Page 212 - NRH FY20 Approved Capital Budget
P. 212

Aquatic Park Capital Projects
        Department                                             Project Title                         Project Number
        Aquatic Park                                General Facility Improvements (2019)                 WP1901
        Project Description
        This project consists of costs for annual general facility improvements such as drainage improvements, miscellaneous building
        improvements, capital acquisitions and any safety improvements or emergency repairs for the facility that are identified during the
        operating season.  Projects in the past have included switchgear for the Green Extreme, ADA updates, replacement motors,
        drainage improvements, concrete repair and patching and resurfacing of the Splashatory.






        Project Justification
        This project is important for emergency items and for general improvements to the park that are not included in the operating
        budget.  Items may include safety items, ride equipment replacement, new initiatives to improve guest service and safety related
        projects.
        As the park's lighting systems require replacement due to age, staff is requesting to replace lights with energy efficient LED lighting.
        This also supports the "Green Initiative" undertaken by water park staff.
        Due to age, UV exposure and chlorinated water, the fiberglass colors on various park slides are fading and dull.  This project will
        refurbish a portion of the slides with a specialized coating which will improve the colors.
        As the park ages, larger mechanical items will begin to fail due to age and use.  This project will replace end of life items such as AC
        units and larger kitchen equipment as needed.
        Funding source is Aquatic Park Infrastructure Reserves.


        Project Schedule        Beginning Date  Ending Date  History       Fiscal Year   Amount
        Professional Services                             Adopted Budget    2018-19       $100,000
        Engineering/Design                                Total                           $100,000
        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
        Federal/State Grants
        Reserves                      100,000           0             0             0      $100,000
        Sales Tax
        Other
        Total Funding                $100,000          $0            $0            $0      $100,000
        Project Costs             To Date    2019-20 Budget 2020-21 Estimate  2021-Completion  Total Cost
        Professional Services
        Engineering/Design
        Land/ROW Acquisition
        Construction                  100,000           0             0             0      $100,000
        Other
        Total Costs                  $100,000          $0            $0            $0      $100,000
        Operating Impact
        Decreases in electric costs with LED lights.


        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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