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HomeMy WebLinkAbout2019-2024 Capital Facilities PlanCity of Auburn Capital Facilities Plan CAPITAL FACILITIES PLAN (2019 – 2024) Adopted by Ordinance No. 6698, December 17, 2018 as part of the City of Auburn Comprehensive Plan City of Auburn 25 West Main Auburn, WA 98001 (253) 931-3000 www.auburnwa.gov City of Auburn Capital Facilities Plan City of Auburn Capital Facilities Plan CAPITAL FACILITIES PLAN 2019 – 2024 TABLE OF CONTENTS Executive Summary ...................................................................................................................... 1 1. Introduction Purpose ..................................................................................................................................... 7 Statutory Requirement for Capital Facilities Elements .............................................................. 7 Concurrency and Level of Service ............................................................................................ 8 Implementation .......................................................................................................................... 8 2. Goals and Policies 1. Capital Facilities Response to Growth ................................................................................ 11 2. Financial Feasibility ............................................................................................................. 11 3. Public Health and Environment ........................................................................................... 13 4. Consistency with Regional Planning ................................................................................... 13 3. Capital Improvements Introduction ............................................................................................................................... 15 Transportation ........................................................................................................................... 17 Arterial Street (102) Capital Projects ................................................................................... 22 Local Street (103) Capital Projects ..................................................................................... 72 Street Preservation Fund (105) Capital Projects ................................................................. 74 Water ......................................................................................................................................... 85 Sanitary Sewer .......................................................................................................................... 129 Storm Drainage ......................................................................................................................... 147 Parks, Arts and Recreation ....................................................................................................... 171 General Municipal Buildings ...................................................................................................... 197 Community Improvements ........................................................................................................ 211 Airport ........................................................................................................................................ 231 Cemetery ................................................................................................................................... 247 Valley Regional Fire Authority ................................................................................................... 251 City of Auburn Capital Facilities Plan City of Auburn Capital Facilities Plan 1 EXECUTIVE SUMMARY A capital facilities element is one of the comprehensive plan elements required by Washington’s Growth Management Act (GMA). Capital facilities generally have long useful lives, significant costs and tend not to be mobile. The GMA requires that capital facilities elements include an inventory of existing capital facilities showing locations and capacities, a forecast of future needs for such capital facilities, proposed locations and capacities of new or expanded capital facilities and at least a six-year plan to finance capital facilities with identified sources of funding. The GMA also requires that the land use element be reassessed if probable funding falls short of existing needs. This document is the City’s six-year Capital Facilities Plan (CFP). The CFP, in conjunction with other City adopted documents, satisfies the GMA requirement for a Capital Facilities Element. It addresses one of the GMA’s basic tenets: to provide adequate facilities to support development in accordance with locally adopted level of service standards. This CFP will enable the City to: (1) make informed decisions about its investment of public dollars, and (2) make timely decisions about maintaining level of service in accordance with this CFP and other adopted plans. CAPITAL FACILITIES PLAN CONTENT This CFP consists of the following: Chapter 1. Introduction Purpose of CFP, statutory requirements, methodology. Chapter 2. Goals and Policies Goals and policies related to the provision of capital facilities. Chapter 3. Capital Improvements Proposed capital projects, which include the financing plan and reconciliation of project capacity to level of service (LOS) standards. This CFP is a companion document to the Capital Facilities Element of the Auburn Comprehensive Plan. The Capital Facilities Element of the Auburn Comprehensive Plan identifies the City’s planning approach and policy framework for the provision of capital facilities. This CFP provides the background inventory, identifies proposed projects and establishes the six-year capital facilities plan for financing capital facilities. The comprehensive plan contains timeframes that are the intended framework for future funding decisions and within which future actions and decisions are intended to occur. However, these timeframes are estimates; depending on factors involved in the processing of applications and project work, and the availability of funding, the timing may change from the included timeframes. The framework does not represent actual commitments by the City of Auburn that may depend on funding resources available. City of Auburn Capital Facilities Plan 2 GROWTH ASSUMPTIONS In planning for capital facilities, contemplation of future growth needs to be considered. The CFP is based on the following City population forecast: Year Population 2018 80,615 2019 81,905 2024 88,670 The population forecasts are based on information from the State of Washington Office of Financial Management (OFM) as well as estimates developed by the City of Auburn Planning and Community Development Department. CAPITAL COSTS OF FACILITIES Based on the analysis of capital improvements contained in this document, the cost of City- owned and managed capital improvements for 2019- 2024 is summarized as follows: Type of Facility 2019 - 2024 Transportation - Arterial (102)107,387,866$ Transportation - Local (103)11,050,000 Transportation - Street (105)20,661,580 Water 47,210,911 Sanitary Sewer 13,677,000 Storm Drainage 19,130,800 Parks, Arts & Recreation 14,668,500 General Municipal Buildings 7,839,600 Community Improvements 10,868,700 Airport 14,057,700 Cemetery 738,000 Total 267,290,657$ City of Auburn Capital Facilities Plan 3 FINANCING FOR CAPITAL FACILITIES The financing plan for the citywide capital improvements includes: Funding Source 2019 - 2024 Capital Facility Grants 85,880,360 Transportation 2,730,000 Parks, Arts & Recreation 975,000 General Municipal Buildings 1,470,300 Community Improvements 750,000 Water 400,000 Storm Drainage 5,908,500 Airport User Fees / Fund Balance 39,038,877 Water 14,244,667 Sewer 19,298,467 Storm Drainage 705,000 Cemetery 285,000 Equipment Rental 2,049,200 Airport Arterial Street Fund 4,255,550 Transportation Local Street Fund 650,000 Transportation Arterial Street Preservation Fund 6,031,820 Transportation Local Revitalization Fund 384,500 Community Improvements Bond Proceeds 2,750,000 Airport 7,178,300 Water DWSRF Loan 811,400 Water Municipal Parks Fund 325,000 Parks, Arts & Recreation Property Tax 953,500 Parks, Arts & Recreation Utility Tax 6,325,000 Transportation Mitigation/Impact Fees 21,556,716 Transportation 5,905,000 Parks, Arts & Recreation 1,000,000 General Municipal Buildings 530,000 Community Improvements REET 1 4,734,400 General Municipal Buildings 103,600 Community Improvements REET 2 7,130,300 Community Improvements 180,000 Parks, Arts & Recreation 3,500,000 Transportation - Local Streets Other Sources 4,000,000 Transportation - Arterial Streets 6,000,000 Transportation - Local Streets 1,250,000 Community Improvements 42,200 General Municipal Buildings 3,350,000 Airport 33,000 Cemetery 4,575,000 Parks, Arts & Recreation Total 267,290,657$ (Includes grant funding that has not been secured) City of Auburn Capital Facilities Plan 4 SUMMARY OF IMPACTS ON FUTURE OPERATING BUDGETS The forecasted impacts of new capital facilities on the City’s future operating budgets (2020-2025) are as follows: Budget Year:2020 2021 2022 2023 2024 2025 Total 1 Transportation -$ 5,000$ 11,600$ 29,600$ 55,600$ 165,500$ 267,300$ 2 Water 600 600 600 600 1,200 1,200 4,800 3 Sanitary Sewer - - - - - - - 4 Storm Drainage - - - - - - - 5 Parks, Arts and Recreation 15,000 20,000 22,000 22,000 22,000 27,000 128,000 6 General Municipal Buildings 95,000 95,000 95,000 95,000 95,000 95,000 570,000 7 Community Improvements (127,500) (127,500) (127,500) (117,500) (117,500) (117,500) (735,000) 8 Airport 2,000 2,000 2,000 4,000 4,000 6,000 20,000 9 Cemetery - - - - - - - Total (14,900)$ (4,900)$ 3,700$ 33,700$ 60,300$ 177,200$ 255,100$ Project summary details are located on the following pages: Transportation page 84 Water page 128 Parks & Recreation page 195 General Municipal Buildings page 210 Community Improvements page 229 Airport page 245 City of Auburn Capital Facilities Plan 5 LEVEL OF SERVICE (LOS) CONSEQUENCES OF THE CFP Based on the proposed six-year capital projects and the projected population increase of 8,055 (10%) between 2019 and 2024, the LOS for the following City-owned public facilities will change as follows: The LOS for the following facilities will be increased as a result of the CFP, comparing the 2019 LOS to the projected 2024 LOS. CAPITAL FACILITY LOS UNITS 2019 LOS 2024 LOS (Projected) Community Parks Acres per 1,000 Pop.2.87 3.15 Linear Parks Acres per 1,000 Pop.0.20 0.23 Neighborhood Parks Acres per 1,000 Pop.0.71 0.77 The LOS for the following facilities will be maintained as a result of the CFP. CAPITAL FACILITY LOS UNITS 2019 LOS 2024 LOS (Projected) Roads Volume/Capacity Ratio "D""D" Airport % Air Operations Support 100%100% Sanitary Sewer Residential GPCPD (Note 1)171.00 171.00 Storm Drainage N/A Water Residential GPCPD (Note 1)230.00 230.00 Note 1: GPCPD = Gallons per Customer per Day The LOS for the following facilities will be decreased as a result of the CFP, comparing the 2019 LOS to the projected 2024 LOS. CAPITAL FACILITY LOS UNITS 2019 LOS 2024 LOS (Projected) Cemetery Burial Plots per 1,000 Pop.37.00 35.00 Fire Protection Apparatus per 1,000 Pop.0.21 0.20 General Municipal Buildings Sq. Ft. per 1,000 Pop.3,726.07 3,486.91 Open Space Acres per 1,000 Pop.4.72 4.54 Senior Center Sq. Ft. per 1,000 Pop.148.95 137.59 Special Use Areas Acres per 1,000 Pop.3.11 2.87 Level of Service (LOS) is a common measure used to determine the efficiency or effectiveness of services. For the City of Auburn, LOS targets serves as a means to assess the adequacy of public facilities in meeting the needs of the population for which it serves. City of Auburn Capital Facilities Plan 6 For example, in the case of park space, when there is an increase in population without a corresponding increase in park acreage, the LOS unit of measure (acres per 1,000 population) will decline, indicating a potential need to increase the total amount of park acreage to keep pace with population growth. On the other hand, a slight increase in population, coupled with a large increase in facilities, will result in an increased LOS. For example, facilities such as buildings or burial plots may be constructed or expanded to keep pace with anticipated population growth. While this will have the effect of increasing LOS in the short-term, in the longer-term, the LOS will gradually decline to the targeted level based on forecasted population. The impact of population growth to the LOS for facilities will vary depending on the type of facility and long range planning by the City. CFP ELEMENT SOURCE DOCUMENTS Documents used in preparing this Capital Facilities Plan (CFP) are principally the comprehensive plans for the various public facilities included in this CFP. These individual comprehensive plans provide detailed identification of projects and identify their (projects) proposed funding sources. City documents include: • City-wide Comprehensive Land Use Plan (2015) • City Municipal Airport Master Plan Update (2012-2032) • City Comprehensive Water Plan (2015) • City Comprehensive Transportation Plan (2015) and Six Year Transportation Improvement Program (2019-2024) • City Comprehensive Drainage Plan (2015) • City Comprehensive Sewer Plan (2015) • City 2019-20 Biennial Budget and 2017 Annual Financial Report; and, • City Parks, Recreation & Open Space Plan Update (2015), as well as numerous other planning and financial documents. All documents are available for public inspection at the City of Auburn. City of Auburn Capital Facilities Plan 7 CHAPTER 1 INTRODUCTION PURPOSE The Capital Facilities Plan (CFP) is a 6-year plan (2019-2024) for capital improvements that support the City of Auburn’s current and future growth. In this plan, funding for general government projects is identified. To maintain consistency with individual master and utility comprehensive plans, applicable projects in the 6-year window of those master/utility plans are included in this CFP. The CFP also identifies LOS standards, where applicable, for each public facility. STATUTORY REQUIREMENTS FOR CAPITAL FACILITIES ELEMENTS RCW 36.70A.070(3)(d) requires that the comprehensive plan capital facilities element include “a six-year plan that will finance such capital facilities within projected funding capacities and clearly identifies sources of public money for such purposes.” RCW 36.70A.070(3)(e) requires that all capital facilities have “probable funding” to pay for capital facility needs, or else the City must “reassess the land use element.” In addition, the capital facilities element must include the location and capacity of existing facilities, a forecast of future needs, and their proposed locations and capacities. The State Growth Management Act (GMA) guidelines suggest that this analysis be accomplished for water systems, sanitary sewer systems, storm water facilities, schools, parks and recreation facilities, police and fire protection facilities. The GMA also seeks the selection of level of service standards for capital facilities. As a result, public facilities in the CFP should be based on quantifiable, objective measures of capacity such as traffic volume, capacity per mile of road and acres of park per capita. In some instances, though, level of service may best be expressed in terms of qualitative statements of satisfaction with a particular public facility. Factors that influence local level of service standards include, but are not limited to, community goals, national and local standards, and Federal and State mandates. To be effective, the CFP must be updated on a regular basis. State GMA guidelines suggest that the CFP be updated at least every two years. In 2007, the City transitioned to a biennial budget. With this in mind, the City will follow these guidelines and update the CFP at least every two years, incorporating the capital facilities improvements in the City’s biennial budget process. City of Auburn Capital Facilities Plan 8 CONCURRENCY AND LEVEL OF SERVICE Concurrency The GMA requires that jurisdictions have certain capital facilities in place or available within a specified time frame when development occurs. This concept is called concurrency. Under the GMA, concurrency is required for transportation facilities and is recommended by the State for certain other public facilities, namely potable water and sanitary sewer. Concurrency has a direct relationship to level of service. The importance of concurrency to capital facilities planning is that development may be denied if it reduces the level of service for a capital facility below the locally adopted minimum. The level of service is unique for each type of facility and is presented in the subsequent sections. Explanation of Level of Service As indicated earlier, the GMA requires that level of service be established for certain transportation facilities for the purposes of applying concurrency to development proposals. The State GMA guidelines recommend the adoption of level of service standards for other capital facilities to measure the provision of adequate public facilities. Typically, measures of level of service are expressed as ratios of facility capacity to demand (i.e., actual or potential users). Table 1-1 lists generic examples of level of service measures for some capital facilities: TABLE 1-1 Sample Level of Service Measurements The need for capital facilities is largely determined by a community’s adopted LOS standards and whether or not the community has formally designated capital facilities, other than transportation, as necessary for development to meet the concurrency test. The CFP itself is therefore largely influenced by the selection of the level of service standards. Level of service standards are measures of the quality of life in the City. The standards should be based on the City’s vision of its future and its values. IMPLEMENTATION Implementation of the CFP requires constant monitoring and evaluation. The CFP is sensitive to funding and revenue availability and therefore needs to be constantly monitored against variations in available resources. To facilitate its implementation, the CFP should be kept current. Type of Facility Sample Level of Service Measure General Municipal Buildings Square feet per 1,000 population Parks Acres per 1,000 population Roads and Streets Ratio of actual volume to design capacity Sewer / Water Gallons per customer per day City of Auburn Capital Facilities Plan 9 Update of Capital Facilities Plan Perhaps the most desirable way to keep the CFP current is to update it regularly so the six- year plan is a rolling CFP. Again, the State recommends that the CFP be updated at least biennially. The City of Auburn will seek to update the CFP at least biennially in conjunction with the budget process. Future updates will consider: A. Revision of population projections, including annexations; B. Update of inventory of public facilities; C. Update of costs of public facilities; D. Update of public facilities requirements analysis (actual level of service compared to adopted standards); E. Update of revenue forecasts; F. Revise and develop capital improvement projects for the next six fiscal years; and, G. Update analysis of financial capacity. Amendments to the CFP, including amendments to level of service standards, capital projects, and/or the financing plan sources of revenue are all actions that can keep the CFP current and relevant to City decision-making. City of Auburn Capital Facilities Plan 10 City of Auburn Capital Facilities Plan 11 CHAPTER 2 GOALS AND POLICIES This chapter identifies goals and policies specific to the City’s provision of capital facilities. Goal 1 Provide a variety of responses to the demands of growth on public facilities. Policy 1.1 Establish land use patterns that optimize the use of public facilities. Policy 1.2 Provide additional public facility capacity when existing facilities are used to their maximum level of efficiency (consistent with adopted standards for level of service). Policy 1.3 Encourage development where new public facilities can be provided in an efficient manner. Policy 1.4 Exempt the following from the concurrency management program: 1.4.1 Development vested by RCW 19.27.095, 58.17.033 or 58.17.170. 1.4.2 Development that creates no added impact on public facilities. 1.4.3 Expansions of existing development that were disclosed and tested for concurrency as part of the original application. Goal 2 Provide needed public facilities that are within the ability of the City to fund or within the City’s authority to require others to provide. Policy 2.1 Establish level of service standards that are achievable with the financing plan of this Capital Facilities Plan. Policy 2.2 Base the financing plan for public facilities on realistic estimates of current local revenues and external revenues that are reasonably anticipated to be received by the City. Policy 2.3 Match revenue sources to capital projects based on sound fiscal policies. 2.3.1 The City shall continue to fund utility costs through utility enterprise funds, based on user fees and grants. Public facilities included in utilities are sewer, solid waste, storm drainage, and water. 2.3.2 Where feasible pursue joint venture facility construction, construction timing, and other facility coordination measures for City provided facilities, as well as with school districts and other potential partners in developing public facilities. 2.3.3 The City shall continue to assist through direct participation, LIDs and payback agreements, where appropriate and financially feasible. Where funding is available, the City may participate in developer initiated facility extensions or improvements, but only to the extent that the improvements benefit the broader public interest, and are consistent with the policies of this Capital Facilities Plan. Policy 2.4 If the projected funding is inadequate to finance needed public facilities and utilities based on adopted level of service standards and forecasted growth, City of Auburn Capital Facilities Plan 12 the City will do one or more of the following to achieve a balance between available revenue and needed public facilities: 2.4.1 Lower the level of service standards; 2.4.2 Increase the amount of revenue from existing sources; 2.4.3 Adopt new sources of revenue; 2.4.4 Require developers to provide such facilities at their own expense; and/or 2.4.5 Amend the Land Use Element to reduce the need for additional public facilities. Policy 2.5 Both existing and future development will pay for the costs of needed capital improvements. 2.5.1 Ensure that existing development pays for capital improvements that reduce or eliminate existing deficiencies, and pays for some or all of the cost to replace obsolete or worn out facilities. Existing development may also pay a portion of the cost of capital improvements needed by future development. Existing development’s payments may take the form of user fees, charges for services, special assessments and taxes. 2.5.2 Ensure that future development pays a proportionate share of the cost of new facilities that it requires. Future development may also pay a portion of the cost to replace obsolete or worn-out facilities. Future development’s payments may take the form of voluntary contributions for the benefit of any public facility, impact fees, mitigation payments, capacity fees, dedications of land, provision of public facilities, and future payments of user’s fees, charges for services, special assessments and taxes. Policy 2.6 The City will determine the priority of public facility capital improvements using the following criteria as general guidelines. Any revenue source that cannot be used for the highest priority will be used beginning with the highest priority for which the revenue can legally be expended. 2.6.1 Projects that eliminate hazardous conditions. 2.6.2 Refurbishment of existing facilities that contribute to achieving or maintaining standards for adopted level of service. 2.6.3 New or expanded facilities that reduce or eliminate deficiencies in level of service for existing demand. 2.6.4 New or expanded facilities that provide the adopted level of service for new development and redevelopment during the next six fiscal years. 2.6.5 Capital improvements that significantly reduce the operating cost of providing a service or facility, or otherwise mitigate impacts of public facilities on future operating budgets. 2.6.6 Capital improvements that contribute to stabilizing and developing City of Auburn Capital Facilities Plan 13 the economy of the City. 2.6.7 Project priorities may also involve additional criteria that are unique to each type of public facility, as described in other elements of this Comprehensive Plan. Policy 2.7 Ensure that the ongoing operating and maintenance costs of a capital facility are financially feasible prior to constructing the facility. Goal 3 Protect public health, environmental quality, and neighborhood stability and viability through the appropriate design and installation of public facilities. Policy 3.1 Promote conservation of energy, water and other natural resources in the location and design of public facilities. Policy 3.2 Require the separation of sanitary and storm sewer facilities wherever combined sewers may be discovered. Policy 3.3 Practice efficient and environmentally responsible maintenance and operating procedures. Policy 3.4 The siting, design, construction and improvement of all public buildings shall be done in full compliance with the Americans with Disabilities Act (ADA). Policy 3.5 Promote economic and community stability and growth through strategic investments in public facilities and public private/partnerships. Goal 4 Make the Capital Facilities Plan consistent with other elements of the comprehensive plan, and - to the extent feasible - with other city, county, regional and state adopted plans. Policy 4.1 Ensure that the growth and development assumptions used in the Capital Facilities Plan are consistent with similar assumptions in other elements of the comprehensive plan. Policy 4.2 Coordinate with non-city providers of public facilities on a joint program for maintaining applicable level of service standards, concurrency requirements, funding and construction of public facilities. Goal 5 Provide public facilities that provide a sense of community that is inclusive of diverse populations. Policy 5.1 Contribute to community pride and foster a sense of community through provision of public facilities that create a community-gathering place for neighbors, family and friends. Policy 5.2 Through provision of public facilities, offer a broad range of activities promoting social interactions especially with new residents. Policy 5.3 Provide maximum flexibility and multiple uses through design of public facilities that are adaptable to changing interests. Policy 5.4 Provide a community center facility that is financially feasible, affordable for participants, and can generate revenue to offset a portion of the operating costs. City of Auburn Capital Facilities Plan 14 City of Auburn Capital Facilities Plan 15 CHAPTER 3 CAPITAL IMPROVEMENTS 1. INTRODUCTION This CFP includes City capital improvement projects and the financing plan to pay for those projects. It also contains the inventory of existing City facilities, and identifies level of service standards, where applicable. Each type of City public facility is presented in a separate subsection that follows a standard format. Throughout this section, tables of data are identified with abbreviations that correspond to the type of facility. For example, Table W-1 refers to Table 1 for Water (Supply and Distribution). Each abbreviation corresponds to the name of the type of facility. 1. Narrative Summary This is an overview of the data, with sections devoted to Current Facilities, Level of Service, Capital Facilities Projects and Financing, and Impact on Future Operating Budgets. 2. Inventory of Facilities (Table X-1) This is a list of existing capital facilities, including the name, capacity (for reference to level of service), and location. This table also includes any proposed capital projects and the planned inventory total through December 31, 2024. 3. Capital Projects and Financing Plan (Table X-2, X-2A and X-2B) This list of capital improvements identifies existing deficiencies, identifies facilities needed for future growth, and identifies the need to repair or replace obsolete or worn out facilities through December 31, 2024. Each list shows the proposed financing plan followed by individual worksheets showing the project detail. 