Page 217 - Project Detail Sheet_AdoptedBook
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ADOPTED | BUDGET

                                            Parks & Recreation Capital Projects
                Department                                     Project Title                         Project Number
        Parks and Recreation                       Park Infrastructure Maintenance (2021)                 PK2104
                                                      Project Description
        This project provides for maintenance of park infrastructure in response to use and age. The FY2021 priorities include playground
        fall safe material, playground equipment replacement, sports field restoration, concrete panel replacement, drinking fountain
        replacement, and North Electric Trail bridge deck repairs.







                                                      Project Justification
        The Parks and Recreation Department developed an Infrastructure Management Plan for park amenities. The plan addresses long
        term funding needs for replacement and renovation of park sites and their amenities, demonstrating responsible stewardship of
        property assets by the city. Park assets are subject to continual heavy usage by citizens, exposure to the elements and the natural
        aging process. The Asset Management Plan and ongoing park inspections are used to identify assets that have become worn,
        unsafe or unsightly and to create a priority timeline for their repair, renovation or removal.

        Funding Source: Park Sales Tax Fund (125).











        Project Schedule            Beginning Date   Ending Date        History          Fiscal Year   Amount
        Professional Services                                        Adopted Budget        2020-21       $144,000
        Engineering/Design                                               Total                           $144,000
        Land/ROW Acquisition
        Construction                     10/2020         09/2022
        Other
        Total Schedule                   10/2020         09/2022
        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
        Sales Tax                        144,000              0                0               0         $144,000
        Other
        Total Funding                   $144,000             $0               $0              $0          $144,000

        Project Costs                  To Date    2021‐22 Budget  2022‐23 Estimate   2023‐Completion    Total Cost
        Professional Services
        Engineering/Design
        Land/ROW Acquisition
        Construction                     144,000               0               0               0          $144,000
        Other
        Total Costs                      $144,000             $0              $0              $0          $144,000
        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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