Page 132 - Project Detail Sheet_AdoptedBook
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ADOPTED | BUDGET

                                                 Drainage Capital Projects
                Department                                     Project Title                         Project Number
        Public Works                           Channel Cleaning / Street Drainage Improvements           DR2103
                                                      Project Description
        This is a recurring program that consists of cleaning out sediment that has built up over time in some of the City's earthen channels.
        This project also consists of repairing curb & gutter sections that currently pond water in existing streets.









                                                      Project Justification
        The sediment removal will help re-establish the flow capacity of the earthen channels.  This work is necessary to meet the
        requirements of the City's Flood Damage Protection Ordinance (# 2061).  Removal of the silt will improve capacity of the channels
        and will help eliminate flooding of properties along the channels.
        In addition, City staff receives numerous calls and complaints every year concerning the ponding of water along gutter lines in front
        of the homes of residents.  This project will provide staff the funding to correct these problems.    This program has been very
        successful with residents who have standing water problems.  We have approximately 60 streets in the City that have standing water
        problems at this time.

        Note: Project funding source is the Drainage Utility Fund (120).







        Project Schedule            Beginning Date   Ending Date        History          Fiscal Year   Amount
        Professional Services                                        Adopted Budget        2020-21       $100,000
        Engineering/Design                                               Total                           $100,000
        Land/ROW Acquisition
        Construction                     10/2020         09/2021
        Other
        Total Schedule                   10/2020         09/2021
        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                         100,000              0                0               0         $100,000
        Sales Tax
        Other
        Total Funding                   $100,000             $0               $0              $0          $100,000

        Project Costs                  To Date    2021‐22 Budget  2022‐23 Estimate   2023‐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
        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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