4. Impact on Future Operating Budgets (Table X-3) This is a list of capital projects and the forecasted impacts on the City’s future operating budgets (2020 – 2025). City of Auburn Capital Facilities Plan 16 City of Auburn Capital Facilities Plan 17 TRANSPORTATION Current Facilities Roadways: The City’s street system consists of a network of approximately 216 miles of arterials, collectors, local streets and alleys. Existing non-motorized facilities include a mix of trails, sidewalks, and both dedicated and shared bicycle facilities. Signals and ITS: The City’s transportation system also includes ninety-five traffic signals, a Traffic Control Center employing Intelligent Transportation Systems (ITS), which centrally directs the signals, more than fifty CCTV cameras, and various traffic beacons all communicating on a network of copper wire and fiber optic cable. The City also has two roundabouts. Transit: King County Metro Transit, Sound Transit and Pierce Transit serve the Auburn area. Auburn is currently served by eight Metro, two Sound Transit, and one Pierce Transit bus route. In addition, Sound Transit “Sounder” commuter trains provide peak hour and midday service at the Auburn Station. The Sounder also provides special event service to selected sporting events. Park and ride facilities and the Auburn Station support bus and rail service. Level of Service (LOS) Washington's Growth Management Act (GMA) requires Level of Service (LOS) standards for both arterials and transit routes. The GMA requires that each jurisdiction's LOS standards be coordinated within the region and be supported by local ordinance, but the actual standards and the methods used are determined by each local jurisdiction. Under GMA, the focus is on the performance of the whole road system, not on individual intersections or roadways. LOS standards are a tool to help keep the transportation system in balance with the needs of forecast population growth and development. Table T-1a summarizes the LOS definitions. City of Auburn Capital Facilities Plan 18 Table T-1a Definition of Urban Street Level of Service (LOS) LOS A - describes primarily free flow operations at average travel speeds, usually about 90 percent of the free flow speed for the given street class. Vehicles are completely unimpeded in their ability to maneuver within the traffic stream. Control delay at signalized intersections is minimal. LOS B - describes reasonably unimpeded operations at average travel speeds, usually about 70 percent of the free flow speed for the street class. The ability to maneuver within the traffic stream is only slightly restricted, and stopped delays are not bothersome. LOS C - describes stable conditions; however, ability to maneuver and change lanes in midblock locations may be more restricted than in LOS B, and longer queues, adverse signal coordination, or both may contribute to lower average travel speeds of about 50 percent of the free flow speed for the street class. LOS D - borders on a range in which small increases in flow may cause substantial increases in delay and decreases in travel speed. LOS D may be due to adverse signal progression, inappropriate signal timing, high volumes, or some combination of these factors. Average travel speeds are about 40 percent of free flow speed. LOS E - is characterized by significant delays and average travel speeds of 33 percent or less of the free flow speed. Such operations are caused by a combination of adverse progression, high signal density, high volumes, extensive delays at critical intersections, and inappropriate signal timing. LOS F - is characterized by urban street flow at extremely low speeds, typically one-third to one-fourth of the free flow speed. Intersection congestion is likely at critical signalized locations, with high delays, high volumes and extensive queuing. Source: 2010 Highway Capacity Manual, Special Report 209, Transportation Research Board, Washington, D.C. 2010, page 10-5 A methodology and set of standards have been drafted for the City of Auburn Comprehensive Plan. The standards help determine concurrency (i.e., balance) between the transportation and land use elements of the City’s Comprehensive Plan, as required by the GMA. The City has four choices if it is determined that standards cannot be met. • Modify the land use plan, placing tighter controls on the amount and type of development to reduce traffic. • Construct additional transportation facilities to support increased travel demand from new development. • Implement Transportation Demand Management (TDM) measures to increase use of non- single occupant vehicle travel modes. • Relax the LOS standards; the City can lower its level of service standards to encourage further growth and minimize the need for additional transportation facilities. The transportation/land-use balance will be monitored through the City's Concurrency Management System as part of the State Environmental Policy Act (SEPA). Transportation concurrency will be evaluated for key facilities and on a system-wide basis. The City can then identify locations where standards are not anticipated to be met in the future and identify appropriate improvements. At the project level, the SEPA process will continue to guide the more specific planning and analysis efforts. City of Auburn Capital Facilities Plan 19 Level of Service Standards LOS standards can help identify where and when transportation improvements are needed, and when development or growth will affect system operations. LOS provides a standard below which a transportation facility or system is not considered adequate. LOS standards can also be used to evaluate the impact of proposed developments on the surrounding street system. They can assure that all developments are served by a safe, efficient and cost-effective street system. They can also be used to disclose impacts, identify remedial actions, and apportion costs between public and private sources. The LOS standards shown in Table T-1b apply to the facility’s location and its functional classification. A more detailed description of the level of service methodology is provided in the City of Auburn Comprehensive Transportation Plan (2015), page 5-4. Table T- 1b Draft Roadway Capacity/Congestion LOS Standards LOS standards are also the basis of an equitable traffic impact fee system, which require developments to pay a portion of the costs for capacity improvements to the transportation infrastructure. In 2001, the City implemented a traffic impact fee program. The purpose of the fee is to mitigate traffic impacts more equitably while making the costs of development more predictable to developers. In 2007, the City implemented an additional transportation impact fee to address the impacts of heavy truck usage on the City’s transportation system. Both fees are updated annually so that the fees are consistent with current project costs. Measuring Transportation System Performance The level of service for street segments or links is analyzed with two primary purposes in mind. First, this site-specific LOS can be used, with the help of a travel demand model, to evaluate areas of congestion within a transportation network, leading to the development of a long-range transportation facilities plan. Second, arterial corridor LOS analysis can be used to assess concurrency or if facilities are meeting the LOS standards. The City of Auburn currently uses Highway Capacity Manual methodologies to calculate levels of service. For arterials LOS are based on average travel speeds along a defined corridor. Roadway/Intersection Maximum V/C Ratio/LOS Arterial Corridor D* Signalized Intersection D Unsignalized Intersection D *Unless otherwise specified in Chapter 2 of the City of Auburn Comprehensive Transportation Plan, 2015 City of Auburn Capital Facilities Plan 20 Table T-1c shows the 25 defined street corridors, LOS standards and most recent calculated LOS. TABLE T- 1c Auburn Corridor Level of Service – Existing 2014 Weekday PM Peak Hour LOS ID Corridor From To Standard*NB/EB SB/WB 1 Auburn Way N 15th St NE S 277th St E C C 2 Auburn Way N E Main St 15th St NE E D D 3 Auburn Way S E Main St M St SE F C D 4 Auburn Way S M St SE Academy Dr SE D B C 5 M St / Harvey Auburn Way N E Main St E D D 6 M St / Harvey E Main St Auburn Way S E D C 7 37th St NE / NW W Valley Hwy Auburn Way N E C C 8 15th St NE / NW W Valley Hwy Auburn Way N F**D D 9 Auburn Ave / A St 6th St SE E Valley Access Rd D B C 10 Main St West Valley Hwy R St D D D 11 15th St SW West Valley Hwy C St SW E D D 12 C St SW Ellingson Rd SR - 18 D B C 13 West Valley Hwy 37th St NE 15th St NE E B C 14 S 277th St Frontage Rd L St NE E C C 15 R St SE / Kersey Way Howard Rd Lake Tapps Pkwy D B B 16 Lake Tapps Pkwy East Valley Hwy Kersey Way SE D C C 17 A St NW / B St NW 3rd St NW S 277th St D C B 18 8th St NE / Lea Hill Rd Harvey Rd 124th Ave SE E C B 19 SE 312th St / 132nd Ave SE 124th Ave SE SR - 18 D B B 20 105th Pl SE / SE 320th St Lea Hill Rd 124th Ave SE D A C 21 Lakeland Hills Way SE Lake Tapps Pkwy A St SE E D C 22 29th St SE / Riverwalk Dr A St SE Auburn Way S D D C 23 3rd St SW / Cross St C St Auburn Way S F F E 24 41st St SE / Ellingson Rd A St SE C St SE F F F 25 West Valley Hwy 15th St NW 15th St SW E D E * **Total travel time in the eastbound direction cannot exceed 1,000 seconds for this corridor to meet the LOS Standards Corridor segments within Downtown Auburn may operate at LOS E in accordance with the Auburn Downtown Plan. All other arterial and collector corridors must operate at LOS D or better, unless otherwise indicated. 2014 LOS City of Auburn Capital Facilities Plan 21 Concurrency (Adequate Public Facilities) Concurrency involves matching public facilities and new development. The GMA extends concurrency to transportation facilities by requiring that new development be served by adequate roads and public transportation service, and that development is not permitted to cause these transportation facilities to operate below level of service standards that are adopted by local governments in their comprehensive plans. In compliance with the GMA, adequate transportation system facilities must be available within six years of the time of occupancy and use of new development. Capital Facilities Projects and Financing The City’s transportation facilities include projects totaling $139,099,446. Tables T-2, T-2A and T-2B show the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets As Table T-3 shows, operating budget impacts of $267,300 are forecasted for transportation facilities during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 22 TABLE T- 2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING TRANSPORTATION – ARTERIAL STREET 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 28 Harvey Road & 8th Street NE Intersection Improvements Long-Term Debt 84,500 84,100 83,598 83,196 82,794 82,392 500,580 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - - - PWTF - - - - - - - Traffic Impact Fees 84,500 84,100 83,598 83,196 82,794 82,392 500,580 29 Lake Tapps Parkway ITS Expansion Capital Costs 105,000 900,000 - - - - 1,005,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Secured)82,950 711,000 - - - - 793,950 Traffic Impact Fees 22,050 189,000 - - - - 211,050 30 SE 320th Street/116th Avenue SE Roundabout Capital Costs 325,000 30,000 1,370,000 - - - 1,725,000 Funding Sources: Unrestricted Street Revenue 35,000 5,000 - - - - 40,000 Grants (Unsecured)290,000 25,000 1,370,000 - - - 1,685,000 Traffic Impact Fees - - - - - - - 31 29th Street SE & R Street SE Intersection Improvements Capital Costs - - 450,000 1,000,000 - - 1,450,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - 360,000 800,000 - - 1,160,000 Traffic Impact Fees - - 90,000 200,000 - - 290,000 32 M Street SE & 29th Street SE Intersection Safety Improvements Capital Costs 50,000 - - 600,000 - - 650,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - - 500,000 - - 500,000 Traffic Impact Fees 50,000 - - 100,000 - - 150,000 33 R Street SE & 21st Street SE Intersection Safety Improvements Capital Costs 75,000 - - 800,000 - - 875,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - - 700,000 - - 700,000 Traffic Impact Fees 75,000 - - 100,000 - - 175,000 34 Auburn Way S and 6th Street SE Capital Costs - - - 100,000 100,000 1,000,000 1,200,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - - 80,000 80,000 800,000 960,000 Traffic Impact Fees - - - 20,000 20,000 200,000 240,000 35 C Street SW & 15th Street SW Intersection Improvements Capital Costs - - - 200,000 1,000,000 - 1,200,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - - - 800,000 - 800,000 Traffic Impact Fees - - - 200,000 200,000 - 400,000 36 124th Ave SE Corridor & 320th Intersection Improvements Capital Costs - - - 350,000 1,600,000 - 1,950,000 Funding Sources: Unrestricted Street Revenue - - - 175,000 150,000 - 325,000 Grants (Unsecured)- - - - 1,200,000 - 1,200,000 Other (GRC)- - - 175,000 250,000 - 425,000 37 124th Avenue SE & SE 284th Street Intersection Safety Improvements Capital Costs - - - - 100,000 600,000 700,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - - - - 450,000 450,000 Traffic Impact Fees - - - - 100,000 150,000 250,000 City of Auburn Capital Facilities Plan 23 TABLE T- 2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 38 F Street SE, 4th to AWS Capital Costs - - 3,264,000 - - - 3,264,000 Funding Sources: Unrestricted Street Revenue - - 500,000 - - - 500,000 Other - - 2,100,000 - - - 2,100,000 Traffic Impact Fees - - 664,000 - - - 664,000 39 Evergreen Heights Safe Routes to School Improvements Capital Costs - - - 410,000 2,270,000 - 2,680,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - 350,000 1,870,000 - 2,220,000 Traffic Impact Fees - - - 60,000 400,000 - 460,000 Other (Private Development)- - - - - - - 40 Riverwalk Drive SE Non-Motorized Improvements Capital Costs - - - 250,000 1,500,000 - 1,750,000 Funding Sources: Unrestricted Street Revenue - - - 125,000 125,000 - 250,000 Grants (Unsecured)- - - - 1,250,000 - 1,250,000 Other (MIT)- - - 125,000 125,000 - 250,000 41 BNSF & A St SE Pedestrian Crossing Improvements Capital Costs - - - - 650,000 4,900,000 5,550,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - 400,000 3,500,000 3,900,000 Traffic Impact Fees - - - - 250,000 1,400,000 1,650,000 Other - - - - - - - 42 Lea Hill Safe Routes to Schools Capital Costs 20,000 1,420,000 387,000 - - - 1,827,000 Funding Sources: Unrestricted Street Revenue 3,000 213,000 58,050 - - - 274,050 Grants (Unsecured)17,000 1,207,000 328,950 - - - 1,552,950 Traffic Impact Fees - - - - - - - Other - - - - - - - 43 M Street Underpass Capital Costs - - - - - - - Long-Term Debt 123,800 123,500 123,135 122,843 122,550 122,258 738,086 Funding Sources: Unrestricted Street Revenue - - - - - - - Traffic Impact Fees 123,800 123,500 123,135 122,843 122,550 122,258 738,086 PWTF Loan - - - - - - - Other (Other Agencies)- - - - - - - 44 A Street Loop Capital Costs - 350,000 1,350,000 - - - 1,700,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Traffic Impact Fees - 70,000 270,000 - - - 340,000 Grants - 280,000 1,080,000 - - - 1,360,000 Other (Other Agencies)- - - - - - - 45 Auburn Way S Improvements (Hemlock St SE to Poplar St SE) Capital Costs - - 1,500,000 1,500,000 7,250,000 7,250,000 17,500,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants (Unsecured)- - 1,297,500 1,297,500 5,800,000 5,800,000 14,195,000 Traffic Impact Fees - - 202,500 202,500 1,450,000 1,450,000 3,305,000 Other (MIT)- - - - - - - 46 M Street NE, E. Main to 4th Capital Costs 50,000 - 350,000 1,250,000 - - 1,650,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - - - Traffic Impact Fees 50,000 - 350,000 1,250,000 - - 1,650,000 City of Auburn Capital Facilities Plan 24 TABLE T- 2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 47 46th Place S Realignment Capital Costs - - - - - 825,000 825,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - 575,000 575,000 Traffic Impact Fees - - - - - 250,000 250,000 48 124th Ave SE Corridor Improvements Phase 2 Capital Costs - - - 400,000 1,100,000 2,500,000 4,000,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - 300,000 880,000 2,000,000 3,180,000 Traffic Impact Fees - - - 100,000 220,000 500,000 820,000 49 R Street Bypass Capital Costs - - - - - 650,000 650,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Traffic Impact Fees - - - - - 150,000 150,000 Other - - - - - 500,000 500,000 50 SE 320th Street Corridor Improvements Phase 1 Capital Costs - - 425,000 695,000 2,500,000 - 3,620,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - 340,000 556,000 2,000,000 - 2,896,000 Traffic Impact Fees - - 85,000 139,000 500,000 - 724,000 51 West Valley Highway Improvements (15th St NW to W Main St) Capital Costs 25,000 - 100,000 - 600,000 3,000,000 3,725,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - 480,000 2,400,000 2,880,000 Traffic Impact Fees 25,000 - 100,000 - 120,000 600,000 845,000 52 Auburn Regional Growth Center Access Improvements Capital Costs - - 400,000 100,000 1,500,000 - 2,000,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - 320,000 80,000 1,200,000 - 1,600,000 Traffic Impact Fees - - 80,000 20,000 300,000 - 400,000 53 M Street SE Corridor (8th St SE to AWS) Capital Costs - - - - 2,050,000 5,250,000 7,300,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - 975,000 4,200,000 5,175,000 Traffic Impact Fees - - - - 750,000 750,000 1,500,000 Other (Development)- - - - 325,000 300,000 625,000 54 Lea Hill Segment 1 (R St NE to 105th Pl SE) Capital Costs - - - 2,900,000 5,500,000 5,500,000 13,900,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - 2,310,000 4,400,000 4,400,000 11,110,000 Traffic Impact Fees - - - 590,000 1,100,000 1,100,000 2,790,000 Other - - - - - - - 55 Lea Hill Rd Segment 2 (105th Ave SE to 112th Ave SE) Capital Costs - - - - 3,500,000 8,500,000 12,000,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - 2,900,000 7,100,000 10,000,000 Traffic Impact Fees - - - - 600,000 1,400,000 2,000,000 Other - - - - - - - City of Auburn Capital Facilities Plan 25 TABLE T- 2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 56 Lea Hill Rd Segment 3 (112th Ave SE to 124th Ave SE) Capital Costs - - - - - 1,000,000 1,000,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - 750,000 750,000 Traffic Impact Fees - - - - - 250,000 250,000 Other - - - - - - - 57 West Valley Highway Improvements (SR-18 to 15th St SW) Capital Costs - - 400,000 2,000,000 - - 2,400,000 Funding Sources: Grants - - 320,000 1,600,000 - - 1,920,000 Traffic Impact Fees - - 80,000 400,000 - - 480,000 Other - - - - - - - 58 Stewart Road (Lake Tapps Parkway Corridor) Capital Costs - - 100,000 - - - 100,000 Funding Sources: Unrestricted Street Revenue - - 66,000 - - - 66,000 Traffic Impact Fees - - - - - - - Traffic Mitigation Fees - - 34,000 - - - 34,000 59 A Street NW, Phase 1 Capital Costs 25,000 25,000 25,000 25,000 - - 100,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - - - Traffic Impact Fees 25,000 25,000 25,000 25,000 - - 100,000 60 A Street SE & Lakeland Hills Way SE Intersection Safety & Capacity Imp. Capital Costs 50,000 - - - - - 50,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Grants - - - - - - - Traffic Impact Fees 50,000 - - - - - 50,000 61 Kersey Way Study Capital Costs 20,000 - - - - - 20,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Traffic Mitigation Fees 20,000 - - - - - 20,000 62 A Street SE Safety Improvements Study Capital Costs 55,000 - - - - - 55,000 Funding Sources: Unrestricted Street Revenue 55,000 - - - - - 55,000 Grants - - - - - - - Other - - - - - - - Subtotal, Capacity Projects: Capital Costs 1,008,300 2,932,600 10,327,733 12,786,039 31,425,344 41,179,650 99,659,666 City of Auburn Capital Facilities Plan 26 TABLE T- 2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 63 Signal Replacement Program Capital Costs - - 75,000 525,000 - 75,000 675,000 Funding Sources: Unrestricted Street Revenue - - 75,000 525,000 - 75,000 675,000 Other - - - - - - - 64 ITS Dynamic Message Signs Capital Costs 20,000 125,000 - 20,000 125,000 - 290,000 Funding Sources: Unrestricted Street Revenue 20,000 125,000 - 20,000 125,000 - 290,000 Grants - - - - - - - 65 Citywide Pedestrian Accessibility & Safety Program Capital Costs 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Funding Sources: Unrestricted Street Revenue 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Other - - - - - - - 66 Citywide Arterial Bicycle & Safety Improvements Capital Costs 100,000 - 100,000 - 100,000 - 300,000 Funding Sources: Unrestricted Street Revenue 100,000 - 100,000 - 100,000 - 300,000 Other - - - - - - - 67 Downtown Transit Center Access Improvements Capital Costs - 125,000 - - - - 125,000 Funding Sources: Unrestricted Street Revenue - 25,000 - - - - 25,000 Other (Sound Transit)- 100,000 - - - - 100,000 68 Auburn Way N/S (4th St NE to 4th St SE) Capital Costs - - - 50,000 600,000 200,000 850,000 Funding Sources: Unrestricted Street Revenue - - - 50,000 300,000 100,000 450,000 Grants (Unsecured)- - - - 300,000 100,000 400,000 Other - - - - - - - 69 Auburn Way S (SR-164) Poplar Curve Safety Improvements Capital Costs 55,000 213,200 - - - - 268,200 Funding Sources: Unrestricted Street Revenue 5,500 - - - - - 5,500 Grants (Unsecured)49,500 213,200 - - - - 262,700 Other - - - - - - - 70 AWS Streetscape Improvements (SR 18 to M St SE) Capital Costs - - - - 1,850,000 2,650,000 4,500,000 Funding Sources: Unrestricted Street Revenue - - - - 200,000 200,000 400,000 Grants - - - - 1,650,000 2,450,000 4,100,000 71 S 272nd/277th St Corridor Capacity & Non-Motorized Trail Improvements Capital Costs 20,000 20,000 20,000 20,000 20,000 20,000 120,000 Funding Sources: Unrestricted Street Revenue - - - - - - - Traffic Impact Fees 20,000 20,000 20,000 20,000 20,000 20,000 120,000 Other - - - - - - - Subtotal, Non-Capacity Projects: Capital Costs 295,000 583,200 295,000 715,000 2,795,000 3,045,000 7,728,200 City of Auburn Capital Facilities Plan 27 TABLE T- 2 (continued) 2019 2020 2021 2022 2023 2024 Total SUMMARY: CAPITAL COSTS Capacity Projects 800,000 2,725,000 10,121,000 12,580,000 31,220,000 40,975,000 98,421,000 Non-Capacity Projects 295,000 583,200 295,000 715,000 2,795,000 3,045,000 7,728,200 Long-Term Debt 208,300 207,600 206,733 206,039 205,344 204,650 1,238,666 Total Costs 1,303,300 3,515,800 10,622,733 13,501,039 34,220,344 44,224,650 107,387,866 FUNDING SOURCES: Unrestricted Street Revenue 318,500 468,000 899,050 995,000 1,100,000 475,000 4,255,550 Grants 439,450 2,436,200 5,416,450 8,573,500 26,185,000 34,525,000 77,575,600 Traffic Impact Fees 525,350 511,600 2,173,233 3,632,539 6,235,344 8,424,650 21,502,716 Traffic Mitigation Fees 20,000 - 34,000 - - - 54,000 Other (Other Agencies)- 100,000 2,100,000 300,000 700,000 800,000 4,000,000 Total Funding 1,303,300 3,515,800 10,622,733 13,501,039 34,220,344 44,224,650 107,387,866 City of Auburn Capital Facilities Plan 28 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Harvey Rd NE/8th St NE Intersection Improvements TIP# I-5 Project No:cp0611 Project Type:Capacity Project Manager:None LOS Corridor ID# 5, 19 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees (Debt Service)691,974 84,805 84,500 84,100 861,279 Traffic Impact Fees 204,500 204,500 PWTF 1,527,300 1,527,300 2,423,774 84,805 84,500 84,100 2,593,079 Capital Expenditures: Design 327,500 - - - 327,500 Right of Way 200,400 - - - 200,400 Construction 1,203,900 - - - 1,203,900 Long Term Debt - PWTF 691,974 84,805 84,500 84,100 861,279 2,423,774 84,805 84,500 84,100 2,593,079 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees (Debt Service)83,598 83,196 82,794 82,392 500,580 Traffic Impact Fees - - - - - PWTF - - - - - 83,598 83,196 82,794 82,392 500,580 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - Long Term Debt - PWTF 83,598 83,196 82,794 82,392 500,580 83,598 83,196 82,794 82,392 500,580 Grants / Other Sources: Total Expenditures: Total Expenditures: Forecasted Project Cost: Description: Add one eastbound through/right turn-lane on 8th St NE to the west of Harvey Rd. Modify traffic signals and traffic channelization to accommodate the new lane. The additional lane will reduce traffic delays and queuing at the intersection of Harvey Rd and 8th St NE in all directions. This project will reconstruct M St NE from 4th St NE to 8th St NE, a segment of roadway approximately 0.3 miles long with a four-lane cross-section. The reconstruction will address the existing poor pavement condition and fill in any gaps in the sidewalk network. Progress Summary: Project was completed in 2010. Ongoing budget is for Public Works Trust Fund Loan debt payments scheduled through 2028. Future Impact on Operating Budget: This project will have no additional impact on the operating budget for street maintenance. Total Funding Sources: Total Funding Sources: City of Auburn Capital Facilities Plan 29 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lake Tapps Parkway ITS Expansion TIP# I-6 Project No:cp1618 Project Type:Capacity Project Manager:Kevin Thompson LOS Corridor ID# 17 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured Federal - - 82,950 711,000 82,950 Grants- Unsecured Federal - - - - - Traffic Impact Fees 4,051 - 22,050 189,000 26,101 Other - - - - - 4,051 - 105,000 900,000 109,051 Capital Expenditures: Design 4,051 - 105,000 - 109,051 Right of Way - - - - - Construction - - - 900,000 - 4,051 - 105,000 900,000 109,051 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured Federal - - - - 793,950 Grants- Unsecured Federal - - - - - Traffic Impact Fees - - - - 211,050 Other - - - - - - - - - 1,005,000 Capital Expenditures: Design - - - - 105,000 Right of Way - - - - - Construction - - - - 900,000 - - - - 1,005,000 Grants / Other Sources: Description: The project funds the design, coordination, permitting, and construction of new Intelligent Transportation System (ITS) infrastructure along Lake Tapps Parkway from Lakeland Hills Way to East Valley Highway, and along East Valley Highway to Lakeland Hills Way. The proposed ITS infrastructure includes conduit, fiber, VMS signage, cameras, network communication upgrades, and weather stations along the route. Progress Summary: Federal Grant application was submitted to PSRC in May 2014. Project was awarded design and construction funds in 2016; the awarded amount will not be released to the City until 2019. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 30 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: SE 320th Street/116th Avenue SE Roundabout TIP# I-7 Project No:asbd29 Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 25 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - 35,000 5,000 35,000 Grants- Unsecured (Federal)- - 290,000 25,000 290,000 Traffic Impact Fees - - - - - Other - - - - - - - 325,000 30,000 325,000 Capital Expenditures: Design - - 325,000 - 325,000 Right of Way - - - 30,000 - Construction - - - - - - - 325,000 30,000 325,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - 40,000 Grants- Unsecured (Federal)1,370,000 - - - 1,685,000 Traffic Impact Fees - - - - - Other - - - - - 1,370,000 - - - 1,725,000 Capital Expenditures: Design - - - - 325,000 Right of Way - - - - 30,000 Construction 1,370,000 - - - 1,370,000 1,370,000 - - - 1,725,000 Grants / Other Sources: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: This project will fund the design, right-of-way acquisition, and construction of a modern roundabout at the SE 320th Street intersection with 116th Avenue SE. The intersection currently has stop control on the 116th Avenue SE approaches. Progress Summary: Grant funding was applied for in 2018. If awarded, the design phase would begin in 2019, with construction anticipated to be completed in 2021. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $1,000. City of Auburn Capital Facilities Plan 31 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: 29th St SE/R St SE Intersection Improvements TIP# I-8 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# 16, 27 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)360,000 800,000 - - 1,160,000 Traffic Impact Fees 90,000 200,000 - - 290,000 REET - - - - - Other - - - - - 450,000 1,000,000 - - 1,450,000 Capital Expenditures: Design 450,000 - - - 450,000 Right of Way - - - - - Construction - 1,000,000 - - 1,000,000 450,000 1,000,000 - - 1,450,000 Grants / Other Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Description: This project funds the design, right-of-way acquisition and construction of intersection capacity and safety improvements at the 29th St SE/R St SE intersection. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $500. City of Auburn Capital Facilities Plan 32 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: M Street SE & 29th Street SE Intersection Safety Improvements TIP# I-9 Project No:asbd21 Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 27 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - 50,000 - 50,000 REET2 - - - - - Other - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- 500,000 - - 500,000 Traffic Impact Fees - 100,000 - - 150,000 REET2 - - - - - Other - - - - - - 600,000 - - 650,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction - 600,000 - - 600,000 - 600,000 - - 650,000 Grants / Other Sources: Total Expenditures: Description: This project includes the design and construction of a new traffic signal. Progress Summary: M St SE & 29th St SE is currently an all-way stop controlled intersection, experiences significant congestion in the peak traffic hours, and has a documented high collision history. Preliminary design is scheduled to be initiated in 2019. Construction will be completed when project is fully funded. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 33 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: R Street SE & 21st Street SE Intersection Safety Improvements TIP# I-10 Project No:asbd22 Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 16 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - 75,000 - 75,000 REET2 - - - - - Other - - - - - - - 75,000 - 75,000 Capital Expenditures: Design - - 75,000 - 75,000 Right of Way - - - - - Construction - - - - - - - 75,000 - 75,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- 700,000 - - 700,000 Traffic Impact Fees - 100,000 - - 175,000 REET2 - - - - - Other - - - - - - 800,000 - - 875,000 Capital Expenditures: Design - - - - 75,000 Right of Way - - - - - Construction - 800,000 - - 800,000 - 800,000 - - 875,000 Grants / Other Sources: Total Expenditures: Description: This project includes the design and construction of intersection safety improvements. Progress Summary: R St SE & 21st St SE is currently a two-way stop controlled intersection, experiences significant congestion in the peak traffic hours, and has a documented high collision history. Analysis to determine appropriate intersection control and preliminary design are anticipated to be completed in 2019. Construction will be completed when the project is fully funded. Interim improvements were constructed in 2017 to improve the pedestrian crossing in partnership with the Muckleshoot Indian Tribe. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 34 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way S and 6th Street SE TIP# I-11 Project No:cpxxx Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 3 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- 80,000 80,000 800,000 960,000 Traffic Impact Fees - 20,000 20,000 200,000 240,000 Other - - - - - - 100,000 100,000 1,000,000 1,200,000 Capital Expenditures: Design - 100,000 - - 100,000 Right of Way - - 100,000 - 100,000 Construction - - - 1,000,000 1,000,000 - 100,000 100,000 1,000,000 1,200,000 Grants / Other Sources: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: This project will fund the design, right-of-way acquisition, and construction of a new southbound right-turn pocket on Auburn Way S at the intersection with 6th Street SE/SR-18 EB ramps. Progress Summary: The project phases will be completed when grant funding is secured. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $2,500. City of Auburn Capital Facilities Plan 35 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: C Street SW & 15th Street SW Intersection Improvements TIP# I-12 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# 12, 13 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - 800,000 - 800,000 Traffic Impact Fees - 200,000 200,000 - 400,000 REET2 - - - - - Other - - - - - - 200,000 1,000,000 - 1,200,000 Capital Expenditures: Design - 200,000 - - 200,000 Right of Way - - - - - Construction - - 1,000,000 - 1,000,000 - 200,000 1,000,000 - 1,200,000 Grants / Other Sources: Total Expenditures: Description: This project will construct a southbound right-turn pocket, re-channelize the intersection to provide two southbound through lanes, and replace the existing span wire traffic signal with a new traffic signal. Progress Summary: Design is planned to begin in 2022. Construction will be scheduled once full funding is secured. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $2,500. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 36 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: 124th Ave SE Corridor & 320th Intersection Improvements TIP# I-13 Project No:asbd04 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 23, 25 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET 2 - - - - - Other (GRC)- - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - 175,000 150,000 - 325,000 Grants- Unsecured (Fed,State,Local)- - 1,200,000 - 1,200,000 REET 2 - - - - - Other (GRC)- 175,000 250,000 - 425,000 - 350,000 1,600,000 - 1,950,000 Capital Expenditures: Design - 350,000 - - 350,000 Right of Way - - 100,000 - 100,000 Construction - - 1,500,000 - 1,500,000 - 350,000 1,600,000 - 1,950,000 Grants / Other Sources: Description: This project will fund the design, right-of-way acquisition, and construction of improvements to the intersection of SE 320th St and 124th Ave SE. The intersection is located at the main entrance to Green River College and will require additional on- site improvements to be constructed. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $2,500. