Page 135 - NRH FY20 Approved Capital Budget
P. 135

Utility Capital Projects
        Department                                             Project Title                         Project Number
        Public Works                         Miscellaneous Water/Sewer Main Replacement (2019)            UT1903
        Project Description
        This is an annual program that is completed by the Public Works Construction Division (407-6007).  The program will provide for
        water and sewer main replacements including any developmental projects.  The project replaces aging infrastructure and maintains
        high standards for water quality.  This will include replacements on the following streets: Whitfield Court (Holiday to Culd-de-sac),
        Lariat Trail (Meadowridge to Meadow Lakes), Southampton Drive ( Wakefield to Chapman), and Holiday Court (Green Meadows to
        Cul-de-sac).





        Project Justification
        The specific projects are selected based on factors such as maintenance cost, location of infrastructure and pipe diameter.  This
        project provides for the retirement of existing water lines which continue to cause a decrease in system capacity and water quality.
        This project also replaces old lines that require significant maintenance and operating cost.  The construction of these lines is
        completed by the Public Works Construction Division.















        Project Schedule        Beginning Date  Ending Date  History       Fiscal Year   Amount
        Professional Services                             Adopted Budget    2018-19       $445,000
        Engineering/Design                                Total                           $445,000
        Land/ROW Acquisition
        Construction               10/2018      09/2019
        Other
        Total Schedule             10/2018      09/2019
        Sources of Funds          To Date    2019-20 Budget 2020-21 Estimate  2021-Completion  Total Funding
        General Obligation Bonds
        Certificates of Obligation    445,000           0             0             0      $445,000
        Federal/State Grants
        Reserves
        Sales Tax
        Other
        Total Funding                $445,000          $0            $0            $0      $445,000
        Project Costs             To Date    2019-20 Budget 2020-21 Estimate  2021-Completion  Total Cost
        Professional Services
        Engineering/Design
        Land/ROW Acquisition
        Construction                  445,000           0             0             0      $445,000
        Other
        Total Costs                  $445,000          $0            $0            $0      $445,000
        Operating Impact
        No operating impact is anticipated.


        Fiscal Year                2019-20       2020-21      2021-22       2022-23       2023-24     Total Impact
        Amount                            $0           $0            $0            $0            $0            $0
        Total Operating Impact            $0           $0            $0            $0            $0            $0




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