Page 110 - Project Detail Sheet_AdoptedBook
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ADOPTED | BUDGET

                                             Street & Sidewalk Capital Projects
                Department                                     Project Title                         Project Number
        Public Works                               Preventive Street Maintenance (2021-22)               SM2201
                                                      Project Description
        This is the annual program where funds are dedicated to enhance the city's efforts for preventive maintenance of city streets. The
        scope of this project provides crack sealing for approximately 15-25 streets, slurry seal for 15-25 streets, asphalt microsurface for 5-
        10 streets and a 2 inch asphalt overlay for 12-15 streets. In addition to these four maintenance methods we have incoorporated
        concrete crack sealing for 15-25 streets and concrete street partial pavement replacement for 10-20 streets.






                                                      Project Justification
        Preventive maintenance activities delays more costly street reconstruction and extends the life of the current street system. This
        project provides staff with funding to apply the appropriate maintenance activities to the streets selected for the program. Depending
        on the current condition of the street and the type of preventive measures taken, the street life can be extended for a minimum cost
        in comparison to a total reconstruction.

        Funding Source: General Fund Reserves (100).












        Project Schedule            Beginning Date   Ending Date        History          Fiscal Year   Amount
        Professional Services                                        Proposed              2021-22      $1,000,000
        Engineering/Design                                               Total                          $1,000,000
        Land/ROW Acquisition
        Construction                     10/2021         01/2022
        Other
        Total Schedule                   10/2021         01/2022
        Sources of Funds             Appr. To Date  2021‐22 Budget  2022‐23 Estimate  2023‐Completion  Total Funding
        General Obligation Bonds
        Certificates of Obligation
        Federal/State Grants
        Reserves                              0         1,000,000              0               0        $1,000,000
        Sales Tax
        Other
        Total Funding                        $0        $1,000,000             $0              $0        $1,000,000

        Project Costs                  To Date    2021‐22 Budget  2022‐23 Estimate   2023‐Completion    Total Cost
        Professional Services
        Engineering/Design
        Land/ROW Acquisition
        Construction                          0          1,000,000             0               0         $1,000,000
        Other
        Total Costs                          $0         $1,000,000            $0              $0         $1,000,000
        Operating Impact
        No operating impact is anticipated.


        Fiscal Year                2020‐21       2021‐22      2022‐23       2023‐24       2024‐25     Total Impact
        Amount                           $0            $0            $0            $0            $0           $0



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