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 37 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: 124th Avenue SE & SE 284th Street Intersection Safety Improvements TIP# I-14 Project No:cpxxxx Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - REET2 - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - 450,000 450,000 Traffic Impact Fees - - 100,000 150,000 250,000 REET2 - - - - - Other - - - - - - - 100,000 600,000 700,000 Capital Expenditures: Design - - 100,000 - 100,000 Right of Way - - - 50,000 50,000 Construction - - - 550,000 550,000 - - 100,000 600,000 700,000 Grants / Other Sources: Total Expenditures: Description: This project will complete the design phase, purchase ROW, and construct safety and capacity improvements at this intersection. The improvements will include a left-turn lane for northbound vehicles on 124th Avenue SE. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $2,000. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 38 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: F Street SE Non-Motorized Improvements (Downtown to Les Gove) TIP# N-5 Project No:cp1416 Project Type:Capacity, Non-Motorized Project Manager:Seth Wickstrom LOS Corridor ID# N/A Activity: 2018 YE 2017 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - 40,000 - - 40,000 Grants- Secured Federal 331,990 188,000 - - 519,990 Grants-Unsecured Federal - - - - - Traffic Impact Fees 55,789 74,200 - - 129,989 Other - - - - - 387,779 302,200 - - 689,979 Capital Expenditures: Design 387,779 252,200 - - 639,979 Right of Way - 50,000 - - 50,000 Construction - - - - - 387,779 302,200 - - 689,979 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 500,000 - - - 500,000 Grants- Unsecured (Fed)- - - - - Grants-Unsecured Federal - - - - - Traffic Impact Fees 664,000 - - - 664,000 Other 2,100,000 - - - 2,100,000 3,264,000 - - - 3,264,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 3,264,000 - - - 3,264,000 3,264,000 - - - 3,264,000 Grants / Other Sources: Description: The F St SE project includes pavement rehabilitation, installation of curbs, gutters, bike lanes, sidewalks, ADA improvements, utility undergrounding, LED street lighting, new two way center left turn-lane, crash attenuation at the supports for the BNSF railroad bridge, wayfinding signage and a "Bicycle Boulevard" designation of roadway connections between Auburn City Hall and the Les Gove Park Campus. This project improves mobility and safety along the corridor and will complete a gap in the non-motorized network between Auburn's Downtown and the Les Gove Community Campus. The major infrastructure improvements are approximately 0.3 miles long and the "Bicycle Boulevard" improvements are just over a mile long. Progress Summary: Preliminary design and survey work was completed in 2009. Federal Grant was secured in 2014 for design and ROW phases. Design phase was initiated in 2015. Construction is pending based on the ability to secure grant funding. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $4,100. Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 39 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Evergreen Heights Safe Routes to School Improvements, Phase 1 & 2 TIP# N-8 Project No:asbd14, cp1810 Project Type:Capacity, Non-Motorized Project Manager:TBD LOS Corridor ID# 37 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - 24,500 - - 24,500 Grants- Unsecured State - - - - - Mitigation Fees - 100,000 - - 100,000 Other (Auburn Sch. Dist.)- 122,500 - - 122,500 Traffic Impact - - - - - - 247,000 - - 247,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 247,000 - - 247,000 - 247,000 - - 247,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured State - 350,000 1,870,000 - 2,220,000 Mitigation Fees - - - - - Other (Auburn Sch. Dist.)- - - - - Traffic Impact - 60,000 400,000 - 460,000 - 410,000 2,270,000 - 2,680,000 Capital Expenditures: Design - 200,000 - - 200,000 Right of Way - 210,000 - - 210,000 Construction - - 2,270,000 - 2,270,000 - 410,000 2,270,000 - 2,680,000 Grants / Other Sources: Auburn School District partnership includes direct financial contribution and ROW dedication. Description: Phase 1 of the project includes the vertical realignment of S 316th Street along the school frontage to address a sight- distance problems associated with the school driveways and at the intersection with 56th Avenue S. This improvement is being constructed by the school district as part of their half street improvements associated with on-site improvements to the school. Phase 2 of the project will realign the 56th Avenue S approach to S 316th Street to the east to remove the offset between the street approach and school driveway, and a roundabout will be constructed at the S 316th Street/56th Avenue S intersection replacing the existing all-way stop-control. Other project elements include street lighting and required storm water system improvements. Progress Summary: A partnership with the Auburn School District was created for the Phase 1 improvements, and are scheduled to be constructed during 2018. Phase 2 will be dependent on the ability to secure grant funding. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 40 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Riverwalk Drive SE Non-Motorized Improvements TIP# N-9 Project No:asbd26 Project Type:Capacity, Non-Motorized Project Manager:TBD LOS Corridor ID# 27 Previous Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other (MIT)- - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - 125,000 125,000 - 250,000 Grants- Unsecured (Fed,State,Local)- - 1,250,000 - 1,250,000 Traffic Impact Fees - - - - - REET2 - - - - - Other (MIT)- 125,000 125,000 - 250,000 - 250,000 1,500,000 - 1,750,000 Capital Expenditures: Design - 250,000 - - 250,000 Right of Way - - - - - Construction - - 1,500,000 - 1,500,000 - 250,000 1,500,000 - 1,750,000 Grants / Other Sources: Total Expenditures: Description: This project is planned as a partnership between the City of Auburn and the Muckleshoot Indian Tribe to improve pedestrian safety by constructing sidewalks, street lighting, and related storm improvements on Riverwalk Drive SE between Auburn Way S and Howard Road SE. This project will close a major gap in the sidewalk system and ties into the proposed improvements on Auburn Way South. Progress Summary: Design is anticipated to begin in 2022. Construction will be completed when funds are available. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $10,000. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 41 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: BNSF & A St SE Pedestrian Crossing Improvements TIP# N-10 Project No:cpxxx Project Type:Capacity, Safety, Non-Motorized Project Manager:TBD LOS Corridor ID# 10 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - 400,000 3,500,000 3,900,000 Traffic Impact Fees - - 250,000 1,400,000 1,650,000 Other - - - - - - 650,000 4,900,000 5,550,000 Capital Expenditures: Design - - 650,000 - 650,000 Right of Way - - - - - Construction - - - 4,900,000 4,900,000 - - 650,000 4,900,000 5,550,000 Grants / Other Sources: Total Expenditures: Description: This project will fund the permitting, design, and construction of a new pedestrian underpass of the BNSF Railway mainline tracks south of 41st St SE and a new signalized pedestrian crossing of A St SE. This project is needed to improve pedestrian walking routes and safety. Progress Summary: Consultant feasibility analysis was completed to refine project scope, alignment, and identify design issues. Future project phases will be completed when grant funding is secured. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,500. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 42 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lea Hill Safe Routes to Schools TIP# N-11 Project No:asbd31 Project Type:Capacity, Non-Motorized Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - 3,000 213,000 3,000 Grants- Unsecured Federal - - 17,000 1,207,000 17,000 Traffic Impact Fees - - - - - Other - - - - - - - 20,000 1,420,000 20,000 Capital Expenditures: Design - - 20,000 70,000 20,000 Right of Way - - - - - Construction - - - 1,350,000 - - - 20,000 1,420,000 20,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 58,050 - - - 274,050 Grants- Unsecured Federal 328,950 - - - 1,552,950 Traffic Impact Fees - - - - - Other - - - - - 387,000 - - - 1,827,000 Capital Expenditures: Design - - - - 90,000 Right of Way - - - - - Construction 387,000 - - - 1,737,000 387,000 - - - 1,827,000 Grants / Other Sources: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: The project will design and construct non-motorized improvements along SE 304th St from Hazelwood Elementary School extending east to 124th Ave SE and continuing south along 124th Ave SE to Lea Hill Elementary School. The project will complete multiple gaps in the existing non-motorized network. The elements of work include construction of approximately 2,400 linear feet of sidewalk to match adjacent widths. The project will also construct curb and gutter, ADA compliant curb ramps, driveways aprons and retaining walls associated with the new sidewalks. Utility poles will need to be relocated to accommodate the proposed sidewalk alignment in some locations. Where sidewalks are installed the bike network will be extended in most locations along the project to include the connection to and from the existing bicycle improvements constructed as part of the SE 304th St/124th Ave SE roundabout. Additional lighting is proposed for pedestrian safety and will be incorporated onto existing/relocated utility poles. Ancillary work, including but not limited to, property restoration, grading, storm upgrades, school zone beacon relocation, channelization, fencing, landscaping and mailbox relocation will be addressed with the project. Progress Summary: Grant funding application was submitted in 2018. If secured the design phase will be started in 2019 and construction completed during 2021. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 43 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: M Street Underpass (3rd St SE to 8th St SE) TIP# R-3 Project No:c201a0 Project Type:Capacity Project Manager:Ryan Vondrak LOS Corridor ID# 6 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - Grants- Secured (Fed,State,Local)9,696,313 - - - 9,696,313 REET2 1,140,001 - - - 1,140,001 Traffic Impact Fees (Construction)4,162,000 - - - 4,162,000 Traffic Impact Fees (Debt Service)519,695 124,013 123,800 123,500 767,508 Traffic Mitigation Fees 660,000 - - - 660,000 PWTFL (30 years)3,284,857 - - - 3,284,857 Other Sources (Other Agencies)*3,126,104 - - - 3,126,104 22,588,970 124,013 123,800 123,500 22,836,783 Capital Expenditures: Design 2,688,924 - - - 2,688,924 Right of Way 3,358,443 - - - 3,358,443 Construction 16,021,908 - - - 16,021,908 PWTFL Debt Service 519,695 124,013 123,800 123,500 767,508 22,588,970 124,013 123,800 123,500 22,836,783 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - REET2 - - - - - Traffic Impact Fees (Construction)- - - - - Traffic Impact Fees (Debt Service)123,135 122,843 122,550 122,258 738,086 Traffic Mitigation Fees - - - - - PWTFL (30 years)- - - - - Other Sources (Other Agencies)*- - - - - 123,135 122,843 122,550 122,258 738,086 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - PWTFL Debt Service 123,135 122,843 122,550 122,258 738,086 123,135 122,843 122,550 122,258 738,086 Description: Construction of a grade separated railroad crossing of M Street SE at the BNSF Stampede Pass tracks. Progress Summary: Construction was completed in 2014. Debt Service is scheduled each year through 2041. Future Impact on Operating Budget: This project will have no additional impact on the operating budget for street maintenance. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Grants / Other Sources: Other Agencies are King County Metro Sewer, Port of Seattle, Port of Tacoma, and BNSF Railway City of Auburn Capital Facilities Plan 44 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A Street Loop TIP# R-4 Project No:asbd32 Project Type:Capacity Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Interlocal Grant - - - 280,000 - Traffic Impact Fees - - - 70,000 - Other - - - - - - - - 350,000 - Capital Expenditures: Design - - - 350,000 350,000 Right of Way - - - - - Construction - - - - - - - - 350,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Interlocal Grant 1,080,000 - - - 1,360,000 Traffic Impact Fees 270,000 - - - 340,000 Other - - - - - 1,350,000 - - - 1,700,000 Capital Expenditures: Design - - - - 350,000 Right of Way - - - - - Construction 1,350,000 - - - 1,350,000 1,350,000 - - - 1,700,000 Grants / Other Sources:Interlocal funding from Sound Transit Total Funding Sources: Description: The project will design and construct a new one-way (eastbound) roadway connection between A Street SW and A Street SE. The new intersection with A Street SE will allow an unsignalized right-turn movement onto southbound A Street SE, providing an alternative to the intersection of 2nd/3rd Street SE and A Street SE. The roadway will be constructed as a complete street to accommodate non-motorized road users. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $1,500. Total Funding Sources: Total Expenditures: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 45 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way S Improvements (Hemlock St SE to Poplar St SE)TIP# R-6 Project No:cp1622 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 4 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees 7,590 - - - 7,590 REET2 - - - - - Other - - - - - 7,590 - - - 7,590 Capital Expenditures: Design 7,590 - - - 7,590 Right of Way - - - - - Construction - - - - - 7,590 - - - 7,590 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)1,297,500 1,297,500 5,800,000 5,800,000 14,195,000 Traffic Impact Fees 202,500 202,500 1,450,000 1,450,000 3,305,000 REET2 - - - - - Other - - - - 1,500,000 1,500,000 7,250,000 7,250,000 17,500,000 Capital Expenditures: Design 1,500,000 - - - 1,500,000 Right of Way - 1,500,000 - - 1,500,000 Construction - - 7,250,000 7,250,000 14,500,000 1,500,000 1,500,000 7,250,000 7,250,000 17,500,000 Grants / Other Sources: Total Expenditures: Description: Widen Auburn Way S between Hemlock St SE and Poplar St SE to accommodate two general purpose lanes in each direction, turn lanes, access management medians, U-turns, curb, gutter, sidewalk, illumination, transit stop improvements, new traffic signals, Intelligent Transportation Systems, streetscape and storm improvements. The project length is approximately 0.4 miles. Progress Summary: This project is proposed to be a partnership between the City of Auburn and the MIT. Pre-design effort will produce a project construction cost estimate. Major grant funding is expected to come from future state and federal competitions. This project will extend corridor improvements along Auburn Way S completed under previous projects. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $25,000. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 46 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: M Street NE (E Main St to 4th St NE) TIP# R-7 Project No:asbd12 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 5 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - 50,000 - 50,000 Other - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees 350,000 1,250,000 - - 1,650,000 Other - - - - - 350,000 1,250,000 - - 1,650,000 Capital Expenditures: Design 350,000 - - - 400,000 Right of Way - 100,000 - - 100,000 Construction - 1,150,000 - - 1,150,000 350,000 1,250,000 - - 1,650,000 Grants / Other Sources: Description: This project will construct a four-lane street section on M St NE between south of E Main St and 4th St NE. Progress Summary: Pre-design will be completed during 2019 to refine project scope, alignment, and cost. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 47 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: 46th Place S Realignment TIP# R-9 Project No:cpxxx Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET 2 - - - - - Traffic Impact Fees - - - - - Other Sources - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - 575,000 575,000 REET 2 - - - - - Traffic Impact Fees - - - 250,000 250,000 Other Sources - - - - - - - - 825,000 825,000 Capital Expenditures: Design - - - 125,000 125,000 Right of Way - - - 25,000 25,000 Construction - - - 675,000 675,000 - - - 825,000 825,000 Grants / Other Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Description: The project will realign 46th Place S to the south of S 321st Street. The realignment will move the 46th Place S intersection with S 321st Street approximately 350 feet to the east of the current location. This will create two T-intersections (44th Avenue S and 46th Place S) in place of the existing four-leg intersection. The existing 46th Place S will be dead-ended to the south of S 321st Street. The project will improve safety and traffic operations at the intersections. Progress Summary: A portion of the right-of-way for the realigned roadway was dedicated as part of an adjacent development project. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. City of Auburn Capital Facilities Plan 48 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: 124th Ave SE Corridor Improvements (SE 312th to SE 318th)TIP# R-11 Project No:asbd01 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 23 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured Federal - - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured Federal - 300,000 880,000 2,000,000 3,180,000 Traffic Impact Fees - 100,000 220,000 500,000 820,000 Other - - - - - - 400,000 1,100,000 2,500,000 4,000,000 Capital Expenditures: Design - 400,000 - - 400,000 Right of Way - - 1,100,000 - 1,100,000 Construction - - - 2,500,000 2,500,000 - 400,000 1,100,000 2,500,000 4,000,000 Grants / Other Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: This project will fund the design, right-of-way acquisition, and construction of a four-lane section with bicycle and pedestrian facilities on 124th Ave SE between SE 318th St and SE 312th St, and improvements to the signalized intersection of SE 312th St and 124th Ave SE (including adding bike lanes, dual westbound left-turn lanes, dual southbound through-lanes, a northbound right-turn pocket, ITS improvements, and pedestrian safety improvements). Progress Summary: Phase 1 improvements between SE 318th and SE 316th were completed by GRC in 2012. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. City of Auburn Capital Facilities Plan 49 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: R Street Bypass (M Street SE to SR-18)TIP# R-12 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other Sources (Development)- - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - 150,000 150,000 Other Sources (Development)- - - 500,000 500,000 - - - 650,000 650,000 Capital Expenditures: Design - - - 650,000 650,000 Right of Way - - - - - Construction - - - - - - - - 650,000 650,000 Grants / Other Sources: Description: This project will complete the design and construction of the Bypass Rd, an arterial connection between M Street SE and Auburn Black Diamond Road, paralleling the Stampede Pass rail line. The project will provide an arterial connection from the newly constructed M Street Underpass to the Auburn Black Diamond Road interchange with SR-18 to keep both vehicular and freight traffic out of residential neighborhoods along R Street SE north of the Stampede Pass line. The arterial connection may also provide opportunities for partnering with the Muckleshoot Indian Tribe as they redevelop the Miles Pit area and as more definitive plans are developed for a potential new WSDOT interchange on SR-18 in the vicinity of the project. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $7,500. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 50 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: SE 320th Street Corridor Improvements (116th Ave SE to 122nd Ave SE)TIP # R-13 Project No:asbd19 Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 25 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - Grants- Unsecured Federal - - - - - Traffic Impact Fees - - - - - PWTFL - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured Federal 340,000 556,000 2,000,000 - 2,896,000 Traffic Impact Fees 85,000 139,000 500,000 - 724,000 PWTFL - - - - - Other - - - - - 425,000 695,000 2,500,000 - 3,620,000 Capital Expenditures: Design 425,000 - - - 425,000 Right of Way - 695,000 - - 695,000 Construction - - 2,500,000 - 2,500,000 425,000 695,000 2,500,000 - 3,620,000 Grants / Other Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: SE 320th St is a primary route serving Green River Community College and adjacent neighborhoods. There are very high volumes of pedestrians, bicyclists, and transit utilizing the corridor. This project will fund the design, right-of-way acquisition, and construction of non-motorized roadway and safety improvements including bicycle lanes, sidewalks, and street lighting between 122nd Ave SE and 116th Ave SE. Project length is approximately .45 miles. Progress Summary: GRC completed the design and construction for the segment between 124th Ave SE and 122nd Ave SE in 2013. The project schedule is dependent on the availability of grant funding. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. City of Auburn Capital Facilities Plan 51 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: West Valley Highway Improvements (15th Street NW to W Main Street)TIP# R-14 Project No:asbd13 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 35 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - 25,000 - 25,000 - - 25,000 - 25,000 Capital Expenditures: Design - - 25,000 - 25,000 Right of Way - - - - - Construction - - - - - - - 25,000 - 25,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - 480,000 2,400,000 2,880,000 Traffic Impact Fees 100,000 - 120,000 600,000 845,000 100,000 - 600,000 3,000,000 3,725,000 Capital Expenditures: Design 100,000 - 600,000 - 725,000 Right of Way - - - - - Construction - - - 3,000,000 3,000,000 100,000 - 600,000 3,000,000 3,725,000 Grants / Other Sources: Description: This project scope includes pavement rehabilitation and re-channelization, roadway widening, bicycle lanes, pedestrian facilities, roadway lighting, required storm system improvements, and Intelligent Transportation System improvements. Progress Summary: Survey, base mapping and pre-design are planned to be completed in 2019 to complete preliminary plans and refine project cost-estimate. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $5,000. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 52 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Regional Growth Center Access Improvements TIP# R-16 Project No:asbd24 Project Type:Capacity Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured Federal - - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured Federal 320,000 80,000 1,200,000 - 1,600,000 Traffic Impact Fees 80,000 20,000 300,000 - 400,000 REET2 - - - - - Other - - - - - 400,000 100,000 1,500,000 - 2,000,000 Capital Expenditures: Design 400,000 - - - 400,000 Right of Way - 100,000 - - 100,000 Construction - - 1,500,000 - 1,500,000 400,000 100,000 1,500,000 - 2,000,000 Grants / Other Sources: Total Expenditures: Description: The project would improve the 3rd Street NE/4th Street NE intersections with Auburn Avenue and Auburn Way N. The goals of the project are to improve traffic operations and safety and circulation for both vehicles and non-motorized users. The project will add a northbound left-turn movement and a northbound/southbound crosswalk at the 3rd Street NE intersection with Auburn Avenue, and realign the intersection of 4th St NE with Auburn Way N to eliminate the split phase operation signal improving circulation and access. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 53 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: M Street SE Corridor (8th St SE to AWS)TIP# R-17 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# 6 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other(Development)- - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - 975,000 4,200,000 5,175,000 Traffic Impact Fees - - 750,000 750,000 1,500,000 REET2 - Other(Development)- - 325,000 300,000 625,000 - - 2,050,000 5,250,000 7,300,000 Capital Expenditures: Design - - 725,000 - 725,000 Right of Way - - 1,325,000 - 1,325,000 Construction - - - 5,250,000 5,250,000 - - 2,050,000 5,250,000 7,300,000 Grants / Other Sources: Description: Widen M Street SE into a multi-lane arterial between 8th St SE and AWS, including the construction of a new traffic signal at the intersection with 12th Street SE. This project will improve mobility and is tied to corridor development. It is consistent with the Comprehensive Plan and contributes to the completion of a north/south arterial corridor. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $15,000. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 54 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lea Hill Rd Segment 1 (R St NE to 105th Pl SE) TIP# R-20 Project No:cp1806 Project Type:Capacity Project Manager:Kim Truong LOS Corridor ID# 19 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees 430,000 200,000 - - 630,000 Other - - - - - 430,000 200,000 - - 630,000 Capital Expenditures: Design - 200,000 - - 200,000 Right of Way 430,000 - - - 430,000 Construction - - - - - 430,000 200,000 - - 630,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- 2,310,000 4,400,000 4,400,000 11,110,000 Traffic Impact Fees - 590,000 1,100,000 1,100,000 2,790,000 Other - - - - - - 2,900,000 5,500,000 5,500,000 13,900,000 Capital Expenditures: Design - 2,150,000 - - 2,150,000 Right of Way - 750,000 - - 750,000 Construction - - 5,500,000 5,500,000 11,000,000 - 2,900,000 5,500,000 5,500,000 13,900,000 Grants / Other Sources: Description: Widen the existing roadway to provide a four/five-lane cross section with intersection improvements and pedestrian and bicycle facilities. Progress Summary: Two parcels along the future roadway alignment were purchased by the City in 2014, and a third in 2016. Corridor pre- design started in 2018. Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $18,300 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 55 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lea Hill Rd Segment 2 (105th Pl SE to 112th Ave SE) TIP# R-21 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# 19 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - 2,900,000 7,100,000 10,000,000 Traffic Impact Fees - - 600,000 1,400,000 2,000,000 Other - - - - - - - 3,500,000 8,500,000 12,000,000 Capital Expenditures: Design - - 2,000,000 - 2,000,000 Right of Way - - 1,500,000 - 1,500,000 Construction - - - 8,500,000 8,500,000 - - 3,500,000 8,500,000 12,000,000 Grants / Other Sources: Description: Project includes widening the existing roadway to provide a four-lane cross-section including pedestrian and bicycle facilities. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $24,100. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 56 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lea Hill Rd Segment 3 (112th Ave SE to 124th Ave SE ) TIP# R-22 Project No:cpxxxx Project Type:Capacity Project Manager:TBD LOS Corridor ID# 19 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - 750,000 750,000 Traffic Impact Fees - - - 250,000 250,000 Other - - - - - - - 1,000,000 1,000,000 Capital Expenditures: Design - - - 500,000 500,000 Right of Way - - - 500,000 500,000 Construction - - - - - - - - 1,000,000 1,000,000 Grants / Other Sources: Description: Project includes widening the existing roadway to provide a four-lane cross-section including pedestrian and bicycle facilities. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $20,300. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 57 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: West Valley Highway Improvements (SR-18 to 15th Street SW)TIP# R-23 Project No:asbd20 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 35 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)320,000 1,600,000 - - 1,920,000 Traffic Impact Fees 80,000 400,000 - - 480,000 REET2 - - - - - Other - - - - - 400,000 2,000,000 - - 2,400,000 Capital Expenditures: Design 400,000 - - - 400,000 Right of Way - - - - - Construction - 2,000,000 - - 2,000,000 400,000 2,000,000 - - 2,400,000 Grants / Other Sources: Total Expenditures: Description: This project scope includes pedestrian and bicycle facility improvements, improved roadway lighting, required storm system improvements, intersection signal replacement at 15th St SW, and Intelligent Transportation System Improvements. Progress Summary: Future Impact on Operating Budget: This annual maintenance cost for this project is estimated to be $2,500. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 58 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Stewart Road (Lake Tapps Parkway Corridor)TIP# R-24 Project No:asbd25 Project Type:Capacity Project Manager:City of Pacific LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Traffic Mitigation Fees - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 66,000 - - - 66,000 Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Traffic Mitigation Fees 34,000 - - - 34,000 100,000 - - - 100,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 100,000 - - - 100,000 100,000 - - - 100,000 Grants / Other Sources: Total Expenditures: Description: This is a City of Pacific project to widen the Stewart Road (Lake Tapps Parkway) Corridor. This is the final segment of widening in the City of Pacific which will tie in with the City of Sumner's planned final widening segment and new bridge over the White River. Completion of this corridor widening is expected to significantly relieve traffic congestion in Auburn along the A St SE and C St SE corridors. Progress Summary: City of Pacific has initiated preliminary road design and is applying for grant funding to complete the project. Future Impact on Operating Budget: There is no future impact to Auburn's operating budgets. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 59 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A Street NW - Phase 1 (3rd St NW to 14th St NW) TIP# S-1 Project No:c207a0 Project Type:Capacity, Environmental Monitoring Project Manager:Tim Carlaw LOS Corridor ID# 18 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue 64,999 - - - 64,999 Grants- Secured (Fed,State,Local)6,562,702 - - - 6,562,702 Traffic Impact Fees 1,246,496 72,500 25,000 25,000 1,343,996 Other Sources -Multicare Contribution 383,381 - - - 383,381 8,257,578 72,500 25,000 25,000 8,355,078 Capital Expenditures: Design 1,591,160 - 10,000 10,000 1,601,160 Right of Way 821,341 - - - 821,341 Construction 4,896,826 - - - 4,896,826 Environmental 948,251 72,500 15,000 15,000 1,035,751 8,257,578 72,500 25,000 25,000 8,355,078 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees 25,000 25,000 - - 100,000 Other Sources -Multicare Contribution - - - - - 25,000 25,000 - - 100,000 Capital Expenditures: Design 10,000 10,000 - - 40,000 Right of Way - - - - - Construction - - - - - Environmental 15,000 15,000 - - 60,000 25,000 25,000 - - 100,000 Description: Constructed a new multi-lane arterial from 3rd Street NW to 14th Street NW completing a missing link along the corridor. This project improves mobility and was tied to corridor development. The project length was approximately three-quarters of a mile. The City purchased ROW from the northern property owner. If the property develops any access to A St NW, some or a portion of those funds may be reimbursed to the City (total cost was $251,000). Progress Summary: Pre-design was completed prior to 2007. Final design and environmental permitting were completed in 2011 and construction was completed in 2013. Major plantings are scheduled in 2015 as part of the wetland monitoring that is required to continue until 2023. Future Impact on Operating Budget: This project will have no additional impact on the operating budget for street maintenance. