Page 185 - Colleyville FY19 Budget
P. 185

Project   Title  Total Project   Capital   CEDC Fund  County Funding  Crime Control  Drainage Fund  FHA/TxDOT  Area II Impact  TIF  Utility   Wastewater   Water Impact
 Year  Cost  Projects Fund  District           Fees (West of 26)         Capital Fund  Impact Fees  Fees
 2018
 Library Renovations  $300,000.00  $0.00  $300,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Kimzey Park Pond Dredging  $388,520.00  $0.00  $388,520.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Webb House Repairs  $10,000.00  $0.00  $10,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 WW Project 3 (Manning)  $412,242.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $412,242.00  $0.00  $0.00
 Street Maintenance Program - Stafford, Manning, etc.  $335,000.00  $335,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Glade Rd (Phase 2 Manning to Pool) ROW Acquisition  $110,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $110,000.00  $0.00  $0.00  $0.00
 Glade Rd (Phase 2-SH26 to Pool) Design  $10,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $10,000.00  $0.00  $0.00  $0.00
 L. D. Lockett Rehabilitation (Precinct Line Road to Pleasant Run) - resurfacing  $430,000.00  $430,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 John McCain Rehabilitation (Pleasant Run to Maranatha Court) - resurfacing  $508,147.02  $508,147.02  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 McDonwell School Road and Westcoat Drive Roundabout - DESIGN  $40,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $40,000.00  $0.00  $0.00  $0.00  $0.00
 Sum Of Total Project Cost:  $2,543,909.02  $1,273,147.02  $698,520.00  $0.00  $0.00  $0.00  $0.00  $40,000.00  $120,000.00  $412,242.00  $0.00  $0.00
 Estimated 9/30/18 Available Balances  $7,957,458.98  $0.00  $0.00  $0.00  $2,011,832.00  $21,460,372.00  $5,083,588.00  $928,492.00  $3,114,746.00
 (+) Year-end surplus contributions  $500,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $500,000.00  $0.00  $0.00
 (+) FY19 Budgeted Contribution  $1,500,000.00  $860,516.00  $0.00  $500,000.00  $0.00  $5,400,000.00  $200,000.00  $60,000.00  $192,000.00
 Estimated 10/1/18 Available Balances  $9,957,458.98  $860,516.00  N/A  $0.00  $500,000.00  N/A  $2,011,832.00  $26,860,372.00  $5,783,588.00  $988,492.00  $3,306,746.00
 2019  Bransford Rehabilitation (Glade to Westcoat)  $416,000.00  $249,600.00  $0.00  $166,400.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Bransford Water Tank Rehabilitation - Design  $80,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $80,000.00  $0.00  $0.00
 Central Fire Station Repairs  $147,322.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $147,322.00  $0.00  $0.00  $0.00
 Cheek-Sparger Road (San Bar to Brown Trail) - Design  $320,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $320,000.00  $0.00  $0.00  $0.00
 Cheek-Sparger Road (San Bar to Brown Trail) - Construction  $2,085,395.00  $0.00  $0.00  $0.00  $0.00  $0.00  $1,660,395.00  $0.00  $425,000.00  $0.00  $0.00  $0.00
 Cheek-Sparger Road Rehabilitation (Bedford to Heritage)   $324,000.00  $194,400.00  $0.00  $129,600.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 City Hall - Backup Generator  $181,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $181,000.00  $0.00  $0.00  $0.00
 City Hall/Library - HVAC Replacement  $327,600.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $327,600.00  $0.00  $0.00  $0.00
 Fire Station 2 Repairs  $67,300.00  $67,300.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Frontier Court Rehabilitation  $600,000.00  $600,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Glade Rd (Phase 2-SH26 to Pool) Design (Multi-year project)  $150,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $150,000.00  $0.00  $0.00  $0.00
 Glade Rd (Phase 2 Manning to Pool) ROW Acquisition  (Multi-year project)  $170,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $170,000.00  $0.00  $0.00  $0.00
 Install Backup Generator for Emergency Power at L.D. Lockett Pump Station  $140,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $140,000.00  $0.00  $0.00
 L.D. Lockett Road Right Turn Ln - Design  $25,000.00  $25,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Library Renovations  $315,516.00  $0.00  $315,516.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 McDonwell School Road Rehabilitation  $247,500.00  $148,500.00  $0.00  $99,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 McDonwell School Road Right Turn Ln - Design   $25,000.00  $25,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 McDonwell School Road and Westcoat Drive Roundabout - DESIGN  (Multi-year project)  $60,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $60,000.00  $0.00  $0.00  $0.00  $0.00
 McDonwell School Road Westcoat Drive Roundabout - ROW Acquisition  $250,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $250,000.00  $0.00  $0.00  $0.00
 Plaza at City Hall  $1,750,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $1,750,000.00  $0.00  $0.00  $0.00
 Pleasant Run Waterline (John McCain North to Bear Creek) - Design  $105,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $105,000.00  $0.00  $0.00
 Replacement of Palladium Windows & Patio  $280,000.00  $0.00  $280,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Roberts Road (Glade to Grapevine City Limits) - DESIGN  $354,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $354,000.00  $0.00  $0.00  $0.00
 Roberts Road (Glade to Grapevine City Limits) - ROW Acquisition  $500,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $500,000.00  $0.00  $0.00  $0.00
 SH-26 Lighting  $3,000,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $3,000,000.00  $0.00  $0.00  $0.00
 SH26 Medians & ROW  $4,000,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $4,000,000.00  $0.00  $0.00  $0.00
 Stormwater Master Plan  $500,000.00  $0.00  $0.00  $0.00  $0.00  $500,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Street Maintenance Program  $685,614.00  $617,214.00  $0.00  $68,400.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Water Project 7: Demolish Overland Trail Pump Station  $130,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $130,000.00  $0.00  $0.00
 Water Project 8: Install Pressure Relief and Flow Control Valves  $348,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $348,000.00  $0.00  $0.00
 Water Project 10:  Apple Valley Subdivision/Rustic Oaks Subdivisions/ Bills Lane Water Lines - DE  $70,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $70,000.00  $0.00  $0.00
 Webb House Repairs  $265,000.00  $0.00  $265,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00  $0.00
 Sum Of Total Project Cost:  $17,919,247.00  $1,927,014.00  $860,516.00  $463,400.00  $0.00  $500,000.00  $1,660,395.00  $60,000.00  $11,574,922.00  $873,000.00  $0.00  $0.00
 Estimated 9/30/19 Available Balances  $8,030,444.98  $0.00  $0.00  $0.00  $1,951,832.00  $15,285,450.00  $4,910,588.00  $988,492.00  $3,306,746.00
 (+) Year-end surplus contributions  $500,000.00  $0.00  $0.00  $0.00  $0.00  $0.00  $500,000.00  $0.00  $0.00
 (+) FY20 Budgeted Contribution  $1,500,000.00  $0.00  $167,200.00  $425,000.00  $0.00  $5,400,000.00  $250,000.00  $60,000.00  $192,000.00
 Estimated 10/1/19 Available Balances  $10,030,444.98  $0.00  N/A  $167,200.00  $425,000.00  N/A  $1,951,832.00  $20,685,450.00  $5,660,588.00  $1,048,492.00  $3,498,746.00





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