,000

Jennifer Riordan Spark Kindness                     GRT Revenue Bonds                     (500,000)

Multi Use Soccer Facility                     GRT Revenue Bonds                        500,000

                                                                                                                              Contribution in Aid                                                                  500,000

Police

Police                     Interest                     (9,488)

Contingency                     Interest                     9,488

                     $9,488 of interest for Police shall be used for indirect overhead assessed on

State grants.

Vehicle Replacement                      Collections City Property Damage                     88,910

                                                                                                                              Insurance Risk                                                                      3,135

APD Vehicle                      Public Surplus                     322,052

Police Radar Equipment                     Miscellaneous Revenue                     400,000

The scope of the project is to purchase police radar equipment for vehicles.

Solid Waste

Solid Waste                     Interest                     (219,780)

Computer Equipment                     Interest                     219,780

Computer Equipment                     Public Surplus Sales                     76,649

                     Transit

Transit                     Interest                     (569)

Contingency                     Interest                     569

                     $569 of interest for Transit shall be used for indirect overhead assessed on

State grants.

                     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                     3,608

                                          Interest                     3,201

Parks Southeast                     Impact Fee Revenue                      151,190

                                          Interest                     1,693

Parks Northwest                     Impact Fee Revenue                      292,736

                                          Interest                     7,913

Parks Southwest                     Impact Fee Revenue                     12,628                                          Interest                     1,693

Trails                     Impact Fee Revenue                     39,200

                                          Interest                     2,010

Open Space                     Impact Fee Revenue                     311,634

                                          Interest                     3,072

                     Sub-total Parks, Recreation, Trails and Open Space Facilities                     830,578

Public Safety Facilities

Fire Citywide                     Impact Fee Revenue                     99,381

Police Citywide                     Impact Fee Revenue                     43,509

                     Sub-total Public Safety Facilities                                          142,890

Roadway Facilities

Roads Citywide                     Impact Fee Revenue                     838,542

                                          Contribution in Aid                     14,217

                     Sub-total Roadway Facilities                                          852,759

Drainage Facilities

Southwest                     Impact Fee Revenue                     10,502

                                          Interest                     2,741

Tijeras                     Impact Fee Revenue                     12,760

Far Northeast                     Impact Fee Revenue                     12,631

Northwest                     Impact Fee Revenue                     122,190

                     Sub-total Drainage Facilities                                           160,824

                     Total Impact Fee and Interest                                          1,987,051

                     Section 3.  That the following State of New Mexico grant projects approved by the 2021 State Legislature are hereby authorized.

Project Title                     Amount

Tipping Points                                          50,000

Biopark Camp                                          60,000

Takes a Village                                          75,000

Route 66 Visitor Center                                          733,800

                     Section 4.  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 and authorizing the CAO to enter into agreements with non-profits for the expenditure of any State Grant.

                     Section 5.  The following amount is hereby appropriated to the following fund and program for Fiscal Year 2022:

GENERAL FUND - 110

                     City Support

                     Transfer to Capital Acquisition Fund (305)                                                                                    11,700,000

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

X:\CL\SHARE\CL-Staff\_Legislative Staff\Legislation\24 Council\R-212final.docx