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 60 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A Street SE & Lakeland Hills Way SE Intersection Safety & Capacity Imp.TIP# S-3 Project No:asbd15 Project Type:Capacity, Safety Project Manager:TBD LOS Corridor ID# 10, 34 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees - - 50,000 - 50,000 REET2 - - - - - Other - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - 50,000 REET2 - - - - - Other - - - - - - - - - 50,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction - - - - - - - - - 50,000 Grants / Other Sources: Total Expenditures: Description: This project will study traffic operations, safety, and prepare a preliminary design for intersection improvements. Progress Summary: Analysis, preliminary design, and construction cost estimate will be initiated in 2019. Future phases will be programmed as funding becomes available. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 61 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Kersey Way SE Corridor Study TIP# S-4 Project No:asbd11 Project Type:Capacity Project Manager:TBD LOS Corridor ID# 36 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - 20,000 - 20,000 Other - - - - - - - 20,000 - 20,000 Capital Expenditures: Design - - 20,000 - 20,000 Right of Way - - - - - Construction - - - - - - - 20,000 - 20,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - 20,000 Other (Developer)*- - - - - - - - - 20,000 Capital Expenditures: Design - - - - 20,000 Right of Way - - - - - Construction - - - - - - - - - 20,000 Grants / Other Sources: Description: This project will study improvements to the Kersey Way SE corridor from the White River Bridge to the southern city limits. The study will develop the scope and costs for horizontal /vertical geometric roadway improvements, roadside hazard mitigation, street lighting and non-motorized trail construction. The project length is approximately two miles. Progress Summary: Design study will begin in 2019. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 62 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A Street SE Safety Improvements Study TIP# S-5 Project No:cp1110 Project Type:Capacity, Safety Project Manager:James Webb LOS Corridor ID# 10, 33 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue 1,230 - 55,000 - 56,230 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Mitigation Fees - - - - - Other - - - - - 1,230 - 55,000 - 56,230 Capital Expenditures: Design 1,230 - 55,000 - 56,230 Right of Way - - - - - Construction - - - - - 1,230 - 55,000 - 56,230 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - 55,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other - - - - - - - - - 55,000 Capital Expenditures: Design - - - - 55,000 Right of Way - - - - - Construction - - - - - - - - - 55,000 Grants / Other Sources: Description: Study the A Street SE corridor between 6th Street SE and Lakeland Hills Way SE including 41st St SE from D St SE to C St SE. The study will review the safety and access needs of the traveling public and the adjacent properties. Progress Summary: In-house pre-design was completed to refine project scope, alignment, and identify design issues. 2019 design will complete conceptual corridor plan for future improvements. Future Impact on Operating Budget: This study will have no impact on the operating budget for street maintenance. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 63 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Signal Replacement Program TIP# I-1 Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed & State)- - - - - Traffic Impact Fees - - - - - Other Sources - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 75,000 525,000 - 75,000 675,000 Grants- Unsecured (Fed & State)- - - - - Traffic Impact Fees - - - - - Other Sources - - - - - 75,000 525,000 - 75,000 675,000 Capital Expenditures: Design 75,000 - - 75,000 150,000 Right of Way - - - - - Construction - 525,000 - - 525,000 75,000 525,000 - 75,000 675,000 Grants / Other Sources: Total Expenditures: Description: This program will replace existing traffic signals as they reach the end of their serviceable life span. Replacement signals will match the City's current design standards, meet ADA accessibility requirements, and include battery backup power supplies. The signal anticipated to be replaced in 2022 is the Auburn Way N/1st Street NE signal which was constructed in 1968. The signal anticipated to be replaced in 2024 is the E Main Street/Auburn Avenue signal which was also constructed in 1968. Progress Summary: Future Impact on Operating Budget: This project will have no additional impact on the operating budget for street maintenance. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 64 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: ITS Dynamic Message Signs TIP# I-3 Project No:asbd16, cp1701 Project Type:Non-Capacity (ITS) Project Manager:Luis Barba LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue 77,998 17,180 20,000 125,000 115,178 Grants- Unsecured Federal - - - - - REET 100,000 - - - 100,000 PWTFL - - - - - Other (MIT)- - - - - 177,998 17,180 20,000 125,000 215,178 Capital Expenditures: Design 72,633 - 20,000 - 92,633 Right of Way - - - - - Construction 105,365 17,180 - 125,000 122,545 177,998 17,180 20,000 125,000 215,178 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - 20,000 125,000 - 290,000 Grants- Unsecured Federal - - - - - REET - - - - - PWTFL - - - - - Other (MIT)- - - - - - 20,000 125,000 - 290,000 Capital Expenditures: Design - 20,000 - - 40,000 Right of Way - - - - - Construction - - 125,000 - 250,000 - 20,000 125,000 - 290,000 Grants / Other Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: This project funds the design and construction of Dynamic Message Signs at various locations throughout the City. Dynamic message signs are an important Intelligent Transportation System (ITS) tool for providing information to roadway users. Priority locations for sign placement are based on the Comprehensive Transportation Plan ITS map and include Auburn Way N, Auburn Way S, W Valley Highway, E Valley Highway and Lea Hill Road. Progress Summary: The first two signs (Auburn Way S and S 277th Street) have been completed. Future Impact on Operating Budget: The annual maintenance and operational costs for this project is estimated to be $6,000. City of Auburn Capital Facilities Plan 65 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Citywide Pedestrian Accessibility and Safety Program TIP# N-1 Project No:asbd08, cp1615, cp1712, cp1816 Project Type:Non-Capacity (Annual) Project Manager:Scott Nutter LOS Corridor ID# N/A Activity: Previous 2 Years 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue 98,371 100,000 100,000 100,000 298,371 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other - - - - - 98,371 100,000 100,000 100,000 298,371 Capital Expenditures: Design 25,547 10,000 10,000 10,000 45,547 Right of Way - - Construction 72,824 90,000 90,000 90,000 252,824 98,371 100,000 100,000 100,000 298,371 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 100,000 100,000 100,000 100,000 600,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other - - - - - 100,000 100,000 100,000 100,000 600,000 Capital Expenditures: Design 10,000 10,000 10,000 10,000 60,000 Right of Way - Construction 90,000 90,000 90,000 90,000 540,000 100,000 100,000 100,000 100,000 600,000 Grants / Other Sources: Description: This is an annual program to fund small pedestrian improvement projects at locations throughout the City. Projects are prioritized annually based on pedestrian demands, existing deficiencies, and citizen requests. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 66 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Citywide Arterial Bicycle & Safety Improvements TIP# N-3 Project No:asbd07 Project Type:Non-Capacity (Safety) Project Manager:Various LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - 100,000 - 100,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other - - - - - - - 100,000 - 100,000 Capital Expenditures: Design - - 10,000 - 10,000 Right of Way - - - - Construction - - 90,000 - 90,000 - - 100,000 - 100,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue 100,000 - 100,000 - 300,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other - - - - - 100,000 - 100,000 - 300,000 Capital Expenditures: Design 10,000 - 10,000 - 30,000 Right of Way - - - - Construction 90,000 - 90,000 - 270,000 100,000 - 100,000 - 300,000 Grants / Other Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Description: This is a bi-annual program to fund bicycle and safety improvements on classified roadways. Projects are prioritized annually based upon field studies and community feedback. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 67 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Downtown Transit Center Access Improvements TIP# N-6 Project No:asbd28 Project Type:Non-Capacity, Transit Project Manager:TBD LOS Corridor ID# N/A Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - 25,000 - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other (Sound Transit)- - - 100,000 - - - - 125,000 - Capital Expenditures: Design - - - 15,000 - Right of Way - - - - - Construction - - - 110,000 - - - - 125,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - 25,000 Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other (Sound Transit)- - - - 100,000 - - - - 125,000 Capital Expenditures: Design - - - - 15,000 Right of Way - - - - - Construction - - - - 110,000 - - - - 125,000 Grants / Other Sources: Total Expenditures: Description: This project will modify channelization and curb radii to improve turning radii for transit vehicles at the northeast corner of A St SW & 2nd St SW. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be minimal. Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 68 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way N/S (4th St NE to 4th St SE) TIP# R-1 Project No:c409a0, cpxxxx Project Type:Non-Capacity Project Manager:TBD LOS Corridor ID# 2, 3 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue 78,251 - - - 78,251 Grants- Unsecured (Fed,State,Local)- - - - - REET - - - - - Traffic Impact Fees - - - - - Other Sources - - - - - 78,251 - - - 78,251 Capital Expenditures: Design 78,251 - - - 78,251 Right of Way - - - - - Construction - - - - - 78,251 - - - 78,251 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - 50,000 300,000 100,000 450,000 Grants- Unsecured (Fed,State,Local)- - 300,000 100,000 400,000 REET - - - - - Traffic Impact Fees - - - - - Other Sources - - - - - - 50,000 600,000 200,000 850,000 Capital Expenditures: Design - 50,000 600,000 - 650,000 Right of Way - - - 200,000 200,000 Construction - - - - - - 50,000 600,000 200,000 850,000 Grants / Other Sources: Description: This project is based on a pre-design study to improve pedestrian accessibility, appearance, and link the downtown area along Auburn Way S between 4th Street NE and 4th Street SE. The project is approximately 0.5 miles long. The project would construct curb-bulbs at intersections adjacent to on-street parking, a new northbound left-turn at 3rd Street NE, and improvements to the signal and channelization at E Main Street. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 69 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way S (SR-164) Poplar Curve Safety Improvements TIP# R-15 Project No:cp1901 Project Type:Non-Capacity, Safety Project Manager:TBD LOS Corridor ID# 4 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - 5,500 - 5,500 Grants- Unsecured (Fed,State,Local)- - 49,500 213,200 49,500 Traffic Impact Fees - - - - - Other - - - - - - - 55,000 213,200 55,000 Capital Expenditures: Design - - 55,000 - 55,000 Right of Way - - - - - Construction - - - 213,200 - - - 55,000 213,200 55,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - 5,500 Grants- Unsecured (Fed,State,Local)- - - - 262,700 Traffic Impact Fees - - - - - Other - - - - - - - - - 268,200 Capital Expenditures: Design - - - - 55,000 Right of Way - - - - - Construction - - - - 213,200 - - - - 268,200 Grants / Other Sources: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: This project will complete design and construct safety improvements at the curve along Auburn Way S in the vicinity of the intersection with Poplar Street. The improvements would include, illumination, electronic curve ahead warning signage, a high-friction surface treatment for the pavement, guardrail and driveway improvements. Progress Summary: Grant funding application was submitted in 2018. If secured the design phase will be started in 2019 and construction completed during 2021. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 70 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: AWS Streetscape Improvements (SR-18 to M St SE)TIP# R-19 Project No:cpxxxx Project Type:Non-Capacity, Miscellaneous Project Manager:TBD LOS Corridor ID# 3 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Unsecured (Fed,State,Local)- - - - - Traffic Impact Fees - - - - - REET2 - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - 200,000 200,000 400,000 Grants- Unsecured (Fed,State,Local)- - 1,650,000 2,450,000 4,100,000 Traffic Impact Fees - - - - - REET2 - - - - - Other - - - - - - - 1,850,000 2,650,000 4,500,000 Capital Expenditures: Design - - 400,000 - 400,000 Right of Way - - 1,450,000 - 1,450,000 Construction - - - 2,650,000 2,650,000 - - 1,850,000 2,650,000 4,500,000 Grants / Other Sources: Description: This project will revitalize and beautify Auburn Way S from the SR-18 interchange to the intersection with M Street SE. Proposed improvements include: improved pedestrian linkages; new and repaired sidewalks; curb and gutter; new landscaped medians; undergrounding existing aerial utilities, new street lighting; trash receptacles; recycling containers and other appropriate amenities. Progress Summary: Future Impact on Operating Budget: The annual maintenance cost for this project is estimated to be $2,500. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 71 ARTERIAL STREET FUND (102)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: S 272nd/277th St Corridor Capacity & Non-Motorized Trail Improvements TIP# S-2 Project No:cp1821 Project Type:Non-Capacity, Environmental Monitoring Project Manager:Tim Carlaw LOS Corridor ID# 15 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Street Revenue - - - - - Grants- Secured Federal - - - - - Grants- Secured State - - - - - Traffic Impact Fees - 20,000 20,000 20,000 40,000 Other (Development Funds)*- - - - - Other - - - - - - 20,000 20,000 20,000 40,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Environmental - 20,000 20,000 20,000 40,000 Construction - - - - - - 20,000 20,000 20,000 40,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Street Revenue - - - - - Grants- Secured State - - - - - Traffic Impact Fees 20,000 20,000 20,000 20,000 120,000 Other (Development Funds)*- - - - - Other - - - - - 20,000 20,000 20,000 20,000 120,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Environmental 20,000 20,000 20,000 20,000 120,000 Construction - - - - - 20,000 20,000 20,000 20,000 120,000 Description: This project will complete the environmental monitoring requirements related to the S 277th St corridor widening project between Auburn Way North and l St NE. Progress Summary: 10 year monitoring period is expected to begin in 2018 after final completion and continue through 2028. Future Impact on Operating Budget: There is no impact on future operating budgets. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 72 TABLE T- 2A CAPITAL FACILITIES PLAN PROJECTS AND FINANCING TRANSPORTATION – LOCAL STREET 2019 2020 2021 2022 2023 2024 Total Capacity Projects: None - Page # Non-Capacity Projects: 73 Local Street Improvement Program Capital Costs 2,550,000 1,900,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 Funding Sources: Fund Balance 650,000 - - - - - 650,000 Transfer In (W/S/SWM Utility)150,000 150,000 150,000 150,000 150,000 150,000 900,000 To Be Determined - - 1,500,000 1,500,000 1,500,000 1,500,000 6,000,000 Other REET 2 1,750,000 1,750,000 - - - - 3,500,000 SUMMARY: CAPITAL COSTS Capacity Projects - - - - - - - Non-Capacity Projects 2,550,000 1,900,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 Total Costs 2,550,000 1,900,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 FUNDING SOURCES: Fund Balance 650,000 - - - - - 650,000 Transfer In (W/S/SWM Utility)150,000 150,000 150,000 150,000 150,000 150,000 900,000 To Be Determined - - 1,500,000 1,500,000 1,500,000 1,500,000 6,000,000 Other REET 2 1,750,000 1,750,000 - - - - 3,500,000 Total Funding 2,550,000 1,900,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 City of Auburn Capital Facilities Plan 73 LOCAL STREET FUND (103)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Local Street Improvement Program TIP# P-2 Project No:sobd02, cp1313, cp1414, cp1515, cp1614, cp1717, cp1725 Project Type:Non-Capacity, Preservation Project Manager:Jai Carter LOS Corridor ID# N/A Activity: (Previous 2Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Local Street Fund - 1,108,115 650,000 - 1,758,115 Transfer In (Utilities)300,000 150,000 150,000 150,000 600,000 Sales Tax on Construction 3,804,900 2,100,000 - - 5,904,900 To Be Determined - - - - - Other REET 2 - - 1,750,000 1,750,000 1,750,000 4,104,900 3,358,115 2,550,000 1,900,000 10,013,015 Capital Expenditures: Design 515,356 398,815 525,000 500,000 1,439,171 Right of Way - - - - Construction 3,589,544 2,959,300 2,025,000 1,400,000 8,573,844 4,104,900 3,358,115 2,550,000 1,900,000 10,013,015 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Local Street Fund - - - - 650,000 Transfer In (Utilities)150,000 150,000 150,000 150,000 900,000 Sales Tax on Construction - - - - - To Be Determined 1,500,000 1,500,000 1,500,000 1,500,000 6,000,000 Other REET 2 - - - - 3,500,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 Capital Expenditures: Design 425,000 400,000 425,000 400,000 2,675,000 Right of Way - - - - - Construction 1,225,000 1,250,000 1,225,000 1,250,000 8,375,000 1,650,000 1,650,000 1,650,000 1,650,000 11,050,000 Grants / Other Sources: Description: The program preserves local (unclassified) streets. The work includes crack sealing, asphalt patching, pre-leveling, asphalt overlays and roadway reconstruction. From 2013 through 2018 this program was funded by sales tax on construction; beginning in 2019, funding will be from Real Estate Excise Tax (REET). Progress Summary: This program has successfully completed overlays, chip seals and complete reconstructions since 2005. The program will focus on completing reconstruction needs in addition to regular maintenance treatments. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 74 TABLE T- 2B CAPITAL FACILITIES PLAN PROJECTS AND FINANCING TRANSPORTATION – STREET PRESERVATION 2019 2020 2021 2022 2023 2024 Total Capacity Projects: None - Page #Non-Capacity Projects: 75 Arterial Street Preservation Program Capital Costs 1,000,000 200,000 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 Funding Sources: Fund Balance - - - - - - - Utility Tax 1,000,000 200,000 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 76 Annual Arterial Crack Seal Program Capital Costs 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Funding Sources: Fund Balance 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Utility Tax - - - - - - - 77 15th Street SW Reconstruction Capital Costs - - - 375,000 3,000,000 - 3,375,000 Funding Sources: Fund Balance - - - 75,000 500,000 - 575,000 Grants - - - 300,000 2,500,000 - 2,800,000 Utility Tax - - - - - - - 78 Auburn Way N Preservation Phase 2 (8th St NE to 22nd St NE) Capital Costs 120,000 1,508,000 - - - - 1,628,000 Funding Sources: Fund Balance 120,000 618,280 - - - - 738,280 Grants - 889,720 - - - - 889,720 79 Auburn Way N Preservation Phase 3 (4th St SE to 8th St NE ) Capital Costs 222,440 1,727,840 - - - - 1,950,280 Funding Sources: Fund Balance 111,220 863,920 - - - - 975,140 Grants 111,220 863,920 - - - - 975,140 80 A St SE Preservation (E Main St to 17th St SE) Capital Costs 1,564,800 - - - - - 1,564,800 Funding Sources: Fund Balance 782,400 - - - - - 782,400 Grants 782,400 - - - - - 782,400 81 A St SE Preservation (37th Street SE to King/Pierce County Line) Capital Costs - - 135,000 1,576,000 - - 1,711,000 Funding Sources: Fund Balance - - 67,500 788,000 - - 855,500 Grants - - 67,500 788,000 - - 855,500 82 C Street SW Preservation (W Main St to GSA Signal) Capital Costs - 182,000 2,125,500 - - - 2,307,500 Funding Sources: Fund Balance - 182,000 871,500 - - - 1,053,500 Utility Tax - - - - - - - Grants - - 1,254,000 - - - 1,254,000 83 Lakeland Hill Way Preservation (57th Drive SE to Lake Tapps Pkwy) Capital Costs - 100,000 1,100,000 - - - 1,200,000 Funding Sources: Fund Balance - 100,000 352,000 - - - 452,000 Grants - - 748,000 - - - 748,000 Note: Financial plan utilizes the following order for use of funds to finance projects: grant revenues (if available), utility tax revenues and fund balance. SUMMARY: CAPITAL COSTS Capacity Projects - - - - - - - Non-Capacity Projects 3,007,240 3,817,840 4,460,500 3,526,000 4,200,000 1,650,000 20,661,580 Total Costs 3,007,240 3,817,840 4,460,500 3,526,000 4,200,000 1,650,000 20,661,580 FUNDING SOURCES: Fund Balance 1,113,620 1,864,200 1,391,000 963,000 600,000 100,000 6,031,820 Utility Tax 1,000,000 200,000 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 Grants 893,620 1,753,640 2,069,500 1,088,000 2,500,000 - 8,304,760 REET 2 - - - - - - - Total Funding 3,007,240 3,817,840 4,460,500 3,526,000 4,200,000 1,650,000 20,661,580 City of Auburn Capital Facilities Plan 75 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Funds Project Title: Arterial Street Preservation Program TIP# P-1 Project No:Varies annually, spbd01 Project Type:Non-Capacity, Preservation Project Manager:Jai Carter LOS Corridor ID# N/A Activity: (Previous 2 Years)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - - - - Utility Tax 3,692,575 500,000 1,000,000 200,000 5,392,575 REET2 - 1,212,400 - - 1,212,400 Grants -Federal 1,593,275 - - - 1,593,275 5,285,850 1,712,400 1,000,000 200,000 8,198,250 Capital Expenditures: Design 532,072 61,500 50,000 20,000 643,572 Right of Way - - - - Construction 4,753,778 1,650,900 950,000 180,000 7,354,678 5,285,850 1,712,400 1,000,000 200,000 7,998,250 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund - - - - - Utility Tax 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 REET2 - - - - - Grants -Federal - - - - - 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 Capital Expenditures: Design 50,000 60,000 50,000 60,000 290,000 Right of Way - Construction 950,000 1,415,000 1,050,000 1,490,000 6,035,000 1,000,000 1,475,000 1,100,000 1,550,000 6,325,000 Grants / Other Sources: Description: Implement regular pavement maintenance and/or rehabilitation of various classified streets citywide. These projects may include a combination of overlays, rebuilds, and spot repairs. This program is funded through a 1% utility tax that was adopted by City Council during 2008. Progress Summary: The 2017 construction cycle included the completion of the B Street NW reconstruction and provided matching funds for the Federally funded preservation projects on Auburn Way N and Lake Tapps Parkway. 2018 construction includes matching funds for the Federally funded preservation of S 277th Street and 15th Street NE/NW preservation, and for arterial patching and overlay. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 76 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Funds Project Title: Annual Arterial Crack Seal Program TIP# P-3 Project No:spbd03, cp1811 Project Type:Non-Capacity, Preservation Project Manager:Jai Carter LOS Corridor ID# N/A Activity: (Previous 2 Years)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - 100,000 100,000 100,000 200,000 Utility Tax - 100,000 - - 100,000 REET - - - - - Bond proceeds - - - - - - 200,000 100,000 100,000 300,000 Capital Expenditures: Design - 15,000 10,000 10,000 25,000 Right of Way - - - - - Construction - 185,000 90,000 90,000 275,000 - 200,000 100,000 100,000 300,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund 100,000 100,000 100,000 100,000 600,000 Utility Tax - - - - - REET - - - - - Bond proceeds - - - - - 100,000 100,000 100,000 100,000 600,000 Capital Expenditures: Design 10,000 10,000 10,000 10,000 60,000 Right of Way - - - - - Construction 90,000 90,000 90,000 90,000 540,000 100,000 100,000 100,000 100,000 600,000 Grants / Other Sources: Description: Implement regular maintenance of various classified streets by sealing newly formed cracks. Sealing the cracks will prolong the life of the pavement by stopping water from draining into the sub-base of the road. Progress Summary: Program continues to successfully extend pavement life citywide. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 77 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Funds Project Title: 15th Street SW Reconstruction TIP# P-6 Project No:cpxxxx Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 12 Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - - - - Unsecured Grant - - - - - Utility Tax - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund - 75,000 500,000 - 575,000 Unsecured Grant - 300,000 2,500,000 - 2,800,000 Utility Tax - - - - - Other - - - - - - 375,000 3,000,000 - 3,375,000 Capital Expenditures: Design - 375,000 - - 375,000 Right of Way - - - - - Construction - - 3,000,000 - 3,000,000 - 375,000 3,000,000 - 3,375,000 Grants / Other Sources: This project will evaluate improvements to the Union Pacific at grade rail crossings as well as the vertical sight distance to the Interurban Trail crossing to the west of the tracks. This project was originally scoped to include pavement preservation. The pavement preservation component could still be combined with this project, but is also eligible for the Arterial Preservation program. A planning level cost estimate is provided. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 78 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way N Preservation Phase 2 (8th St NE to 22nd St NE)TIP# P-7 Project No:cp1903 Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 1/2 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - 120,000 618,280 120,000 Secured Federal Grants - - - 889,720 - Utility Tax - - - - - Bond proceeds - - - - - - - 120,000 1,508,000 120,000 Capital Expenditures: Design - - 120,000 - 120,000 Right of Way - - - - - Construction - - - 1,508,000 - - - 120,000 1,508,000 120,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund - - - - 738,280 Secured Federal Grants - - - - 889,720 Utility Tax - - - - - Bond proceeds - - - - - - - - - 1,628,000 Capital Expenditures: Design - - - - 120,000 Right of Way - - - - - Construction - - - - 1,508,000 - - - - 1,628,000 Grants / Other Sources: Description: This project will grind and overlay Auburn Way N from 8th Street NE to 22nd Street NE, remove unused driveways, and upgrade all curb ramps and pedestrian signals to meet ADA requirements. Progress Summary: Federal Grant funding was applied for in 2016. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 79 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Auburn Way N Preservation Phase 3 (4th St SE to 8th St NE )TIP# P-8 Project No:cp1904 Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 2 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - 111,220 863,920 111,220 Secured Federal Grants - - 111,220 863,920 111,220 Utility Tax - - - - - Bond proceeds - - - - - - - 222,440 1,727,840 222,440 Capital Expenditures: Design - - 222,440 - 222,440 Right of Way - - - - - Construction - - - 1,727,840 - - - 222,440 1,727,840 222,440 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund - - - - 975,140 Secured Federal Grants - - - - 975,140 Utility Tax - - - - - Bond proceeds - - - - - - - - - 1,950,280 Capital Expenditures: Design - - - - 222,440 Right of Way - - - - - Construction - - - - 1,727,840 - - - - 1,950,280 Grants / Other Sources: Description: This project will grind and overlay Auburn Way N from approximately 8th Street NE to approximately 4th St SE, remove unused driveways, and upgrade all curb ramps and pedestrian signals to meet ADA requirements. Progress Summary: Federal Grant funding was applied for in 2016. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 80 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A St SE Preservation (E Main St to 17th St SE)TIP# P-9 Project No:cp1819 Project Type:Non-Capacity, Preservation Project Manager:Kim Truong LOS Corridor ID# 10 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - 99,400 782,400 - 881,800 Secured Federal Grants - 99,400 782,400 - 881,800 Utility Tax - - - - - Bond proceeds - - - - - - 198,800 1,564,800 - 1,763,600 Capital Expenditures: Design - 198,800 - - 198,800 Right of Way - - - - - Construction - - 1,564,800 - 1,564,800 - 198,800 1,564,800 - 1,763,600 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund - - - - 782,400 Secured Federal Grants - - - - 782,400 Utility Tax - - - - - Bond proceeds - - - - - - - - - 1,564,800 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 1,564,800 - - - - 1,564,800 Grants / Other Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Description: This project will grind and overlay A St SE between E Main St and 17th St SE, remove unused driveways, and upgrade all curb ramps and pedestrian signals to meet ADA requirements. Progress Summary: Federal Grant funding was awarded in 2018. Future Impact on Operating Budget: There is no impact to the street maintenance budget. City of Auburn Capital Facilities Plan 81 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: A St SE Preservation (37th Street SE to King/Pierce County Line)TIP# P-10 Project No:cpxxxx Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 10 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - - - - Unsecured Federal Grants - - - - - Utility Tax - - - - - Bond proceeds - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund 67,500 788,000 - - 855,500 Unsecured Federal Grants 67,500 788,000 - - 855,500 Utility Tax - - - - - Bond proceeds - - - - - 135,000 1,576,000 - - 1,711,000 Capital Expenditures: Design 135,000 - - - 135,000 Right of Way - - - - - Construction - 1,576,000 - - 1,576,000 135,000 1,576,000 - - 1,711,000 Grants / Other Sources: Description: The project will grind and overlay A Street SE from 37th Street SE to the Auburn/Pacific City Limit and from the Pacific/Auburn City Limit to the King /Pierce County Line (approximately 1,800 feet to the south of Lakeland Hills Way). The project also includes ADA upgrades to curb ramps and replacement of vehicle detection loops. Progress Summary: An application for grant funding for this project was submitted in 2018. If awarded, design would occur in 2021 and construction in 2022. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 82 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: C Street SW Preservation (W Main St to GSA Signal)TIP# P-11 Project No:spbd06 Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 13 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - - 182,000 - Unsecured Federal Grants - - - - - Utility Tax - - - - - Bond proceeds - - - - - - - - 182,000 - Capital Expenditures: Design - - - 182,000 - Right of Way - - - - - Construction - - - - - - - - 182,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund 871,500 - - - 1,053,500 Unsecured Federal Grants 1,254,000 - - - 1,254,000 Utility Tax - - - - - Bond proceeds - - - - - 2,125,500 - - - 2,307,500 Capital Expenditures: Design - - - - 182,000 Right of Way - - - - - Construction 2,125,500 - - - 2,125,500 2,125,500 - - - 2,307,500 Grants / Other Sources: Description: The project will grind and overlay C Street SW from W Main Street to the GSA signal (approximately 2,000 feet to the south of 15th Street SW). The project also includes ADA upgrades to curb ramps and pedestrian push buttons, and replacement of vehicle detection loops. Progress Summary: An application for grant funding for this project was submitted in 2018. If awarded, design would occur in 2020 and construction in 2021. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 83 ARTERIAL STREET PRESERVATION FUND (105)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Special Revenue Fund Project Title: Lakeland Hill Way Preservation (57th Drive SE to Lake Tapps Pkwy)TIP# P-12 Project No:spbd07 Project Type:Non-Capacity, Preservation Project Manager:TBD LOS Corridor ID# 26 Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Arterial Preservation Fund - - - 100,000 - Unsecured Federal Grants - - - - - Utility Tax - - - - - Bond proceeds - - - - - - - - 100,000 - Capital Expenditures: Design - - - 100,000 - Right of Way - - - - - Construction - - - - - - - - 100,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Arterial Preservation Fund 352,000 - - - 452,000 Unsecured Federal Grants 748,000 - - - 748,000 Utility Tax - - - - - Bond proceeds - - - - - 1,100,000 - - - 1,200,000 Capital Expenditures: Design - - - - 100,000 Right of Way - - - - - Construction 1,100,000 - - - 1,100,000 1,100,000 - - - 1,200,000 Grants / Other Sources: Description: The project will grind, patch, and overlay Lakeland Hills Way from 57th Drive SE to Lake Tapps Pkwy. The project also includes ADA upgrades to curb ramps and replacement of vehicle detection loops. Progress Summary: An application for grant funding for this project was submitted in 2018. If awarded, design would occur in 2020 and construction in 2021. Future Impact on Operating Budget: There is no impact to the street maintenance budget. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 84 TABLE T-3 SUMMARY OF IMPACTS ON FUTURE OPERATING BUDGETS Project:2020 2021 2022 2023 2024 2025 Total 1 Lake Tapps Pkwy ITS Expansion -$ 5,000$ 5,000$ 5,000$ 5,000$ 5,000$ 25,000$ 2 SE 320th & 116th Ave SE Roundabout - - 1,000 1,000 1,000 1,000 4,000 3 29th St SE & R St SE Intersection Imp.- - - 500 500 500 1,500 4 M St SE & 29th St SE Int. Safety Imp.- - - 5,000 5,000 5,000 15,000 5 R St SE & 21st St SE Int. Safety Imp.- - - 5,000 5,000 5,000 15,000 6 Auburn Way S & 6th Street SE - - - - - 2,500 2,500 7 C St SW & 15th St SW Int. Imp.- - - - 2,500 2,500 5,000 8 124th Ave SE Corridor & 320th Imp.- - - - 2,500 2,500 5,000 9 125th Ave SE & SE 284th St Intersection Imp.- - - - - 2,000 2,000 10 F Street SE, Downtown to Les Gove - - 4,100 4,100 4,100 4,100 16,400 11 Riverwalk Dr SE Non-Motorized Imp.- - - - 10,000 10,000 20,000 12 BNSF & A St SE Pedestrian Crossing Imp.- - - - - 5,500 5,500 13 A Street Loop - - 1,500 1,500 1,500 1,500 6,000 14 AWS Imp. -Hemlock St SE to Poplar St SE - - - - - 25,000 25,000 15 M Street NE, E. Main to 4th - - - 5,000 5,000 5,000 15,000 16 46th Place S. Realignment - - - - - 5,000 5,000 17 124th Ave SE Corridor Imp. -Phase 2 - - - - - 5,000 5,000 18 SE 320th St Corridor Improvements - - - - 5,000 5,000 10,000 19 W Valley Hwy Imp. (15th St NW to W Main)- - - - - 5,000 5,000 20 M St SE Corridor, 8th St SE to AWS - - - - - 15,000 15,000 21 Lea Hill Rd Segment 1 - - - - - 18,300 18,300 22 Lea Hill Rd Segment 2 - - - - - 24,100 24,100 23 W Valley Hwy Imp. (SR -18 to 15th St SW)- - - 2,500 2,500 2,500 7,500 24 ITS Dynamic Message Signs - - - - 6,000 6,000 12,000 25 AWS Streetscape Improvements - - - - - 2,500 2,500 Total -$ 5,000$ 11,600$ 29,600$ 55,600$ 165,500$ 267,300$ City of Auburn Capital Facilities Plan 85 WATER Current Facilities The City of Auburn water utility provides water supply, treatment, transmission, storage, distribution, and service connections to in-City residences and businesses. The City also provides water to the City of Algona and Water District #111 under wholesale agreements. The water system consists of wells, springs and interties for source; chlorination stations and corrosion control for treatment; pump stations, pressure reducing stations and pipelines for transmission; and steel and concrete enclosed reservoirs for storage. Table W-1, “Facilities Inventory”, lists the facilities along with their current capacities and approximate locations. Level of Service (LOS) The City’s Comprehensive Water Plan summarizes the design criteria and service polices for the City’s water distribution system. Capital Facilities Projects and Financing The City of Auburn’s water system anticipates seven capacity projects in the amount of $18,223,611 and twenty-eight non-capacity projects totaling $28,987,300 for a 6-year planning expectation total of $47,210,911. The financing plan is shown in Table W-2 followed by individual worksheets showing the project details. The capacity projects will increase water supply quantities, storage, and distribution for growth of retail customers. The non-capacity projects will provide for pipeline improvements and replacements, delivery pressure improvements, water quality enhancements, comprehensive and resource management planning, pump station upgrades, telemetry system improvements, and meter upgrades. Impact on Future Operating Budgets As Table W-3 shows, operating budget impacts of $4,800 are forecasted for water supply and distribution facilities during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 86 TABLE W-1 Facilities Inventory Water Facilities CAPACITY FACILITY WATER RIGHT (MGD - max rate)LOCATION Water Supply: Coal Creek Springs Certificate 857 9.70<2.52>*3401 Stuck River Rd Well 1 Certificate 3560-A 3.17 1136 M St SE Well 2 G1-00277 C 3.46 1109 5th St NE Well 3A G1-23629 C 4.03 401 37th St SE Well 3B (Included Above)(Included Above)401 37th St SE Well 4 G1-20391 C 4.03 950 25th St SE Well 5 G1-23633 C 1.44 5530 James Ave SE Well 5A (Included Above)(Included Above)5401 Olive Way SE Well 5B (Included Above)(Included Above)West end of 62nd Ct SE Well 6 (Supplemental to Wells 1, 2, 3A, 3B, 4)5.04 (supplemental)1109 5th St NE Well 7 (Supplemental to Wells 1, 2, 3A, 3B, 4)5.04 (supplemental)405 E St NE West Hill Springs Claim (1973 File Date)0.9 1900 15th St NW Ext Supply Total (MGD)26.73 Available for Use 24.21 * Denotes deduction of 1,750 gpm (Qi/2,824 ac-ft/yr) to comply with the provisions of the Muckleshoot-Auburn Stipulated Agreement. CAPACITY FACILITY (MGD)LOCATION SERVICE AREA Intertie Tacoma B Street NW 3.2 3240 B St NW Valley Service Area Tacoma 132nd Ave SE 3.2 29598 132nd Ave SE Lea Hill Service Area Intertie Total (MGD)6.4 CAPACITY FACILITY (MG)LOCATION SERVICE AREA Storage Facilities: Academy Reservoir 8A 1.2 5031 Auburn Way S Academy Service Area Academy Reservoir 8B 1.5 5031 Auburn Way S Academy Service Area Lakeland Hills Reservoir 5 1.0 1326 57th Dr SE Lakeland Hills Svc Area Lakeland Hills Reservoir 6 1.0 5718 Francis Ct SE Lakeland Hills Svc Area Lea Hill Reservoir 4A 1.0 30502 132nd Ave SE Lea Hill Service Area Lea Hill Reservoir 4B 1.5 30502 132nd Ave SE Lea Hill Service Area Valley Reservoir 1 5.0 2003 Auburn Way S Valley Service Area Valley Reservoir 2 3.6 32115 105th Place S Valley Service Area Storage Total (MG)15.8 CITY OF AUBURN WATER SYSTEM City of Auburn Capital Facilities Plan 87 TABLE W-1 (continued) Facilities Inventory Water Facilities CAPACITY FACILITY (GPM)LOCATION Booster Pump Stations: Academy 1: 2 pumps 800 2004 Auburn Way S Academy 2: 2 pumps 1,500 2004 Auburn Way S Academy East: 6 pumps 2,820 5031 Auburn Way S Green River: 4 pumps 4,680 29621 Green River Rd SE Intertie: 7 pumps 4,830 30502 132nd Ave SE Lakeland Hills: 5 pumps 3,200 1118 57th Place SE Lea Hill: 3 pumps 2,100 10406 Lea Hill Rd SE Terrace View: 3 pumps 1,500 6134 Alexander Place SE Wilderness Game Farm Pk: 2 pumps 1,050 2401 Stuck River Rd CAPACITY Primary Valve FACILITY (PSI - Inlet/Outlet)LOCATION Pressure Reducing Stations: Serves Valley Pressure Zone: 25th Street SE #1110-10 N/C 25th St SE & K St SE B Street Intertie 88/55 3300 B St NW Green River Pump Station N/C 29621 Green River Rd SE Howard Road CCF #1011-10 82/65 Howard Rd Howard Road CCF By-Pass #1011-20 -Howard Rd (Bypass) Lea Hill Pump Station N/C 10406 Lea Hill Rd SE Riverwalk # 1111-10 115/80 Riverwalk Dr SE & Howard Rd Riverwalk # 1111-20 90/50 2204 27th St. SE Serves Lea Hill: 132nd Avenue Intertie 150/70 132nd Ave SE & 295th St Amber View North #711-10 150/65 105th Pl SE & 320th Pl Amber View South #711-20 142/60 106th Pl SE Near Reservoir 2 Carriage Square Upper #611-30 145/50 Lea Hill Rd & 107 Pl Cobble Creek Lower #411-20 86/40 SE 304th Pl & SE 101st Place Cobble Creek Upper #411-10 94/55 104th Ave SE (South of 303rd Road) Lea Hill #412-10 84/45 SE 298th Place & 109 Ave SE Lea Hill #412-30 N/C 300 Block & 108th Ave SE Lea Hill #511-10 87/45 304th St. SE and 108th Ave SE Lea Hill #512-10 80/60 304th St. SE and 110th Pl SE Serves Academy: Academy Pump Station N/C 2004 Auburn Way S Auburn Way South #1011-30 130/80 2003 Auburn Way S Auburn Way South #1114-10 88/55 4500 Auburn Way S Lemon Tree -5031 Auburn Way S City of Auburn Capital Facilities Plan 88 TABLE W-1 (continued) Facilities Inventory Water Facilities CAPACITY Primary Valve FACILITY (PSI - Inlet/Outlet)LOCATION Serves Lakeland Hills: Lakeland Hills #1309-10 120/55 Mill Pond Dr @ Oravetz Rd Lakeland Hills #1310-10 130/55 Mill Pond Dr & Mill Pond Loop Lakeland Hills #1310-20 108/36 Kennedy Ave SE Lakeland Hills #1409-10 N/C Oravetz & Lakeland Hills Way Lakeland Hills #1409-20 120/56 47th SE & Lakeland Hills Way Lakeland Hills #1409-30 95/70 Lakeland Hills Way & 51st St SE Lakeland Hills #1409-40 84/55 Mill Pond Dr & Lakeland Hills Way Lakeland Hills #1410-10 103/50 5018 Mill Pond Dr Lakeland Hills #1410-20 N/C 51st St. SE east of Mill Pond Loop Lakeland Hills #1410-30 125/70 Nathan Ave & Highland Dr Lakeland Hills #1410-40 82/55 5203 Quincy Ave SE Lakeland Hills #1411-10 80/42 Bennett Ave & 56th Ave SE Lakeland Hills #1411-20 82/55 5310 Bennett Ave SE Lakeland Hills #1411-30 155/73 5100 Kersey Way Lakeland Hills #1411-40 82/52 2305 54th St SE Lakeland Hills #1411-50 85/44 5253 Wesley Ave SE Lakeland Hills #1412-10 82/55 5539 Franklin Ave SE Lakeland Hills #1509-10 174/60 Terrace View Lower (6170) Lakeland Hills #1509-20 160/73 Terrace View Middle (5960) Lakeland Hills #1509-30 138/47 Terrace View Upper (5810) Lakeland Hills #1509-40 230/90 Terrace View & Alexander Place SE Lakeland Hills #1510-10 N/C Lakeland Hills Way & Evergreen Way N/C - Normally Closed CAPACITY FACILITY (GPM)LOCATION Corrosion Control: Howard Road 5,550 2101 Howard Rd SE Fulmer Field 9,375 1113 5th St NE Chlorination Stations: Coal Creek Springs Station 5,000 (gravity feed)3401 Stuck River Rd West Hill Springs Station 625 (gravity feed)1900 15th St NW Well 1 2,200 1136 M St SE Well 4 2,600 950 25th St SE Well 5A 180 5401 Olive Ave SE Well 5B 600 1100 63rd St SE FACILITY CAPACITY LOCATION Water Supply: Braunwood Satellite 1 0.03 MGD 4501 47th St SE Storage Facilities: Braunwood Satellite 1 0.03 MG 4501 47th St SE Booster Pump Stations: Braunwood: 3 Pumps 2.0 GPM 4501 47th St SE BRAUNWOOD SATELLITE WATER SYSTEM City of Auburn Capital Facilities Plan 89 TABLE W-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING WATER DIVISION 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 93 Cascade Water Alliance Water Purchase Capital Costs 252,586 934,805 934,805 934,805 934,805 934,805 4,926,611 Funding Sources: Water Fund 252,586 934,805 934,805 934,805 934,805 934,805 4,926,611 Bond Proceeds - - - - - - - 94 Academy Pump Station #1 Pump Replacement Capital Costs - - 285,000 2,196,000 - - 2,481,000 Funding Sources: Water Fund - - - 296,000 - - 296,000 Bond Proceeds - - 285,000 1,900,000 - - 2,185,000 95 Coal Creek Springs Rehabilitation Capital Costs 50,000 - - 1,000,000 2,553,000 789,000 4,392,000 Funding Sources: Water Fund 50,000 - - 1,000,000 2,553,000 789,000 4,392,000 Bond Proceeds - - - - - - - 96 Algona Well 1 Decommissioning Capital Costs 50,000 - - - 50,000 - 100,000 Funding Sources: Water Fund 50,000 - - - 50,000 - 100,000 Bond Proceeds - - - - - - - 97 Annual Distribution System Improvements Program Capital Costs 300,000 1,000,000 300,000 1,000,000 300,000 1,000,000 3,900,000 Funding Sources: Water Fund 300,000 1,000,000 300,000 1,000,000 300,000 1,000,000 3,900,000 Bond Proceeds - - - - - - - 98 Howard Road CCTF Expansion Capital Costs - - - 310,000 977,000 - 1,287,000 Funding Sources: Water Fund - - - 310,000 977,000 - 1,287,000 Bond Proceeds - - - - - - - 99 Valley Service Area Reservoir No. 3 Capital Costs - - - 38,000 639,000 460,000 1,137,000 Funding Sources: Water Fund - - - 38,000 639,000 460,000 1,137,000 Bond Proceeds - - - - - - - Subtotal, Capacity Projects: Capital Costs 652,586 1,934,805 1,519,805 5,478,805 5,453,805 3,183,805 18,223,611 Page Non-Capacity Projects: 100 Green River PS Emergency Power Capital Costs 1,035,000 - - - - - 1,035,000 Funding Sources: Water Fund 135,000 - - - - - 135,000 Bond Proceeds 900,000 - - - - - 900,000 City of Auburn Capital Facilities Plan 90 TABLE W-2 (continued) 2019 2020 2021 2022 2023 2024 Total Non-Capacity Projects: 101 Well Inspection and Redevelopment Program Capital Costs 150,000 - - 185,000 - - 335,000 Funding Sources: Water Fund 150,000 - - 185,000 - - 335,000 Bond Proceeds - - - - - - - 102 Water Repair & Replacements Capital Costs - 300,000 1,000,000 300,000 1,000,000 300,000 2,900,000 Funding Sources: Water Fund - 300,000 1,000,000 300,000 1,000,000 300,000 2,900,000 Bond Proceeds - - - - - - - 103 Street Utility Improvements Capital Costs 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 1,000,000 6,000,000 Funding Sources: Water Fund 200,000 200,000 1,000,000 1,000,000 1,000,000 1,000,000 4,400,000 Bond Proceeds 800,000 800,000 - - - - 1,600,000 104 Reservoir Seismic Rehabilitation Capital Costs 86,000 - 241,000 - 262,000 - 589,000 Funding Sources: Water Fund 86,000 - 241,000 - 262,000 - 589,000 Bond Proceeds - - - - - - - 105 Lea Hill - 132nd Ave Distribution System Modifications Capital Costs - - 121,000 496,000 - - 617,000 Funding Sources: Water Fund - - 121,000 496,000 - - 617,000 Bond Proceeds - - - - - - - 106 Reservoir Painting Capital Costs - - 1,507,000 - - - 1,507,000 Funding Sources: Water Fund - - 1,507,000 - - - 1,507,000 Bond Proceeds - - - - - - - 107 Coal Creek Springs Transmission Main Replacement Capital Costs 2,096,500 - 90,000 410,000 - - 2,596,500 Funding Sources: Water Fund 1,285,100 - 90,000 410,000 - - 1,785,100 DWSRF Loan 811,400 - - - - - 811,400 Bond Proceeds - - - - - - - 108 F Street SE Non-Motorized Improvements Capital Costs - 82,000 302,000 - - - 384,000 Funding Sources: Water Fund - 82,000 302,000 - - - 384,000 Bond Proceeds - - - - - - - 109 Reservoir Repair and Replacements Capital Costs 50,000 50,000 50,000 164,000 566,000 - 880,000 Funding Sources: Water Fund 50,000 50,000 50,000 164,000 566,000 - 880,000 Bond Proceeds - - - - - - - 110 Pipeline Asset Management Study Capital Costs 57,000 59,000 - - - - 116,000 Funding Sources: Water Fund 57,000 59,000 - - - - 116,000 Bond Proceeds - - - - - - - City of Auburn Capital Facilities Plan 91 TABLE W-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 111 Auburn Regional Growth Center Access Improvements Capital Costs - - 59,000 519,000 - - 578,000 Funding Sources: Water Fund - - 59,000 519,000 - - 578,000 Bond Proceeds - - - - - - - 112 M Street NE Widening Capital Costs - - - 37,000 156,000 - 193,000 Funding Sources: Water Fund - - - 37,000 156,000 - 193,000 Bond Proceeds - - - - - - - 113 Auburn Way South - Hemlock Street SE to Poplar Street SE Capital Costs - - 66,000 256,000 2,176,000 - 2,498,000 Funding Sources: Water Fund - - 66,000 256,000 2,176,000 - 2,498,000 Bond Proceeds - - - - - - - 114 Lea Hill Rd Segment 1 (R St NE to 105th Pl SE) Capital Costs - - - 91,000 683,000 - 774,000 Funding Sources: Water Fund - - - 91,000 683,000 - 774,000 Bond Proceeds - - - - - - - 115 Evaluation of Lea Hill Pump Station Capital Costs - 98,000 - - - - 98,000 Funding Sources: Water Fund - 98,000 - - - - 98,000 Bond Proceeds - - - - - - - 116 Deduct Meter Replacement Program Capital Costs 250,000 250,000 250,000 250,000 - - 1,000,000 Funding Sources: Water Fund 250,000 250,000 250,000 250,000 - - 1,000,000 Bond Proceeds - - - - - - - 117 Comprehensive Water Plan Capital Costs - - 91,000 31,000 - 263,000 385,000 Funding Sources: Water Fund - - 91,000 31,000 - 263,000 385,000 Bond Proceeds - - - - - - - 118 Lea Hill AC Main Replacement Capital Costs - 235,000 3,013,000 - - - 3,248,000 Funding Sources: Water Fund - - 754,700 - - - 754,700 Bond Proceeds - 235,000 2,258,300 - - - 2,493,300 119 Lea Hill Rd Segment 2 (105th Pl SE to 112th Ave SE) Capital Costs - - - - - 137,000 137,000 Funding Sources: Water Fund - - - - - 137,000 137,000 Bond Proceeds - - - - - - - 120 Lea Hill Rd Segment 3 (112th Ave SE to 124th Ave SE ) Capital Costs - - - - - 166,000 166,000 Funding Sources: Water Fund - - - - - 166,000 166,000 Bond Proceeds - - - - - - - City of Auburn Capital Facilities Plan 92 TABLE W-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 121 Reservoir 1 Seismic Control Valve Capital Costs 10,000 - - - - - 10,000 Funding Sources: Water Fund 10,000 - - - - - 10,000 Grants - - - - - - - 122 Lead Service Line Replacement Capital Costs 150,000 150,000 180,000 185,000 190,000 195,000 1,050,000 Funding Sources: Water Fund 50,000 50,000 50,000 50,000 50,000 50,000 300,000 Grants 100,000 100,000 130,000 135,000 140,000 145,000 750,000 123 Well 4 Pump Improvements Capital Costs - 47,000 225,000 - - - 272,000 Funding Sources: Water Fund - 47,000 225,000 - - - 272,000 Bond Proceeds - - - - - - - 124 Water Resources Protection Program (Wellhead Protection) Capital Costs 25,300 26,100 26,800 27,700 28,500 29,400 163,800 Funding Sources: Water Fund 25,300 26,100 26,800 27,700 28,500 29,400 163,800 Bond Proceeds - - - - - - - 125 Game Farm Park Pump Station/Distribution System Improvements Capital Costs - - - 62,000 293,000 - 355,000 Funding Sources: Water Fund - - - 62,000 293,000 - 355,000 Bond Proceeds - - - - - - - 126 Meter Vault Replacement Capital Costs 1,000,000 - - - - - 1,000,000 Funding Sources: Water Fund 1,000,000 - - - - - 1,000,000 Bond Proceeds - - - - - - - 127 West Hill Springs Water Quality Improvements Capital Costs - - - - - 100,000 100,000 Funding Sources: Water Fund - - - - - 100,000 100,000 Bond Proceeds - - - - - - - Subtotal, Non-Capacity Projects: Capital Costs 5,909,800 2,297,100 8,221,800 4,013,700 6,354,500 2,190,400 28,987,300 SUMMARY: 2019 2020 2021 2022 2023 2024 Total CAPITAL COSTS Capacity Projects 652,586 1,934,805 1,519,805 5,478,805 5,453,805 3,183,805 18,223,611 Non-Capacity Projects 5,909,800 2,297,100 8,221,800 4,013,700 6,354,500 2,190,400 28,987,300 Total Costs 6,562,386 4,231,905 9,741,605 9,492,505 11,808,305 5,374,205 47,210,911 FUNDING SOURCES: Water Fund 3,950,986 3,096,905 7,068,305 7,457,505 11,668,305 5,229,205 38,471,211 DWSRF Loan 811,400 - - - - - 811,400 Grants 100,000 100,000 130,000 135,000 140,000 145,000 750,000 Bond Proceeds 1,700,000 1,035,000 2,543,300 1,900,000 - - 7,178,300 Total Funding 6,562,386 4,231,905 9,741,605 9,492,505 11,808,305 5,374,205 47,210,911 City of Auburn Capital Facilities Plan 93 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Cascade Water Alliance Water Purchase Project No:wabd06 Project Type:Capacity Project Manager:n/a Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue 252,586 252,586 252,586 934,805 757,758 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 252,586 252,586 252,586 934,805 757,758 Capital Expenditures: Water Supply Purchase 252,586 252,586 252,586 934,805 757,758 Right of Way - - - - - Construction - - - - - 252,586 252,586 252,586 934,805 757,758 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 934,805 934,805 934,805 934,805 4,926,611 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 934,805 934,805 934,805 934,805 4,926,611 Capital Expenditures: Water Supply Purchase 934,805 934,805 934,805 934,805 4,926,611 Right of Way - - - - - Construction - - - - - 934,805 934,805 934,805 934,805 4,926,611 Financing to purchase water from adjacent purveyors to meet projected demand based on agreements with Cascade Water Alliance. Council approved the agreements for permanent and reserve wholesale supply in September 2013. A new agreement with Tacoma was executed in 2014. Budget reflects purchase of permanent supply - payments of $934,805 will continue from 2020 through 2029. Reserve supply will not be purchased and is not included. 2015 Comprehensive Water Plan CIP ID S-04 Progress Summary: Ongoing payments through 2029 Future Impact on Operating Budget: None Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 94 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Academy Pump Station #1 Pump Replacement Project No:wabd15 Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 296,000 - - 296,000 Grants (Fed,State,Local)- - - - - Bond Proceeds 285,000 1,900,000 - - 2,185,000 Other - - - - - 285,000 2,196,000 - - 2,481,000 Capital Expenditures: Design 285,000 - - - 285,000 Right of Way - - - - - Construction 2,196,000 - - 2,196,000 285,000 2,196,000 - - 2,481,000 The pump station is reaching the end of its useful life. The project will also increase the pump station capacity to meet peak demands and fire flow requirements, and provide backup power generation. 2015 Comprehensive Plan CIP ID PS-07 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 95 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Coal Creek Springs Rehabilitation Project No:wabd07 Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 50,000 - 50,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 1,000,000 2,553,000 789,000 4,392,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - - 1,000,000 2,553,000 789,000 4,392,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction - 1,000,000 2,553,000 789,000 4,342,000 - 1,000,000 2,553,000 789,000 4,392,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Rehabilitation of the Coal Creek Springs middle collector will improve capacity of the springs resulting in greater utilization of the water right. 2015 Comprehensive Plan CIP ID S-09 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. City of Auburn Capital Facilities Plan 96 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Algona Well 1 Decommissioning Project No:wabd08 Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 50,000 - 50,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - 50,000 - 100,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 50,000 - 100,000 Capital Expenditures: Design - - 50,000 - 100,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 100,000 The Algona well has been temporarily abandoned and all related facilities removed. This project will have the well properly decommissioned by a State of Washington-licensed well driller, once the water rights have been transferred to an alternate source. 2015 Comprehensive Plan CIP ID S-14 Progress Summary: Planned Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 97 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Annual Distribution System Improvements Program Project No:wabd09 Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - 1,000,000 300,000 1,000,000 1,300,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 1,000,000 300,000 1,000,000 1,300,000 Capital Expenditures: Design - - 300,000 - 300,000 Right of Way - - - - - Construction - 1,000,000 - 1,000,000 1,000,000 - 1,000,000 300,000 1,000,000 1,300,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 300,000 1,000,000 300,000 1,000,000 3,900,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 300,000 1,000,000 300,000 1,000,000 3,900,000 Capital Expenditures: Design 300,000 - 300,000 - 900,000 Right of Way - - - - - Construction - 1,000,000 - 1,000,000 3,000,000 300,000 1,000,000 300,000 1,000,000 3,900,000 Program to fund capacity-related improvements to the water distribution system to address low pressures during peak hour demand and fire flows. Design is expected to be completed in one year, followed by construction of those improvements in the subsequent year. 2015 Comprehensive Plan CIP ID D-02 Progress Summary: Planned Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 98 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Howard Road CCTF Expansion Project No:cpxxxx Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 310,000 977,000 - 1,287,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 310,000 977,000 - 1,287,000 Capital Expenditures: Design - 310,000 - - 310,000 Right of Way - - - - - Construction - - 977,000 - 977,000 - 310,000 977,000 - 1,287,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: With the completion of the Coal Creek Springs Improvements, the Howard Road Corrosion Control Treatment Facility will exceed its current capacity. This project will add one aeration tower and one blower pump to match the existing towers and blowers. 2015 Comprehensive Plan CIP ID S-18 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planning, design in conjunction with Coal Creek Springs improvements, construction complete just before CCS improvements Future Impact on Operating Budget: The annual maintenance cost is estimated to be approximately $600. City of Auburn Capital Facilities Plan 99 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Valley Service Area Reservoir No. 3 Project No:cpxxxx Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 38,000 639,000 460,000 1,137,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 38,000 639,000 460,000 1,137,000 Capital Expenditures: Design - 38,000 639,000 460,000 1,137,000 Right of Way - - - - - Construction - - - - - 38,000 639,000 460,000 1,137,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: A new 1 million gallon storage facility is needed to meet future storage requirements in the Valley Service Area. 2015 Comprehensive Plan CIP ID R-04 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Reservoir siting study will be conducted in 2022, with property acquisition in 2023. Design of the project will be completed in 2024, with construction in 2025-2026. Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 100 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Green River Pump Station Emergency Power Project No:cp1802 Project Type:Non-Capacity Project Manager:Luis Barba Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - 190,000 135,000 - 325,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - 900,000 - 900,000 Other - - - - - - 190,000 1,035,000 - 1,225,000 Capital Expenditures: Design - 190,000 130,000 - 320,000 Right of Way - - - - - Construction - - 905,000 - 905,000 - 190,000 1,035,000 - 1,225,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - - 135,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - 900,000 Other - - - - - - - - - 1,035,000 Capital Expenditures: Design - - - - 130,000 Right of Way - - - - - Construction - - - - 905,000 - - - - 1,035,000 Grants / Other Sources: Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Construction of facility improvements to house an emergency generator and associated electrical equipment. 2015 Comprehensive Plan CIP ID PS-03 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design will be completed in 2018 with construction completed in 2019. Future Impact on Operating Budget: The annual maintenance cost is estimated to be approximately $600. City of Auburn Capital Facilities Plan 101 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Well Inspection and Redevelopment Program Project No:wabd11 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 150,000 - 150,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 150,000 - 150,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - 150,000 - 150,000 - - 150,000 - 150,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 185,000 - - 335,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 185,000 - - 335,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 185,000 - - 335,000 - 185,000 - - 335,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: No significant impact. Program for inspection and redevelopment of supply wells and springs necessary to ensure production at maximum capacity for efficient utilization. 2015 Comprehensive Plan CIP ID S-07 Progress Summary: Planned Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 102 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Water Repair & Replacements Project No:wabd02 Project Type:Non-Capacity (R&R) Project Manager:Various Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - 300,000 - 300,000 600,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 300,000 - 300,000 600,000 Capital Expenditures: Design - 300,000 - 300,000 600,000 Right of Way - - - - - Construction - - - - - - 300,000 - 300,000 300,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 1,000,000 300,000 1,000,000 300,000 2,900,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 1,000,000 300,000 1,000,000 300,000 2,900,000 Capital Expenditures: Design - 300,000 - 300,000 900,000 Right of Way - - - - - Construction 1,000,000 - 1,000,000 - 2,000,000 1,000,000 300,000 1,000,000 300,000 2,900,000 Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Program to fund distribution system repair and replacement projects required for meeting peak demands and reducing system losses. Projects will be coordinated with the Local Street Program and other utility projects. 2015 Comprehensive Plan CIP ID D-09 Progress Summary: Planned Future Impact on Operating Budget: No significant impact. City of Auburn Capital Facilities Plan 103 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Street Utility Improvements Project No:wabd01 Project Type:Non-Capacity Project Manager:TBD Description: Progress Summary: Planned No significant impact Activity: (Previous 2 Years)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue 1,212,589 500,000 200,000 200,000 1,912,589 Grants (Fed,State,Local)- - - - - Bond Proceeds - - 800,000 800,000 800,000 Other - - - - - Total Funding Sources:1,212,589 500,000 1,000,000 1,000,000 2,712,589 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 1,212,589 500,000 1,000,000 1,000,000 2,712,589 Total Expenditures:1,212,589 500,000 1,000,000 1,000,000 2,712,589 Forecasted Project Cost: Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 1,000,000 1,000,000 1,000,000 1,000,000 4,400,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - 1,600,000 Other - - - - - Total Funding Sources:1,000,000 1,000,000 1,000,000 1,000,000 6,000,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 1,000,000 1,000,000 1,000,000 1,000,000 6,000,000 Total Expenditures:1,000,000 1,000,000 1,000,000 1,000,000 6,000,000 Water main improvements in coordination with the Local Street Preservation Program and general arterial street improvements. 2015 Comprehensive Plan CIP ID D-06 Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 104 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Reservoir Seismic Rehabilitation Project No:wabd16 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 86,000 - 86,000 Grants -Unsecured Federal - - - - - PWTFL - - - - - Bond Proceeds - - - - - - - 86,000 - 86,000 Capital Expenditures: Design - - 86,000 - 86,000 Right of Way - - - - - Construction - - - - - - - 86,000 - 86,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 241,000 - 262,000 - 589,000 Grants -Unsecured Federal - - - - - PWTFL - - - - - Bond Proceeds - - - - - 241,000 - 262,000 - 589,000 Capital Expenditures: Design 61,000 - 65,000 - 212,000 Right of Way - - - - - Construction 180,000 - 197,000 - 377,000 241,000 - 262,000 - 589,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Install seismic control valves on outlet piping of Reservoirs 2, 4A, 4B, 8A, and 8B. This project will include a study (2019) to identify work to be completed at each site, and to further define project costs at each site. A grant was received for Reservoir 1 and a separate project was established, removing $25,000 from these costs. Costs for the remaining reservoirs will be updated based on the Reservoir 1 project. 2015 Comprehensive Plan CIP ID R-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact City of Auburn Capital Facilities Plan 105 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lea Hill - 132nd Ave Distribution System Modifications Project No:wabd05 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 121,000 496,000 - - 617,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - 121,000 496,000 - - 617,000 Capital Expenditures: Design 121,000 - - - 121,000 Right of Way - - - - - Construction - 496,000 - - 496,000 121,000 496,000 - - 617,000 Project will add pressure reducing valves and control valves at Lea Hill reservoirs and pump stations, and system valves to provide efficient operation of the 132nd Ave Tacoma Intertie. Project will also include additional piping within Intertie/Lea Hill Booster pump station building to utilize existing Intertie pumps for Boosted zone. 2015 Comprehensive Water Plan CIP ID D-06, and PS-04. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 106 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Reservoir Painting Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 1,507,000 - - - 1,507,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - 1,507,000 - - - 1,507,000 Capital Expenditures: Design 180,000 - - - 180,000 Right of Way - - - - - Construction 1,327,000 - - - 1,327,000 1,507,000 - - - 1,507,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Maintenance of reservoirs requires periodic painting to protect the steel and increase the useful life of the reservoir. 2015 Comprehensive Plan CIP ID R-05 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact City of Auburn Capital Facilities Plan 107 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Coal Creek Springs Transmission Main Replacement Project No:cp1603 Project Type:Non-Capacity Project Manager:Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue 64,921 - 1,285,100 - 1,350,021 Grants (Fed,State,Local)- - - - - DWSRF Loan 78,590 450,010 811,400 - 1,340,000 Bond Proceeds - - - - - 143,511 450,010 2,096,500 - 2,690,021 Capital Expenditures: Design 143,511 450,010 - - 593,521 Right of Way - - - - - Construction - - 2,096,500 - 2,096,500 143,511 450,010 2,096,500 - 2,690,021 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 90,000 410,000 - - 1,785,100 Grants (Fed,State,Local)- - - - - DWSRF Loan - - - - 811,400 Bond Proceeds - - - - 90,000 410,000 - - 2,596,500 Capital Expenditures: Design 90,000 - - - 90,000 Right of Way - - - - - Construction - 410,000 - - 2,506,500 90,000 410,000 - - 2,596,500 The facilities evaluation study conducted in 2013-2014 found a suspected leak on the 24" steel transmission main crossing the White River. The approximate location was determined, but further investigation is required to assess the degree and magnitude of the potential leak. This project will provide for full replacement of the river crossing via a utility bridge. This option eliminates the deep blow-off and allows more flexibility for expansion. A future project would rehabilitate the existing crossing for redundancy. 2015 Comprehensive Plan CIP ID D-11 Progress Summary: Design is anticipated to be completed in 2018 with construction completed in 2019. Future Impact on Operating Budget: No significant impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 108 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: F Street SE Non-Motorized Improvements Project No:cp1416 Project Type:Non-Capacity Project Manager:Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue 10,880 19,120 - 82,000 30,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - 10,880 19,120 - 82,000 30,000 Capital Expenditures: Design 10,880 19,120 - 82,000 30,000 Right of Way - - - - - Construction - - - - - 10,880 19,120 - 82,000 30,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 302,000 - - - 384,000 Grants (Fed,State,Local)- - - - - PWTFL - - - - - Bond Proceeds - - - - - 302,000 - - - 384,000 Capital Expenditures: Design - - - - 82,000 Right of Way - - - - - Construction 302,000 - - - 302,000 302,000 - - - 384,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with F Street SE street improvements. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design will be completed in 2020 with construction completed in 2021 Future Impact on Operating Budget: No significant impact City of Auburn Capital Facilities Plan 109 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Reservoir Repair and Replacements Project No:wabd12 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - 100,000 50,000 50,000 150,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 100,000 50,000 50,000 150,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 100,000 50,000 50,000 150,000 - 100,000 50,000 50,000 150,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 50,000 164,000 566,000 - 880,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 50,000 164,000 566,000 - 880,000 Capital Expenditures: Design - 164,000 - - 164,000 Right of Way - - - - - Construction 50,000 566,000 - 716,000 50,000 164,000 566,000 - 880,000 General reservoir maintenance and minor improvements. 2015 Comprehensive Plan CIP ID R-03 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 110 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Pipeline Asset Management Study Project No:wabd17 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 57,000 59,000 57,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 57,000 59,000 57,000 Capital Expenditures: Design - - 57,000 59,000 57,000 Right of Way - - - - - Construction - - - - - - - 57,000 59,000 57,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - - 116,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 116,000 Capital Expenditures: Design - - - - 116,000 Right of Way - - - - - Construction - - - - - - - - - 116,000 Pipeline asset management study will identify the remaining useful life of water mains in the system, prioritize pipe replacements, and develop replacement costs to phase in the replacements. 2015 Comprehensive Plan CIP ID D-10 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 111 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Auburn Regional Growth Center Access Improvements Project No:wabd14 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 59,000 519,000 - - 578,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 59,000 519,000 - - 578,000 Capital Expenditures: Design 59,000 - - - 59,000 Right of Way - - - - - Construction - 519,000 - - 519,000 59,000 519,000 - - 578,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with Urban Center Access Improvements to address water system needs on A Street NW. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design will be completed in 2021 with construction completed in 2022. Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 112 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: M Street NE Widening Project No:wabd13 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 37,000 156,000 - 193,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 37,000 156,000 - 193,000 Capital Expenditures: Design - 37,000 - - 37,000 Right of Way - - - - - Construction - - 156,000 - 156,000 - 37,000 156,000 - 193,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with M ST NE widening (E Main to 4th St NE). 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design will be completed in 2021 with construction completed in 2022. Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 113 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Auburn Way South - Hemlock Street SE to Poplar Street SE Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 66,000 256,000 2,176,000 - 2,498,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 66,000 256,000 2,176,000 - 2,498,000 Capital Expenditures: Design 66,000 - - - 66,000 Right of Way - 256,000 - - 256,000 Construction - - 2,176,000 - 2,176,000 66,000 256,000 2,176,000 - 2,498,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with Auburn Way South street improvements. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 114 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lea Hill Rd Segment 1 (R St NE to 105th Pl SE) Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 91,000 683,000 - 774,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 91,000 683,000 - 774,000 Capital Expenditures: Design - 91,000 - - 91,000 Right of Way - - - - - Construction - - 683,000 - 683,000 - 91,000 683,000 - 774,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with Lea Hill Road corridor improvements, Segment 1 (R St NE to 105th Pl SE), TIP #64. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 115 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Evaluation of Lea Hill Pump Station Project No:wabd18 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - 98,000 - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 98,000 - Capital Expenditures: Design - - - 18,000 - Right of Way - - - - - Construction - - - 80,000 - - - - 98,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - - 98,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 98,000 Capital Expenditures: Design - - - - 18,000 Right of Way - - - - - Construction - - - - 80,000 - - - - 98,000 Lea Hill pump station will be evaluated to determine if it should be decommissioned or reconstructed to provide redundant pumped supply to the Lea Hill area. If the Green River Pump Station is out of service for maintenance, a redundant pump station would avoid the need to purchase more expensive regional surface water through the 132nd Intertie. 2015 Comprehensive Water Plan CIP ID PS-10 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design and Construction will be complete in 2020 Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 116 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Deduct Meter Replacement Program Project No:wabd19 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 250,000 250,000 250,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 250,000 250,000 250,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - 250,000 250,000 250,000 - - 250,000 250,000 250,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 250,000 250,000 - - 1,000,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 250,000 250,000 - - 1,000,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 250,000 250,000 - 1,000,000 250,000 250,000 - - 1,000,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Approximately 200 non-single family irrigation meters within the water system are connected to the customer's supply line on the customer side of the domestic meter, instead of being directly connected to the water main. Since sewer charges for non-single family customers are based on the domestic water meter reading and irrigation water does not use the sewer system, customers ask to have the irrigation use deducted from their overall domestic use for sewer billing purposes. Thus, irrigation meters installed after the domestic meter are referred to as "deduct meters". To improve the billing process, increase staff efficiencies and eliminate manual calculations in the billing process this project will re-install the irrigation meters to directly connect to the main. Deduct meters will be converted to irrigation meters to more equitably bill water usage. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. City of Auburn Capital Facilities Plan 117 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Comprehensive Water Plan Project No:cpxxxx Project Type:Non-Capacity Project Manager:Fenhaus Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 91,000 31,000 - 263,000 385,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 91,000 31,000 - 263,000 385,000 Capital Expenditures: Design 91,000 31,000 - 263,000 385,000 Right of Way - - - - - Construction - - - - - 91,000 31,000 - 263,000 385,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Update the Comprehensive Water Plan as required by Washington Department of Health by May 2022. Progress Summary: Planned Future Impact on Operating Budget: No significant impact. City of Auburn Capital Facilities Plan 118 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lea Hill AC Main Replacement Project No:wabd20 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - 235,000 - Other - - - - - - - - 235,000 - Capital Expenditures: Design - - - 235,000 - Right of Way - - - - - Construction - - - - - - - - 235,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 754,700 - - - 754,700 Grants (Fed,State,Local)- - - - - Bond Proceeds 2,258,300 - - - 2,493,300 Other - - - - - 3,013,000 - - - 3,248,000 Capital Expenditures: Design - - - - 235,000 Right of Way - - - - - Construction 3,013,000 - - - 3,013,000 3,013,000 - - - 3,248,000 Distribution system repair and replacement project required for meeting peak demands and reducing system losses. Project will replace asbestos cement (AC) water main in the Lea Hill service area. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned. Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 119 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lea Hill Rd Segment 2 (105th Pl SE to 112th Ave SE) Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - 137,000 137,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 137,000 137,000 Capital Expenditures: Design - - - 137,000 137,000 Right of Way - - - - - Construction - - - - - - - - 137,000 137,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with Lea Hill Road corridor improvements, Segment 2 (105th Pl SE to 112th Ave SE), TIP # R-21. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 120 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lea Hill Rd Segment 3 (112th Ave SE to 124th Ave SE ) Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - 166,000 166,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 166,000 166,000 Capital Expenditures: Design - - - 166,000 166,000 Right of Way - - - - - Construction - - - - - - - - 166,000 166,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Water main improvements constructed in conjunction with Lea Hill Road corridor improvements, Segment 1 (112th Ave SE to 124th Ave SE), TIP # R-22. 2015 Comprehensive Water Plan CIP ID D-06 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 121 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Reservoir 1 Seismic Control Valve Project No:cp1709 Project Type:Non-Capacity Project Manager:Thompson Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue 3,200 321,800 10,000 - 335,000 Grants (Fed,State,Local)22,400 152,600 - - 175,000 Bond Proceeds - - - - - Other - - - - - 25,600 474,400 10,000 - 510,000 Capital Expenditures: Design 25,600 - - - 25,600 Right of Way - - - - - Construction - 474,400 10,000 - 484,400 25,600 474,400 10,000 - 510,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - - 10,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 10,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 10,000 - - - - 10,000 This project will install a seismic control valve at the City’s largest reservoir, Reservoir 1, to prevent water from escaping from the reservoir in case of an earthquake. 2015 comprehensive Plan CIP ID R-06 Progress Summary: Design will be completed in 2017, and construction will be completed in 2019. Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 122 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Lead Service Line Replacement Project No:wabd21 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 50,000 50,000 50,000 Grants (Fed,State,Local)- - 100,000 100,000 100,000 Bond Proceeds - - - - - Other - - - - - - - 150,000 150,000 150,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - 150,000 150,000 150,000 - - 150,000 150,000 150,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 50,000 50,000 50,000 50,000 300,000 Grants (Fed,State,Local)130,000 135,000 140,000 145,000 750,000 Bond Proceeds - - - - - Other - - - - - 180,000 185,000 190,000 195,000 1,050,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 180,000 185,000 190,000 195,000 1,050,000 180,000 185,000 190,000 195,000 1,050,000 The City has approximately 1,000 service lines with a lead goose-neck connection at the main. State and Federal agencies are planning a 15 year period for utilities to remove all lead service lines. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 123 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Well 4 Pump Improvements Project No:wabd22 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - 47,000 - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 47,000 - Capital Expenditures: Design - - - 47,000 - Right of Way - - - - - Construction - - - - - - - - 47,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 225,000 - - - 272,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 225,000 - - - 272,000 Capital Expenditures: Design - - - - 47,000 Right of Way - - - - - Construction 225,000 - - - 225,000 225,000 - - - 272,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project was identified in the Facilities Evaluation Study, and will include an electrical retrofit and replacement of aging pump check valve. 2015 Comprehensive Plan CIP ID S-22 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design is planned for 2020 with construction in 2021. Future Impact on Operating Budget: No significant Impact City of Auburn Capital Facilities Plan 124 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Water Resources Protection Program (Wellhead Protection) Project No:wabd23 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - 25,300 26,100 25,300 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 25,300 26,100 25,300 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - 25,300 26,100 25,300 - - 25,300 26,100 25,300 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue 26,800 27,700 28,500 29,400 163,800 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 26,800 27,700 28,500 29,400 163,800 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 26,800 27,700 28,500 29,400 163,800 26,800 27,700 28,500 29,400 163,800 Annual funding for implementing strategies identified in the Wellhead Protection Plan. Although some tasks will be performed as part of the water operations budget, other tasks will require consultants with expertise in review and investigation of contaminant sites and other environmental databases, development of spill response plans, and leaking underground storage tanks. 2015 comprehensive Plan CIP ID S-08 5/2018 - Cost of project escalated at approximately 3% per year Progress Summary: Planned Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 125 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Game Farm Park Pump Station/Distribution System Improvements Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - 62,000 293,000 - 355,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 62,000 293,000 - 355,000 Capital Expenditures: Design - 62,000 - - 62,000 Right of Way - - - - - Construction - - 293,000 - 293,000 - 62,000 293,000 - 355,000 The pumps at Game Farm Wilderness Park are in need of replacement, and the building need repairs. This project was identified in the 2015 Comprehensive Plan as occurring in the short to mid term, or by 2025. Installation of new water main crossing the White River to eliminate the pump station was identified as being completed by 2035. The Coal Creek Springs Transmission Main project will add a pipe crossing the White River to be used for installation of a water main for Game Farm Wilderness Park. Completion of the river crossing will enable the water main project to be completed sooner and eliminate the need for pump station improvements. This project will install new main within the Game Farm Park from the existing 8" near the amphitheater to the river crossing, and from the river crossing to the existing pump station in the Wilderness area. The project will also decommission the existing pump station. 2015 Comprehensive Plan CIP ID PS-09, D16 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Planned Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 126 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Meter Vault Replacement Project No:cp1807 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - 100,000 1,000,000 - 1,100,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 100,000 1,000,000 - 1,100,000 Capital Expenditures: Design - 100,000 - - 100,000 Right of Way - - - - - Construction - - 1,000,000 - 1,000,000 - 100,000 1,000,000 - 1,100,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - - 1,000,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 1,000,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 1,000,000 - - - - 1,000,000 Large meter vaults at Washington Elementary School, Cascade Middle School (2 vaults), Forest Ridge Townhomes, Green River Estates, and Neely Station have lids that are unsafe and vaults that are in need of repair. Project will replace the vaults and upgrade piping as needed. Project was not identified in 2015 Comprehensive Water Plan Progress Summary: Design and construction is anticipated to be complete in 2019. Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 127 WATER FUND (460)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: West Hill Springs Water Quality Improvements Project No:cpxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Water Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Water Revenue - - - 100,000 100,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 100,000 100,000 Capital Expenditures: Design - - - 100,000 100,000 Right of Way - - - - - Construction - - - - - - - - 100,000 100,000 The aging chlorination building at West Hill Springs will be replaced and a new liquid chlorination system will be installed. 2015 Comprehensive Plan CIP ID S-12 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Design is anticipated to begin in 2024, with construction in 2025. Future Impact on Operating Budget: No significant Impact Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 128 TABLE W-3 Impact on Future Operating Budgets WATER Project:2020 2021 2022 2023 2024 2025 Total 1 Howard Road Corrosion Control Treatment Facility Expansion -$ -$ -$ -$ 600$ 600$ 1,200$ 2 Green River Pump Station Emergency Power 600 600 600 600 600 600 3,600 Total 600$ 600$ 600$ 600$ 1,200$ 1,200$ 4,800$ City of Auburn Capital Facilities Plan 129 SANITARY SEWER Current Facilities The City’s sanitary sewer service area encompasses approximately 28-square miles that are primarily within the City limits, but includes a total of approximately ½ square mile within Auburn’s Proposed Annexation area (PAA). The City contracts with King County for sewage treatment and disposal. The City’s Sanitary Sewer Utility is responsible for the collection and transmission of wastewater to the King County trunk lines. The City’s current inventory of approximately 200 miles of sewer lines serves the City’s sewer service area. Table S-1, Facilities Inventory, lists the sewage collection and transmission facilities along with their capacities and locations. Level of Service (LOS) The Comprehensive Sewerage Plan for the Sewerage Collection System summarizes the level of service (LOS), or design criteria, for the City’s sewage collection system. These standards represent the average quantities of sewage that the system is designated to accommodate for residential, industrial, and commercial development. Capital Facilities Projects and Financing Investments in the City’s sewage collection facilities include primarily non-capacity improvements and replacement projects. Anticipated replacements include replacement of aging sewer pipes and manholes in conjunction with arterial and local street improvements, and replacement of pipe identified through the sewer program’s condition assessment process. The City will also undertake significant system assessment efforts including inspections and evaluations of siphons, pump stations, large diameter pipe, and specific areas of the City that shows high levels of inflow and infiltration. The City of Auburn’s sewer system anticipates costs for thirteen non-capacity projects totaling $13,677,000. Table S-2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets There are no operating budget impacts forecasted for sanitary sewer facilities during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 130 TABLE S-1 Facilities Inventory Sewage Facilities CAPACITY FACILITY (MGD)LOCATION Pump Stations: 8th Street 0.26 900 8th Street NE 22nd Street 0.79 1950 22nd Street NE Area 19 0.47 800 71st Street SE Auburn 40 0.63 4159 O Place NE Dogwood 0.43 1423 Dogwood Street SE Ellingson 2.20 100 41st Street SE F Street 0.86 1700 F Street SE North Tapps 0.73 2610 Lake Tapps Pkwy SE Peasley Ridge 0.36 5225 South 320th Street Promenade 0.25 12900 SE 312th Street R Street 0.14 600 R Street NE Rainier Ridge 0.29 31809 125th Place SE Riverside 0.58 13900 104th Avenue SE Terrace View 0.94 104 60th Street SE Valley Meadows 0.18 2022 4th Street SE Verdana 2.88 11807 SE 296th Place (Kent, WA) FACILITY Pipe Size LOCATION River Crossings: Inverted Syphon 8 & 12 Inch Green River & 26th Street NE 8th Street Bridge 14 Inch Green River & 8th Street NE City of Auburn Capital Facilities Plan 131 TABLE S-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING SANITARY SEWER DIVISION 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 133 Sanitary Sewer Repair & Replacement Program Capital Costs - 300,000 1,500,000 300,000 1,500,000 300,000 3,900,000 Funding Sources: Sewer Fund - 300,000 1,500,000 300,000 1,500,000 300,000 3,900,000 Bond Proceeds - - - - - - - 134 Street Utility Improvements Capital Costs 200,000 200,000 200,000 200,000 200,000 200,000 1,200,000 Funding Sources: Sewer Fund 200,000 200,000 200,000 200,000 200,000 200,000 1,200,000 Bond Proceeds - - - - - - - 135 Vactor Decant Facility Capital Costs - - 180,000 - - - 180,000 Funding Sources: Sewer Fund - - 180,000 - - - 180,000 Bond Proceeds - - - - - - - 136 Manhole Ring and Cover Replacement Capital Costs 80,000 80,000 80,000 80,000 80,000 - 400,000 Funding Sources: Sewer Fund 80,000 80,000 80,000 80,000 80,000 - 400,000 Bond Proceeds - - - - - - - 137 Sewer Pump Station Replacement/Improvement Program Capital Costs - - - - 255,000 525,000 780,000 Funding Sources: Sewer Fund - - - - 255,000 525,000 780,000 Bond Proceeds - - - - - - - 138 Pump Station Electrical Improvements Capital Costs 455,000 - - - - - 455,000 Funding Sources: Sewer Fund 455,000 - - - - - 455,000 Bond Proceeds - - - - - - - 139 Large Diameter Pipe Assessment Capital Costs 455,000 - - - - - 455,000 Funding Sources: Sewer Fund 455,000 - - - - - 455,000 Bond Proceeds - - - - - - - 140 Inflow and Infiltration Study Capital Costs 154,000 158,000 163,000 167,000 172,000 - 814,000 Funding Sources: Sewer Fund 154,000 158,000 163,000 167,000 172,000 - 814,000 Bond Proceeds - - - - - - - 141 Comprehensive Sewer Plan Update Capital Costs - 410,000 - - - - 410,000 Funding Sources: Sewer Fund - 410,000 - - - - 410,000 Bond Proceeds - - - - - - - City of Auburn Capital Facilities Plan 132 TABLE S-2 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 142 F Street SE Non-Motorized Improvements Capital Costs - - 106,000 - - - 106,000 Funding Sources: Sewer Fund - - 106,000 - - - 106,000 Bond Proceeds - - - - - - - 143 M Street NE Widening Capital Costs - - - 6,000 56,000 - 62,000 Funding Sources: Sewer Fund - - - 6,000 56,000 - 62,000 Bond Proceeds - - - - - - - 144 22nd Street Pump Station Replacement Capital Costs - 65,000 450,000 2,900,000 - - 3,415,000 Funding Sources: Sewer Fund - 65,000 450,000 2,900,000 - - 3,415,000 Bond Proceeds - - - - - - - 145 2019 Sewer Repair and Replacement Capital Costs 1,500,000 - - - - - 1,500,000 Funding Sources: Sewer Fund 1,500,000 - - - - - 1,500,000 Bond Proceeds - - - - - - - Subtotal, Non-Capacity Projects: Capital Costs 2,844,000 1,213,000 2,679,000 3,653,000 2,263,000 1,025,000 13,677,000 SUMMARY: CAPITAL COSTS Capacity Projects - - - - - - - Non-Capacity Projects 2,844,000 1,213,000 2,679,000 3,653,000 2,263,000 1,025,000 13,677,000 Total Costs 2,844,000 1,213,000 2,679,000 3,653,000 2,263,000 1,025,000 13,677,000 FUNDING SOURCES: Utility Funds (Sewer)2,844,000 1,213,000 2,679,000 3,653,000 2,263,000 1,025,000 13,677,000 Bond Proceeds - - - - - - - Other - - - - - - - Total Funding 2,844,000 1,213,000 2,679,000 3,653,000 2,263,000 1,025,000 13,677,000 City of Auburn Capital Facilities Plan 133 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Sanitary Sewer Repair & Replacement/System Improvements Program Project No:sebd01 Project Type: Project Manager:Elwell Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - 300,000 - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 300,000 - Capital Expenditures: Design - 250,000 - Right of Way - - - 20,000 - Construction - 30,000 - - - - 300,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 1,500,000 300,000 1,500,000 300,000 3,900,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 1,500,000 300,000 1,500,000 300,000 3,900,000 Capital Expenditures: Design 150,000 250,000 150,000 250,000 1,050,000 Right of Way - 20,000 - 20,000 60,000 Construction 1,350,000 30,000 1,350,000 30,000 2,790,000 1,500,000 300,000 1,500,000 300,000 3,900,000 Non-Capacity (Repair and Replacement) Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This should slightly decrease the operating budget by correcting the problems that require operation staff's attention. Repair and replace broken sewer mains and other facilities. These lines will be identified through television inspection and routine cleaning. This particular program includes proposed projects which do not have an approved Project Management Plan, or are not associated with the SOS or other transportation improvements. Anticipated projects include bi-annual, stand-alone, repair and replacement projects for sewer lines which are broken, misaligned, "bellied" or otherwise require an inordinate amount of maintenance effort or present a risk of backup or trench failure, and facilities which generate consistent odor complaints. Additionally, system improvements which enhance the ability to maintain service are included here. Comp Plan ID #1. Progress Summary: 21 Sites were identified 2017. Funds from this program were transferred to CP1805, the 2019 Sewer Repair and Replacement project. Funds from 2020 and 2021 may be needed to complete those repairs. Design of future R&R projects will begin in 2020, with construction of those projects in 2021, and this two-year cycle of design followed by construction will continue in subsequent years. Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 134 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Street Utility Improvements Project No:sebd02 Project Type: Project Manager:TBD Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue 233,680 200,000 200,000 200,000 633,680 Grants (Fed,State,Local)- - - - Bond Proceeds - - - - Other - - - - 233,680 200,000 200,000 200,000 633,680 Capital Expenditures: Design 33,680 30,000 30,000 30,000 93,680 Right of Way - - - Construction 200,000 170,000 170,000 170,000 540,000 233,680 200,000 200,000 200,000 633,680 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 200,000 200,000 200,000 200,000 1,200,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 200,000 200,000 200,000 200,000 1,200,000 Capital Expenditures: Design 30,000 30,000 30,000 30,000 180,000 Right of Way - - - - - Construction 170,000 170,000 170,000 170,000 1,020,000 200,000 200,000 200,000 200,000 1,200,000 Non Capacity (Repair and Replacement) Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: No significant Impact Sewer line replacement in coordination with the Local Street Preservation Program and Arterial Preservation Program improvements. Comp Plan ID #2. Progress Summary: Ongoing Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 135 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Sewer Vactor Decant Facility Project No:sebd03 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - Right of Way/Property Acquisition - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 180,000 - - - 180,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 180,000 - - - 180,000 Capital Expenditures: Design 180,000 - - - 180,000 Right of Way/Property Acquisition - - - - - Construction - - - - - 180,000 - - - 180,000 Non-Capacity (Improvements) Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project could decrease the future operating budget by reducing the expenses associated with hauling saturated waste to the County landfill. Currently the City hauls vactored sewage waste to the County landfill on a biweekly basis. The sewage sludge is considerably wet, thus Utility funds are paying for the disposal of water. This project consists of a study/analysis to assess the City’s vactor disposal method and identify a cost-effective alternative to the status quo. Possible recommendations may include maintaining current operations, constructing a gravity decant facility, incorporating special equipment into the vactor truck to increase decanting ability, purchasing specialized dewatering machinery, or collaborating with neighboring utilities for the shared use of facilities and equipment. Comp Plan ID #3 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 136 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Manhole Ring and Cover Replacement Project No:sebd04 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - 80,000 80,000 80,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 80,000 80,000 80,000 Capital Expenditures: Design - - 8,000 8,000 8,000 Right of Way/Property Acquisition - - - - - Construction - - 72,000 72,000 72,000 - - 80,000 80,000 80,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 80,000 80,000 80,000 - 400,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 80,000 80,000 80,000 - 400,000 Capital Expenditures: Design 8,000 8,000 8,000 - 40,000 Right of Way/Property Acquisition - - - - - Construction 72,000 72,000 72,000 - 360,000 80,000 80,000 80,000 - 400,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: This project could decrease the future operating budget by reducing the need for staff to respond to loose manholes or lids. Non-Capacity (Repair and Replacement) As manholes and roads age and their condition deteriorates, access covers and the rings in which they sit can become loose and/or misoriented, and can become a road hazard requiring maintenance staff attention and increasing the City's liability. This annual project will replace approximately 50 sewer manhole rings and covers to maintain access to the sewer system and to decrease the likelihood of the manholes becoming road hazards. Some of these replacements may be in conjunction with other City capital projects. Comp Plan ID #7. Progress Summary: Ongoing Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 137 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Sewer Pump Station Replacement/Improvement Program Project No:sebd05 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way/Property Acquisition - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - - 255,000 525,000 780,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 255,000 525,000 780,000 Capital Expenditures: Design - - 255,000 525,000 780,000 Right of Way/Property Acquisition - - - - - Construction - - - - - - - 255,000 525,000 780,000 Total Funding Sources: Total Expenditures: Non-Capacity (Repair and Replacement/Improvements) Total Funding Sources: Total Expenditures: Forecasted Project Cost: The Sewer Utility's infrastructure currently consists of 15 public sewer pump stations that range in age from 5 to 50 years old. As those stations age, and utility operations change, considerations such as station condition, component condition, capacity, reliability, and safety consistently suggest that stations be upgraded, rehabilitated, and replaced. This program fund will continue to acknowledge and plan for those needs over the course of the next six years. Comp Plan ID #4. 5/2018 - Cost of project escalated approximately 3% per year from 2017 to years of construction. Progress Summary: Following the results of the systematic pump station evaluation study, the 2017-2022 funds for this program were divided into the Pump Station Electrical Improvements project (for common improvements at many stations) and the Pump Station Replacement project (for 22nd Street). As future considerations of reliability, capacity, and condition are evaluated, and specific projects are developed, these funds will be designated for those projects. Future Impact on Operating Budget: This project will not have a significant effect on operating budget. City of Auburn Capital Facilities Plan 138 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2018-2023 Enterprise Funds Project Title: Pump Station Electrical Improvements Project No:cp1812 Project Type: Project Manager:Luis Barba Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2017 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - 141,000 455,000 - 596,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 141,000 455,000 - 596,000 Capital Expenditures: Design - 50,000 65,000 - 115,000 Right of Way - - - - - Construction - 91,000 390,000 - 481,000 - 141,000 455,000 - 596,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - - - - 455,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 455,000 Capital Expenditures: Design - - - - 65,000 Right of Way - - - - - Construction - - - - 390,000 - - - - 455,000 This project will not have a significant effect on operating budget. Funding for this project was derived from the Sewer Pump Station Replacement/Improvement program (sebd05). Non-capacity The Pump Station Condition Assessment (2016) identified a number of improvements to be made to the electrical systems at the City's sewer pump stations. The additions and modifications are intended to increase employee safety as well as operational efficiency. They include adding dry well control panel disconnects, bringing intrinsically safe wiring up to code, organizing, labelling, and dressing out control panel boxes at 5 stations (8th Street, Valley Meadows, Rainier Ridge, Riverside, and Peasley Ridge), adding dry well HMI computer screens, creating uniform as-built wiring diagrams for each station, as well as several other modifications identified for specific stations. 5/2018 - Cost of project were escalated approximately 3% per year from 2017 to the year of completion. Progress Summary: Future Impact on Operating Budget: Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 139 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Large Diameter Pipe Assessment Project No:sebd07 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - 455,000 - 455,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 455,000 455,000 Capital Expenditures: Planning/Design - - 455,000 - 455,000 Right of Way/Property Acquisition - - - - - Construction - - - - - - - 455,000 - 455,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - - - - 455,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 455,000 Capital Expenditures: Planning/Design - - - - 455,000 Right of Way/Property Acquisition - - - - - Construction - - - - - - - - - 455,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: This project will not have a significant effect on operating budget. Non-Capacity (Improvement) City staff is not equipped to efficiently clean and inspect sewer pipes with a diameter larger than 18 inches. This project would clean and internally inspect all pipe owned by the City that is larger than 18 inches in diameter. This is approximately 39,300 feet, ranging in diameter from 20 inches up to 36 inches. Comp Plan ID #8. 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 140 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Inflow and Infiltration Study Project No:sebd11 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - 154,000 158,000 154,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 154,000 158,000 154,000 Capital Expenditures: Design/Analysis - - 154,000 158,000 154,000 Right of Way/Property Acquisition - - - - - Construction - - - - - - - 154,000 158,000 154,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 163,000 167,000 172,000 - 814,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 163,000 167,000 172,000 - 814,000 Capital Expenditures: Design/Analysis 163,000 167,000 172,000 - 814,000 Right of Way/Property Acquisition - - - - - Construction - - - - - 163,000 167,000 172,000 - 814,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: This project will not have a significant effect on operating budget. Non-Capacity (Improvement) This project would assess portions of the City Sewer Service Area for infiltration/inflow (I/I) values, since excessive localized I/I can also be an indicator of poor sewer main and side sewer condition and could contribute to capacity issues in the future. This project would monitor flow in the collection system over 5 years. This data will then be used to help identify repair and replacement needs and for modeling purposes and I/I assessment in future updates to the Comprehensive Sewer Plan. Comp Plan ID #9. 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 141 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Comprehensive Sewer Plan Update Project No:sebd12 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - - 410,000 - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 410,000 - Capital Expenditures: Design - - - 410,000 - Right of Way/Property Acquisition - - - - - Construction - - - - - - - - 410,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - - - - 410,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 410,000 Capital Expenditures: Design - - - 410,000 Right of Way/Property Acquisition - - - - - Construction - - - - - - - - - 410,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Non-Capacity (Repair and Replacement/Improvement) This project will not have a significant effect on operating budget. Prepare an update to the City's Sewer Comprehensive Plan to include an update to the hydraulic model and an update to the Capital Improvement Plan. Comp Plan ID #10. 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 142 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: F Street SE Non-Motorized Improvements Project No:cp1416 Project Type: Project Manager:Seth Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue 5,238 18,770 - - 24,008 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 5,238 18,770 - - 24,008 Capital Expenditures: Design 5,238 18,770 24,008 Right of Way/Property Acquisition - Construction - - 5,238 18,770 - - 24,008 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 106,000 - - - 106,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 106,000 - - - 106,000 Capital Expenditures: Design 10,600 - - - 10,600 Right of Way/Property Acquisition - - - - - Construction 95,400 - - - 95,400 106,000 - - - 106,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: This project saves money and avoids damage to the new roadway that could occur if the pipe was not replaced and experienced a failure of blockage. Non-Capacity (Repair and Replacement) Replace approximately 420 LF of 15"-18" diameter clay pipe as part of the F Street SE Non-Motorized Improvements project. Constructing this project in association with a road improvement project saves money and avoids damage to the new roadway that could occur if the pipe was not replaced and experienced a failure or blockage. 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 143 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: M Street NE Widening Project No:sebd08 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - - - - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - 6,000 56,000 - 62,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 6,000 56,000 - 62,000 Capital Expenditures: Design - 6,000 6,000 - 12,000 Right of Way - - - - - Construction - - 50,000 - 50,000 - 6,000 56,000 - 62,000 Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: No significant Impact Non-Capacity Sewer line replacements in conjunction with street improvements. 5/2018 - Cost of project escalated approximately 3% per year from 2014 Comp Plan to year of completion. Progress Summary: Design will be completed in 2018 with construction completed in 2019. Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 144 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: 22nd Street Pump Station Replacement Project No:sebd13 Project Type: Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - - - 65,000 - Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 65,000 - Capital Expenditures: Design - - - 65,000 - Right of Way - - - - - Construction - - - - - - - - 65,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue 450,000 2,900,000 - - 3,415,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 450,000 2,900,000 - - 3,415,000 Capital Expenditures: Design 450,000 230,000 - - 745,000 Right of Way - - - - - Construction - 2,670,000 - - 2,670,000 450,000 2,900,000 - - 3,415,000 This project will not have a significant effect on operating budget. Funding for this project was derived from the Sewer Pump Station Replacement/Improvement program (sebd05). Non-capacity The 22nd Street Pump Station was constructed in 1967. The dry well has shown some signs of corrosion, and the mechanical systems are reaching the end of their useful life. The initial phase of this project will examine the alternatives of rehabilitating the station, replacing major components, or replacing the entire station. The proposed funding assumes a complete replacement, and will be adjusted pending the alternatives analysis. 5/2018 - Cost of project escalated approximately 3% per year from 2017 to the years of construction. Progress Summary: Future Impact on Operating Budget: Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 145 SEWER FUND (461)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: 2019 Sewer Repair and Replacement Project No:cp1805 Project Type: Project Manager:Kevin Thompson Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Sewer Revenue - 300,000 1,500,000 - 1,800,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 300,000 1,500,000 - 1,800,000 Capital Expenditures: Design - 300,000 150,000 - 450,000 Right of Way - - - - - Construction - - 1,350,000 - 1,350,000 - 300,000 1,500,000 - 1,800,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Sewer Revenue - - - - 1,500,000 Grants (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 1,500,000 Capital Expenditures: Design - - - - 150,000 Right of Way - - - - - Construction - - - - 1,350,000 - - - - 1,500,000 Total Expenditures: Non-Capacity (Repair and Replacement) Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Repair and/or replace existing aging sewer lines at 21 different sites throughout the City. Progress Summary: The project will be designed in 2018 for construction of the repairs/replacements of a portion of the sites in 2019. Completion of the design of the remaining sites will occur in 2020, and construction of those repairs/replacements is planned for 2021 Future Impact on Operating Budget: This project should slightly decrease the operating budget by correcting the problems that require operation staff's attention. City of Auburn Capital Facilities Plan 146 City of Auburn Capital Facilities Plan 147 STORM DRAINAGE Current Facilities The City’s storm drainage service area encompasses the municipal boundaries of the City. For management purposes, the service area is divided into 60 drainage sub-basins. The City’s drainage system consists of a combination of closed conveyance pipes and open ditch conveyance facilities, with six pumping stations. Table SD-1 Facilities Inventory lists the facilities along with their current capacities and location. Level of Service (LOS) The City’s Comprehensive Drainage Plan summarizes the level of service (LOS), or design criteria, for the City’s storm drainage system. Generally, these standards represent a 25- year/24-hour design storm capacity within the 60 drainage sub-basins. Capital Facilities Projects and Financing The City’s storm drainage facilities anticipate one capacity project in the amount of $10,000 and seventeen non-capacity projects totaling $19,120,800 for a six-year planning expectation total of $19,130,800. Table SD-2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets There are no operating budget impacts forecasted for storm drainage facilities during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 148 TABLE SD-1 Facilities Inventory Storm Drainage Facilities Feet of Feet of FACILITY Acres Pipeline Open Channels LOCATION Drainage Basins: A 562 39,127 1,426 See City of Auburn's AA 409 14,853 3,000 Comprehensive Drainage AAA 296 1,610 5,187 Plan, Dec. 2015 AZ 779 65,097 21,711 B 864 109,435 0 BB 15 1,658 0 BBB 73 0 0 C 836 93,879 5,337 CC 242 2,595 0 CCC 986 67,146 19,778 D 168 20,740 177 DD 231 0 0 DDD 63 3,416 0 E 691 60,420 9,550 EE 563 3,332 0 F 83 9,173 0 FF 411 3,459 896 G 134 21,044 0 GG 188 5,887 3,153 H 567 41,042 614 HH 392 0 0 HV 66 5,331 0 I 241 28,343 4,171 II 305 0 0 J 255 4,836 1,571 JJ 1,185 35,397 1,098 K 268 14,511 2,563 KK 391 0 0 L 87 13,203 3,916 LL 198 0 2,586 LS 1,138 72,484 12,517 M 547 34,866 8,523 MM 332 1,775 184 N 128 10,537 0 NN 588 10,815 1,120 NNN 175 2,337 705 O 176 19,639 1,609 OO 1,397 40,971 17,854 P 189 7,704 1,368 PP 110 1,247 0 PPP 161 3,958 2,612 QQ 334 12,774 4,317 CAPACITY City of Auburn Capital Facilities Plan 149 TABLE SD-1 (continued) Facilities Inventory Storm Drainage Facilities Feet of Feet of FACILITY Acres Pipeline Open Channels LOCATION R 55 7,167 0 RR 249 11,783 673 S 275 15,895 1,663 SS 333 19,910 2,140 T 698 94,320 4,026 TT 137 1,891 1,254 U 365 10,673 0 UU 456 21,105 3,430 V 662 36,534 7,182 W 289 36,127 5,041 WC 101 10,011 0 WW 71 851 1,708 X 40 3,418 0 YY 326 16,652 7,318 YYY 105 84 0 Z 70 9,485 0 ZZ 935 52,042 21,589 ZZZ 237 0 0 Total 22,228 1,232,589 193,567 FACILITY (GPM)LOCATION Pump Stations: White River Pump Station 17,700 5000 block A Street SE A Street SE Pump Station 1,380 A Street SE near SR-18 and BNRR overpass Auburn Way S Pump Station #3 1,000 Auburn Way S near SR-18 and BNRR overpass Brannan Park Pump Station #4 20,200 Brannan Park Emerald Corp. Park Pump Station 6,500 C Street NE near 42nd Street West Main Street Pump Station 1,200 1420 West Main Street CAPACITY City of Auburn Capital Facilities Plan 150 TABLE SD-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING STORM DRAINAGE DIVISION 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 153 37th St. NW Storm Improvement Capital Costs 10,000 - - - - - 10,000 Funding Sources: Storm Fund 10,000 - - - - - 10,000 Bond Proceeds - - - - - - - Subtotal, Capacity Projects: Capital Costs 10,000 - - - - - 10,000 Non-Capacity Projects: 154 Pipeline Repair & Replacement Program Capital Costs 1,000,000 100,000 1,000,000 100,000 1,000,000 100,000 3,300,000 Funding Sources: Storm Fund 1,000,000 100,000 1,000,000 100,000 1,000,000 100,000 3,300,000 Bond Proceeds - - - - - - - 155 30th Street NE Area Flooding, Phase 3 Capital Costs - - - - 626,000 2,146,000 2,772,000 Funding Sources: Storm Fund - - - - 626,000 2,146,000 2,772,000 Bond Proceeds - - - - - - - 156 Street Utility Improvements Capital Costs 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Funding Sources: Storm Fund 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Bond Proceeds - - - - - - - 157 Comprehensive Storm Drainage Plan Update Capital Costs - 351,000 - - - - 351,000 Funding Sources: Storm Fund - 351,000 - - - - 351,000 Bond Proceeds - - - - - - - 158 Vegetation Sorting Facility Capital Costs - 966,000 - - - - 966,000 Funding Sources: Storm Fund - 966,000 - - - - 966,000 Bond Proceeds - - - - - - - 159 Hillside Drainage Assessment Capital Costs 158,000 176,000 - - - - 334,000 Funding Sources: Storm Fund 158,000 176,000 - - - - 334,000 Bond Proceeds - - - - - - - City of Auburn Capital Facilities Plan 151 TABLE SD-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 160 North Airport Area Improvements Capital Costs - - - 62,000 214,000 - 276,000 Funding Sources: Storm Fund - - - 62,000 214,000 - 276,000 Bond Proceeds - - - - - - - 161 D St. SE Storm Improvement Capital Costs - - 508,000 1,742,000 - - 2,250,000 Funding Sources: Storm Fund - - 508,000 1,742,000 - - 2,250,000 Bond Proceeds - - - - - - - 162 S. 330th St. & 46th Pl. S. Storm Improvement Capital Costs - 85,000 294,000 - - - 379,000 Funding Sources: Storm Fund - 85,000 294,000 - - - 379,000 Bond Proceeds - - - - - - - 163 Academy Drive, SE 312th St. SE, & D St. SE Storm Improvements Capital Costs 10,000 - - - - - 10,000 Funding Sources: Storm Fund 10,000 - - - - - 10,000 Bond Proceeds - - - - - - - 164 23rd Street SE Storm Improvement Capital Costs - 171,000 587,000 - - - 758,000 Funding Sources: Storm Fund - 171,000 587,000 - - - 758,000 Bond Proceeds - - - - - - - 165 Riverwalk Drive SE Non-Motorized Improvements Capital Costs - 62,900 62,900 454,000 - - 579,800 Funding Sources: Storm Fund - 62,900 62,900 454,000 - - 579,800 Bond Proceeds - - - - - - - 166 S. 314th St. & 54th Ave S. Storm Improvement Ph. 1 Capital Costs - - - 102,000 416,000 - 518,000 Funding Sources: Storm Fund - - - 102,000 416,000 - 518,000 Bond Proceeds - - - - - - - 167 S. 314th St. & 54th Ave S. Storm Improvement Ph. 2 Capital Costs - - - - 115,000 281,000 396,000 Funding Sources: Storm Fund - - - - 115,000 281,000 396,000 Bond Proceeds - - - - - - - 168 Auburn Way South 2nd - Main Street Storm Improvements Capital Costs 750,000 - - - - - 750,000 Funding Sources: Storm Fund 750,000 - - - - - 750,000 Bond Proceeds - - - - - - - City of Auburn Capital Facilities Plan 152 TABLE SD-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 169 West Main Street Pump Station Upgrade Capital Costs - - - 850,000 2,914,000 - 3,764,000 Funding Sources: Storm Fund - - - 450,000 2,914,000 - 3,364,000 King Co. Opportunity Fund - - - 400,000 - - 400,000 170 2019 Local Street Reconstruction Capital Costs 1,117,000 - - - - - 1,117,000 Funding Sources: Storm Fund 1,117,000 - - - - - 1,117,000 Bond Proceeds - - - - - - - Subtotal, Non-Capacity Projects: Capital Costs 3,135,000 2,011,900 2,551,900 3,410,000 5,385,000 2,627,000 19,120,800 2019 2020 2021 2022 2023 2024 Total SUMMARY: CAPITAL COSTS Capacity Projects 10,000 - - - - - 10,000 Non-Capacity Projects 3,135,000 2,011,900 2,551,900 3,410,000 5,385,000 2,627,000 19,120,800 Total Costs 3,145,000 2,011,900 2,551,900 3,410,000 5,385,000 2,627,000 19,130,800 FUNDING SOURCES: Storm Fund 3,145,000 2,011,900 2,551,900 3,010,000 5,385,000 2,627,000 18,730,800 King Co. Opportunity Fund - - - 400,000 - - 400,000 Bond Proceeds - - - - - - - Total Funding 3,145,000 2,011,900 2,551,900 3,410,000 5,385,000 2,627,000 19,130,800 City of Auburn Capital Facilities Plan 153 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:37th St. NW Storm Improvement Project No:cp1724 Project Type:Capacity Project Manager:Luis Barba Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue 916 80,100 10,000 - 91,016 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - King County Opportunity Grant - 210,000 - - 210,000 916 290,100 10,000 - 301,016 Capital Expenditures: Design 916 81,100 - - 82,016 Right of Way - - - - - Construction - 209,000 10,000 - 219,000 916 290,100 10,000 - 301,016 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 10,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - King County Opportunity Grant - - - - - - - - - 10,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 10,000 - - - - 10,000 This project will increase existing pipes to provide additional capacity to alleviate current periodic flooding conditions in vicinity of "I" St. NW. This will also provide relief to the flooding experienced on the Interurban Bike Trail. 2015 Comprehensive Storm Drainage Plan Project No. 2 Progress Summary: Temporary work to evaluate the capacity for addressing the re-occurring flooding has been completed and will be observed for the next year. A project scope will be developed from this information. Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 154 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Pipeline Repair & Replacement Program Project No:sdbd03 Project Type:Non-Capacity Project Manager:TBD Description: Activity: (Previous 2 Years)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue 285,466 100,000 1,000,000 100,000 1,385,466 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 285,466 100,000 1,000,000 100,000 1,385,466 Capital Expenditures: Design - 100,000 - 100,000 100,000 Right of Way - - - - - Construction 285,466 - 1,000,000 - 1,285,466 285,466 100,000 1,000,000 100,000 1,385,466 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 1,000,000 100,000 1,000,000 100,000 3,300,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 1,000,000 100,000 1,000,000 100,000 3,300,000 Capital Expenditures: Design - 100,000 - 100,000 300,000 Right of Way - - - - - Construction 1,000,000 - 1,000,000 - 3,000,000 1,000,000 100,000 1,000,000 100,000 3,300,000 Grants / Other Sources: Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: This program provides funding for projects involving replacement of existing infrastructure. These projects support street repairs and other utility replacement programs, requiring coordination. Typically, design for repair and replacement projects is completed in one year, followed by construction the following year. 2015 Comprehensive Storm Drainage Plan Project No. 1 Progress Summary: Previous 2 years expenses were allocated to the following projects: In 2016, $100K was allocated to cp1522 -30th St NE Area Flooding Phase 1B project. In 2017, $100,466 was allocated to Eastridge Manor Drainage Improvements project (cp1316) and $85,000 was allocated to 30th St NE Area Flooding Phase 1B (cp1522). Future Impact on Operating Budget: Repair and replacement of aging infrastructure should reduce operating costs. City of Auburn Capital Facilities Plan 155 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: 30th Street NE Area Flooding, Phase 3 Project No:cpxxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - 626,000 2,146,000 2,772,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 626,000 2,146,000 2,772,000 Capital Expenditures: Design - - 626,000 - 626,000 Right of Way - - - - - Construction - - - 2,146,000 2,146,000 - - 626,000 2,146,000 2,772,000 This project would reduce flooding in C St. NE by redirecting wet weather high flows southward to the 42-inch diameter (Phase 1) storm drain in 30th St. NE. By redirecting the C St. NE drainage into the Brannan Park system, these flows would no longer be affected by high water levels in Mill Creek. To avoid deepening the Phase 1 gravity line (and extensive retrofits to the Brannan Park pump station), this project would include a wet weather pump station and force main connection to 30th St. NE. The upgraded 42-inch diameter pipe in 30th St. NE would have sufficient capacity for these additional flows. Key components of Phase 3 include: Wet weather pump station (estimated capacity of 4.5 to 7 cfs), 1,730 feet of 15-inch diameter force main; Diversion structure in C St. NE for pump station. 2015 Comprehensive Storm Drainage Plan Project No. 4B. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Future Impact on Operating Budget: No significant impact. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 156 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Street Utility Improvements Project No:sdbd04 Project Type:Non Capacity Project Manager:TBD Description: Activity: Previous 2 years 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue 113,251 100,000 100,000 100,000 313,251 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 113,251 100,000 100,000 100,000 313,251 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 113,251 100,000 100,000 100,000 313,251 113,251 100,000 100,000 100,000 313,251 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 100,000 100,000 100,000 100,000 600,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 100,000 100,000 100,000 100,000 600,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 100,000 100,000 100,000 100,000 600,000 100,000 100,000 100,000 100,000 600,000 Storm drainage conveyance improvements in coordination with Arterial Preservation and Local Street Preservation improvements. 2015 Comprehensive Storm Drainage Plan Project No. 12 Progress Summary: Prior years expenses of $13,251 were allocated to cp1507 -AWN Preservation project in 2016 and $100,000 was allocated to cp1614 -2017 Local Street Reconstruction & Preservation . Future Impact on Operating Budget: No significant Impact. Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 157 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Comprehensive Storm Drainage Plan Update Project No:sdbd16 Project Type:Non-Capacity Project Manager:Tim Carlaw Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - 351,000 - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 351,000 - Capital Expenditures: Design - - - 351,000 - Right of Way - - - - - Construction - - - - - - - - 351,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 351,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 351,000 Capital Expenditures: Design - - - - 351,000 Right of Way - - - - - Construction - - - - - - - - - 351,000 None Update the Comprehensive Storm Drainage Plan to be consistent with the City's overall Comprehensive Plan update as required by the State of Washington. 2015 Comprehensive Storm Drainage Plan Project No. 9. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 158 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:Vegetation Sorting Facility Project No:sdbd12 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - 966,000 - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 966,000 - Capital Expenditures: Design - - - 128,000 - Right of Way - - - 750,000 - Construction/Equipment - - - 88,000 - - - - 966,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 966,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 966,000 Capital Expenditures: Design - - - - 128,000 Right of Way - - - - 750,000 Construction/Equipment - - - - 88,000 - - - - 966,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Evaluation to determine benefits and costs of acquiring property to use as a vegetation sorting facility prior to disposal or reuse of materials from storm drainage maintenance activities (e.g., pond and ditch cleaning). In addition, evaluate potential for use by other City departments and by neighboring jurisdictions as a regional facility. If evaluation shows a reasonable benefit/cost ratio, budget includes property acquisition and site improvements to construct the vegetation sorting facility. Cost includes bin barriers and sorting equipment to facilitate materials handling and separation. 2015 Comprehensive Storm Drainage Plan Project No. 10. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: Overall operating costs should decrease as a result of improved efficiency from the sorting facility. City of Auburn Capital Facilities Plan 159 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:Hillside Drainage Assessment Project No:sdbd07 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - 158,000 176,000 158,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 158,000 176,000 158,000 Capital Expenditures: Design - - - - Right of Way - - - - - Construction - - 158,000 176,000 158,000 - - 158,000 176,000 158,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 334,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 334,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 334,000 - - - - 334,000 The existing drainage system includes pipes that discharge over hillsides. While inventory, mapping and initial inspections are currently being completed by City staff, additional detailed inspections may be required by consultants to provide geotechnical and/or slope stability analysis or specialized pipe inspections to fully define deficiencies. 2015 Comprehensive Storm Drainage Plan Project No. 3. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 160 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2018-2023 Enterprise Funds Project Title:North Airport Area Improvements Project No:sdbd10 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2017 YE 2018 Year End Funding Sources:Prior to 2017 Estimate 2018 Budget 2019 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2020 2021 2022 2023 2018-2023 Funding Sources: Unrestricted Storm Revenue - 62,000 214,000 - 276,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 62,000 214,000 - 276,000 Capital Expenditures: Design - 62,000 - - 62,000 Right of Way - - - - - Construction - 214,000 - 214,000 - 62,000 214,000 - 276,000 This project would provide storage depth in Pond 1 and replace the existing inlet pipe at a lower invert to the pond, and install a backflow preventer at the outlet. The project also includes the installation of a second backflow preventer at the overflow to 30th St. NE to protect the hanger area. 2015 Comprehensive Storm Drainage Plan Project No. 6. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 161 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:D St. SE Storm Improvement Project No:cpxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 508,000 1,742,000 - - 2,250,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 508,000 1,742,000 - - 2,250,000 Capital Expenditures: Design 508,000 - - - 508,000 Right of Way - - - - - Construction - 1,742,000 - - 1,742,000 508,000 1,742,000 - - 2,250,000 This project would replace the existing line along D St. SE from 21st St. SE to 27th St. SE. The project will eliminate an existing injection well near 25th & D St. SE. 2015 Comprehensive Storm Drainage Plan Project No. 7. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 162 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:S. 330th St. & 46th Pl. S. Storm Improvement Project No:sdbd13 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - 85,000 - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 85,000 - Capital Expenditures: Design - - - 85,000 - Right of Way - - - - - Construction - - - - - - - - 85,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 294,000 - - - 379,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 294,000 - - - 379,000 Capital Expenditures: Design - - - - 85,000 Right of Way - - - - - Construction 294,000 - - - 294,000 294,000 - - - 379,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Improve existing drainage conditions for the West Hill annexation areas. This project includes improvements near 330th St. and 46th Pl. S. where public storm drainage currently discharges within a large open ditch. The improvement will re-route the drainage within the right-of-way to the existing outfall. 2015 Comprehensive Storm Drainage Plan Project No. 5A. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 163 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Academy Drive, SE 312th St. SE, & D St. SE Storm Improvements Project No:cp1312 Project Type:Non-Capacity Project Manager:Seth Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue 80,592 640,000 10,000 - 730,592 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 80,592 640,000 10,000 - 730,592 Capital Expenditures: Design 78,170 - - - 78,170 Right of Way - - - - - Construction 2,422 640,000 10,000 - 652,422 80,592 640,000 10,000 - 730,592 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - 10,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 10,000 Capital Expenditures: Design - - - - Right of Way - - - - - Construction - - - - 10,000 - - - - 10,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Project replaces existing storm system infrastructure. Funding is from the 2015-2016 Pipeline Repair and Replacement Program. Project includes pipeline replacement in Academy Drive, a new pipeline within 312th St. SE to provide a "missing link", and the extension of a pipeline to the Velvet Square storm pond to allow the pond to be abandoned. Progress Summary: Project in construction with completion early in 2019. Future Impact on Operating Budget: No significant impact. City of Auburn Capital Facilities Plan 164 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:23rd Street SE Storm Improvement Project No:sdbd17 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - 171,000 - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 171,000 - Capital Expenditures: Design - - - 171,000 - Right of Way - - - - - Construction - - - - - - - - 171,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 587,000 - - - 758,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 587,000 - - - 758,000 Capital Expenditures: Design - - - - 171,000 Right of Way - - - - - Construction 587,000 - - - 587,000 587,000 - - - 758,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project will improve existing drainage conditions in vicinity of 23rd St. SE & K St. SE. The project includes installation of a new 15-inch line along K St. SE from 23rd St. SE to 21st St. SE to alleviate flooding associated with the pedestrian entrance to Terminal Park Elementary School. Installation of new 12-18-inch line along 23rd St. SE from F St. SE to K St. SE. 2015 Comprehensive Storm Drainage Plan Project No. 8 (Phase 1+2). 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 165 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:Riverwalk Drive SE Non-Motorized Improvements Project No:sdbd14 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - 62,900 - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - 62,900 - Capital Expenditures: Design - - - 62,900 - Right of Way - - - - - Construction - - - - - - - - 62,900 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue 62,900 454,000 - - 579,800 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - 62,900 454,000 - - 579,800 Capital Expenditures: Design 62,900 - - - 125,800 Right of Way - - - - - Construction - 454,000 - - 454,000 62,900 454,000 - - 579,800 As part of a non-motorized improvement project along Riverwalk Drive SE between Howard Road and Auburn Way South, construct large diameter storm piping to replace existing ditch, and expand Riverwalk ponds to accommodate increased capacity. Progress Summary: None Future Impact on Operating Budget: Maintenance costs should decrease as a result of the project. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 166 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:S. 314th St. & 54th Ave S. Storm Improvement Ph. 1 Project No:cpxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - 102,000 416,000 - 518,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 102,000 416,000 - 518,000 Capital Expenditures: Design - 102,000 - - 102,000 Right of Way - - - - - Construction - - 416,000 - 416,000 - 102,000 416,000 - 518,000 Improve existing drainage conditions for the West Hill annexation areas. The project includes improvements near S 314th St. and 54th Ave S to redirect flows and implement LID techniques. 2015 Comprehensive Storm Drainage Plan Project No. 5B Phase 1. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 167 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:S. 314th St. & 54th Ave S. Storm Improvement Ph. 2 Project No:cpxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - 115,000 281,000 396,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - 115,000 281,000 396,000 Capital Expenditures: Design - - 89,000 - 89,000 Right of Way - - 26,000 - 26,000 Construction - - - 281,000 281,000 - - 115,000 281,000 396,000 Improve existing drainage conditions for the West Hill annexation areas. The project includes improvements near S 314th St. and 54th Ave S to route the remaining public storm drainage through a new easement and pipe to the downstream system. 2015 Comprehensive Storm Drainage Plan Project No. 5B Phase 2. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 168 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:Auburn Way South 2nd - Main Street Storm Improvements Project No:sdbd15 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - 125,000 750,000 - 875,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 125,000 750,000 - 875,000 Capital Expenditures: Design - 125,000 - - 125,000 Right of Way - - - - - Construction - - 750,000 - 750,000 - 125,000 750,000 - 875,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 750,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 750,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 750,000 - - - - 750,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Improve existing drainage conditions for the SR-18 & BNRR undercrossing. The project includes replacing approximately 30 feet of adverse slope 30 inch pipe with new 36 inch pipe, and extend the existing 12 inch force main from the AWS storm pump station approximately 420 feet to the north. The project also includes a device to ensure the pump station does not recycle flow during periods of heavy rainfall. Progress Summary: None Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 169 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:West Main Street Pump Station Upgrade Project No:cpxxx Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - 450,000 2,914,000 - 3,364,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - King County Opportunity Fund - 400,000 - - 400,000 - 850,000 2,914,000 - 3,764,000 Capital Expenditures: Design - 850,000 - - 850,000 Right of Way - - - - - Construction - - 2,914,000 - 2,914,000 - 850,000 2,914,000 - 3,764,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project will upgrade the existing pump station by providing a redundant pump to meet level of service goals, including new force main and outlet. 5/2018 - Cost of project escalated an average of 3% per year from 2015 Comp Plan to year of construction. Progress Summary: None Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 170 STORM DRAINAGE FUND (462)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title:2019 Local Street Reconstruction Project No:CP1726 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Storm Revenue - 35,000 1,117,000 - 1,152,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - 35,000 1,117,000 - 1,152,000 Capital Expenditures: Design - 35,000 17,000 - 52,000 Right of Way - - - - Construction - 1,100,000 - 1,100,000 - 35,000 1,117,000 - 1,152,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Storm Revenue - - - - 1,117,000 Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other - - - - - - - - - 1,117,000 Capital Expenditures: Design - - - - 17,000 Right of Way - - - - - Construction - - - - 1,100,000 - - - - 1,117,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Storm drainage conveyance improvements for 28th St. SE and M St. SE needed to support the local street project. The new drainage improvements will allow for the elimination of a drywell system that does not meet storm requirements. Progress Summary: None Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 171 PARKS, ARTS AND RECREATION Current Facilities The City of Auburn’s park system consists of a total of 951.50 acres of neighborhood and community parks, special use areas, open space and linear parks (trails). Table PR – 1 “Facilities Inventory” lists all park and recreation land in the City’s park system along with their current capacity and location. Level of Service (LOS) The current LOS provided by the City’s park system represents the existing inventory of City- owned park acres divided by the 2019 projected City population of 81,905. This equates to 0.71 acres per 1,000 population for neighborhood parks, 2.87 acres per 1,000 population for community parks, 0.20 acres for linear parks, 4.72 acres for open space, and 3.11 acres for special use areas. The proposed LOS provided by the City’s park system represents the planned 2024 inventory of City-owned park acres divided by the 2024 projected City population of 88,670. This equates to 0.77 acres per 1,000 population for neighborhood parks, 3.15 acres per 1,000 population for community parks, 0.23 acres per 1,000 population for linear parks, 4.54 acres per 1,000 population for open space, and 2.87 acres per 1,000 population for special use areas. Capital Facilities Projects and Financing Parks and Recreation facilities include eighteen capital projects at a cost of $14,668,500. Table PR – 2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets As Table PR – 3 shows, operating budget impacts of $128,000 are forecasted for parks and recreation facilities during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 172 TABLE PR-1 Facilities Inventory Parks, Arts and Recreation, Land CAPACITY FACILITY (Acres)LOCATION Neighborhood Parks: Existing Inventory: 21st Street Playground 0.17 405 21st St. SE Auburndale Park 9.74 31802 108th Ave. SE Ballard Park 0.68 1612 37th Way SE Cameron Park 3.85 3727 Lemon Tree Lane Cedar Lane Park 8.36 1002 25th St. SE Dorthy Bothell Park 4.35 1087 Evergreen Way SE Dykstra Park 1.67 1487 22nd St. NE Forest Villa mini-park 0.21 1647 Fir St. SE Gaines Park 1.33 1008 Pike St. NW Indian Tom Park 0.42 1316 6th St. NE Jornada Park 1.89 1433 U Ct. NW Kersey 3 Park A 2.73 5480 Charlotte Ave. SE Kersey 3 Park B 0.79 5530 Udall Ave. SE Lakeland Hills Park 5.06 1401 Evergreen Way SE Lea Hill Courts 1.18 32121 105th Pl. SE Riverpoint Park 2.95 1450 32nd St. NE Riversands Park 1.76 5014 Pike St NE Rotary Park 3.89 2635 Alpine St. NE Scootie Brown Park 1.68 1403 Henry Rd. NE Shaughnessy Park 3.46 3302 21st St. SE Terminal Park 1.22 1292 C St. SE Village Square 1.10 12111 SE 310th St. Total Neighborhood Parks 58.49 Proposed Capacity Projects: Auburndale II Park 9.35 29700 118th Street SE Total Proposed Capacity Projects 9.35 2024 Projected Inventory Total - Neighborhood Parks -67.84 Community Parks: Existing Inventory: Brannan Park 21.68 1019 28th St. NE Fulmer Field 5.04 1101 5th St. NE Game Farm Park 57.20 3030 R St. SE Game Farm Wilderness Park 48.50 2407 Stuck River Dr. SE GSA Park 5.31 413 15th St. SW Isaac Evans Park 19.87 29627 Green River Road NE Lea Hill Park 5.26 31693 124th Ave. SE Les Gove Park 26.07 910 9th St. SE Mill Pond 4.20 4582 Mill Pond Dr, SE Roegner Park 19.22 601 Oravetz Road Sunset Park 15.15 1420 69th St SE Veteran's Memorial Park 7.67 405 E St. NE Total Community Parks 235.17 Proposed Capacity Projects: 104th Avenue SE 14.73 31495 104th Ave. SE Jacobson Tree Farm 29.30 29387 132nd Ave SE Total Proposed Capacity Projects 44.03 2024 Projected Inventory Total - Community Parks -279.20 City of Auburn Capital Facilities Plan 173 TABLE PR-1 (continued) Linear Parks: Existing Inventory: Interurban Trail 9.14 804 West Main St. Lake Tapps Parkway Trail 2.36 1420 69th St SE Lakeland Hills Trail 1.66 1087 Evergreen Way SE Reddington Levee Trail 2.50 1019 28th St NE White River Trail 0.93 601 Oravetz St. NE Total Linear Parks 16.59 Proposed Capacity Projects: Green River Trail 0.83 277th to Reddington Levee Trail Jacobsen Tree Farm to Green River Trail 2.75 White River Trail Extension 0.05 Total Proposed Capacity Projects 3.63 2024 Projected Inventory Total - Linear Parks -20.22 Special Use Areas: Existing Inventory: Auburn Environmental Park 16.84 413 Western Ave NW B Street Plaza 0.10 148 East Main St. Bicentennial Park 1.07 502 Auburn Way S. Centennial Viewpoint Park 0.70 402 Mountain View Dr. City Hall Plaza 1.10 25 West Main St. Clark Plaza 0.25 1420 Auburn Way N. Community Garden A 1.04 1030 8th St. NE Fenster/Green River Access 12.58 10502 Auburn Black Diamond Road Golf Course 139.71 29630 Green River Road SE Mountain View Cemetery 60.00 2020 Mountain View Dr. Olson Canyon Farmstead 20.00 28728 Green River Road Pioneer Cemetery 0.76 802 Auburn Way N, Plaza Park 0.19 2 West Main St. Slaughter Memorial 0.02 2988 Auburn Way N. Total Special Use Areas 254.36 Proposed Capacity Projects: None - Total Proposed Capacity Projects - 2024 Projected Inventory Total - Special Use Areas -254.36 Open Space Areas: Existing Inventory: Auburn Environmental Park Open Space 190.91 413 Western Ave. NW Clark Property 26.68 TBD Game Farm Open Space 26.00 3030 R St. SE Golf Course Open Space 40.98 29630 Green River Road SE Lakeland Hills Nature Area 46.07 500 182nd Ave. S Olson Canyon Open Space 47.00 28728 Green River Road West Auburn Lake 9.25 32054 58th Ave. S Total Open Space Areas 386.89 Proposed Capacity Projects: Mary Olson Farm -Watts Property 16.00 Total Proposed Capacity Projects 16.00 2024 Projected Inventory Total - Open Space Areas -402.89 City of Auburn Capital Facilities Plan 174 TABLE PR-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING PARKS, ARTS and RECREATION (Municipal Parks Construction Fund) 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 177 Park Acquisitions/Development Capital Costs 30,000 30,000 50,000 125,000 125,000 125,000 485,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- - - - - - - Bond Proceeds - - - - - - - KC Prop 2 30,000 30,000 50,000 125,000 125,000 125,000 485,000 178 Jacobsen Tree Farm Site Plan Capital Costs - - 5,333,500 - 5,000,000 - 10,333,500 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- - 1,000,000 - 1,000,000 - 2,000,000 KC Prop 2 - - 333,500 - - - 333,500 Other (TBD)- - 2,000,000 - 2,000,000 - 4,000,000 Park Impact Fees - - 2,000,000 - 2,000,000 - 4,000,000 179 Brannan Park Synthetic Infield Capital Costs 60,000 - - - - - 60,000 Funding Sources: KC Prop 2 - - - - - - - Grants (Fed,State,Local)- - - - - - - Other - - - - - - - Park Impact Fees 60,000 - - - - - 60,000 180 Mary Olson Farm - Watts Property Acquisition Capital Costs 250,000 - - - - - 250,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)125,000 - - - - - 125,000 Park Impact Fees 125,000 - - - - - 125,000 181 Game Farm Park Improvements Capital Costs 1,200,000 - - - - - 1,200,000 Funding Sources: Park Mitigation Fees 300,000 - - - - - 300,000 Grants (Fed,State,Local)300,000 - - - - - 300,000 Park Impact Fees 600,000 - - - - - 600,000 182 Les Gove Park Improvements Capital Costs 25,000 - - - - - 25,000 Funding Sources: Fund Balance 25,000 - - - - - 25,000 Grants (Fed,State,Local)- - - - - - - Park Impact Fees - - - - - - - 183 Auburndale Park Capital Costs - 100,000 - - - - 100,000 Funding Sources: Fund Balance - - - - - - - KC Prop 2 - - - - - - - Park Impact Fees - 100,000 - - - - 100,000 City of Auburn Capital Facilities Plan 175 TABLE PR-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 184 Auburndale Park II Capital Costs - - 575,000 - - - 575,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- - - - - - - Other - - 575,000 - - - 575,000 185 Sunset Park Improvements Capital Costs 200,000 - - - - - 200,000 Funding Sources: Fund Balance - - - - - - - Park Impact Fees 200,000 - - - - - 200,000 Other (Contributions)- - - - - - - 186 BPA Trail on Lea Hill Capital Costs - 150,000 - - - - 150,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- 150,000 - - - - 150,000 KC Prop 2 - - - - - - - 187 Lakeland Hills Nature Area Capital Costs - - 25,000 - 75,000 100,000 200,000 Funding Sources: Fund Balance - - - - - - - Park Mitigation Fees - - - - - - - Park Impact Fees - - 25,000 - 75,000 100,000 200,000 188 West Hill Lake Property Development Capital Costs 20,000 - - - - - 20,000 Funding Sources: Fund Balance - - - - - - - Park Impact Fees 20,000 - - - - - 20,000 189 Miscellaneous Parks Improvements Capital Costs 100,000 100,000 100,000 100,000 100,000 100,000 600,000 Funding Sources: Fund Balance 50,000 50,000 50,000 50,000 50,000 50,000 300,000 Grants (Fed,State,Local)- - - - - - - REET 2 - - - - - - - Park Impact Fees 50,000 50,000 50,000 50,000 50,000 50,000 300,000 Subtotal, Capacity Projects: Capital Costs 1,885,000 380,000 6,083,500 225,000 5,300,000 325,000 14,198,500 Page Non-Capacity Projects: 190 Cameron Park Capital Costs 55,000 - - - - - 55,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)55,000 - - - - - 55,000 Other - - - - - - - 191 Gaines Park Capital Costs 35,000 - - - - - 35,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- - - - - - - KC Prop 2 35,000 - - - - - 35,000 City of Auburn Capital Facilities Plan 176 TABLE PR-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 192 Fulmer Park Playground Replacement Capital Costs - - 150,000 - - - 150,000 Funding Sources: Fund Balance - - - - - - - Grants (Private)- - 50,000 - - - 50,000 KC Prop 2 - - 100,000 - - - 100,000 193 Lea Hill Mini Soccer Field Turf Replacement Capital Costs - 50,000 - - - - 50,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- 50,000 - - - - 50,000 Other - - - - - - - 194 Fairway Drainage Improvement Capital Costs 30,000 30,000 30,000 30,000 30,000 30,000 180,000 Funding Sources: Fund Balance - - - - - - - Grants (Fed,State,Local)- - - - - - - REET 2 30,000 30,000 30,000 30,000 30,000 30,000 180,000 Subtotal, Non-Capacity Projects: Capital Costs 120,000 80,000 180,000 30,000 30,000 30,000 470,000 2019 2020 2021 2022 2023 2024 Total SUMMARY: CAPITAL COSTS Capacity Projects 1,885,000 380,000 6,083,500 225,000 5,300,000 325,000 14,198,500 Non-Capacity Projects 120,000 80,000 180,000 30,000 30,000 30,000 470,000 Total Costs 2,005,000 460,000 6,263,500 255,000 5,330,000 355,000 14,668,500 FUNDING SOURCES: Fund Balance 75,000 50,000 50,000 50,000 50,000 50,000 325,000 Grants (Fed,State,Local)480,000 200,000 1,000,000 - 1,000,000 - 2,680,000 Grants -Private - - 50,000 - - - 50,000 KC Prop 2 65,000 30,000 483,500 125,000 125,000 125,000 953,500 Parks Impact 1,055,000 150,000 2,075,000 50,000 2,125,000 150,000 5,605,000 Parks Mitigation 300,000 - - - - - 300,000 REET 2 30,000 30,000 30,000 30,000 30,000 30,000 180,000 Other - - 2,575,000 - 2,000,000 - 4,575,000 Total Funding 2,005,000 460,000 6,263,500 255,000 5,330,000 355,000 14,668,500 City of Auburn Capital Facilities Plan 177 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Park Acquisitions/Development Project No:gpbd04 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - General Fund Transfer In - - - - - KC Prop 2 - 21,400 30,000 30,000 51,400 - 21,400 30,000 30,000 51,400 Capital Expenditures: Design - - - - - Acquisition - 21,400 30,000 30,000 51,400 Construction - - - - - - 21,400 30,000 30,000 51,400 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - General Fund Transfer In - - - - - KC Prop 2 50,000 125,000 125,000 125,000 485,000 50,000 125,000 125,000 125,000 485,000 Capital Expenditures: Design - - - - - Acquisition 50,000 125,000 125,000 125,000 485,000 Construction - - - - - 50,000 125,000 125,000 125,000 485,000 None Land acquisitions to occur based on demand and deficiencies including parks, open space, trails and corridors. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 178 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Jacobsen Tree Farm Site Plan Project No:cp0609 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance 25,321 - - - 25,321 Grants- Unsecured State - - - - - King County Prop 2 - - - - - Park Impact Fees - - - - - Other (TBD)- - - - - 25,321 - - - 25,321 Capital Expenditures: Design 25,321 - - - 25,321 Right of Way - - - - - Construction - - - - - 25,321 - - - 25,321 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured State 1,000,000 - 1,000,000 - 2,000,000 King County Prop 2 333,500 - - - 333,500 Park Impact Fees 2,000,000 2,000,000 4,000,000 Other (TBD)2,000,000 - 2,000,000 - 4,000,000 5,333,500 - 5,000,000 - 10,333,500 Capital Expenditures: Design 500,000 - 500,000 - 1,000,000 Right of Way - - - - - Construction 4,833,500 - 4,500,000 - 9,333,500 5,333,500 - 5,000,000 - 10,333,500 Develop the 29.3 acre site into a Community Park. A Master Plan for the park was completed in 2009 and will serve as a roadmap for development of the site. The newly annexed Lea Hill area of the City is deficient in park acreage. Progress Summary: Future Impact on Operating Budget: No significant impact due to master plan. Future park development will result in maintenance and utility expenses undeterminable at this time. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 179 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Brannan Park Synthetic Infield Project No:cp1817 Project Type:Capacity Project Manager:Jamie Kelly Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - 48,100 - - 48,100 Interlocal Grant (KCYSFG)- 75,000 - - 75,000 Grants- Unsecured (State RCO)- 218,100 - - 218,100 Other- Donations - 20,000 - - 20,000 Park Impact fees - 75,000 60,000 - 135,000 - 436,200 60,000 - 496,200 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 436,200 60,000 - 496,200 - 436,200 60,000 - 496,200 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Interlocal Grant (KCYSFG)- - - - - Grants- Unsecured (State RCO)- - - - - Other- Donations - - - - - Park Impact fees - - - - 60,000 - - - - 60,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 60,000 - - - - 60,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Upgrade the existing dirt infield to synthetic turf to increase playability during inclement weather. The Parks Department submitted an application for a Youth Sports Facilities Grant (YAF) from the State Recreation and Conservation Office (RCO) in May 2016 for the synthetic infield. In addition, a King County Youth Athletic Facilities Grant application was submitted to cover City matching funds for the YAF grant. Additional improvements to the park include replacing the degraded concrete curbing around the perimeter of the parking lot. Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 180 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Mary Olson Farm - Watts Property Acquisition Project No:gpbd13 Project Type:Capacity Project Manager:Daryl Faber/Jamie Kelly Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - - Grants- Secured (KCCF)- 125,000 - 125,000 Bond Proceeds - - - - Park Impact Fees - 125,000 - 125,000 Other (KC Prop 2)- - - - - - 250,000 - 250,000 Capital Expenditures: Design - - - - - Acquisition - 250,000 - 250,000 Construction - - - - - - 250,000 - 250,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - 125,000 Bond Proceeds - - - - - Park Impact Fees - - - - 125,000 Other (KC Prop 2)- - - - - - - - - 250,000 Capital Expenditures: Design - - - - - Acquisition - - - - 250,000 Construction - - - - - - - - - 250,000 Acquire approximately 16 acres in the southern portion of tax parcel number 3222059118, which is located east of the Mary Olson Farm property. The purpose of the acquisition is to create interpretive and educational opportunities in a plateau area that has historical significance within the steep forested ravine. The area was once a gathering place for Native Americans preparing to embark on fishing expeditions. The City was recently awarded a King County Conservation Futures grant to acquire the property. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 181 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Game Farm Park Improvements Project No:gpbd08, cp1720 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - Grants- Unsecured State - - 200,000 - Grants- Unsecured Local - - 100,000 - 100,000 REET - 20,000 - - 20,000 Other (Park Mitigation Fee)- - 300,000 - 300,000 Other (Park Impact Fee)- 20,000 600,000 - 620,000 - 40,000 1,200,000 - 1,040,000 Capital Expenditures: Design - - 40,000 - 40,000 Right of Way - - - - - Construction - 40,000 1,160,000 - 1,200,000 - 40,000 1,200,000 - 1,240,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured State - - - - 200,000 Grants- Unsecured Local - - - - 100,000 REET - - - - - Other (Park Mitigation Fee)- - - - 300,000 Other (Park Impact Fee)- - - - 600,000 - - - - 1,200,000 Capital Expenditures: Design - - - - 40,000 Right of Way - - - - - Construction - - - - 1,160,000 - - - - 1,200,000 None Improve interior lighting and pathways and provide access from the newly acquired property on southwest corner of the park. Replace synthetic turf on two full sized soccer fields. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 182 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Les Gove Park Improvements Project No:cp1605 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - 323,900 25,000 - 348,900 Grants- Secured (KCCF)370,560 - - - 370,560 Other Fund 328 - - - - - Other-Park Impact Fee - - - - - KC Prop 2 - 330,000 - - 330,000 370,560 653,900 25,000 - 1,049,460 Capital Expenditures: Design 13,586 - - - 13,586 Right of Way - - - - - Construction 356,974 653,900 25,000 - 1,035,874 370,560 653,900 25,000 - 1,049,460 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - 25,000 Grants- Secured (KCCF)- - - - - Other Fund 328 - - - - - Other-Park Impact Fee - - - - - KC Prop 2 - - - - - - - - - 25,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 25,000 - - - - 25,000 $5,000 Utilities Based on the completed Les Gove Master Plan, design and implement recommendations that will increase user safety, encourage public use and community connectivity. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 183 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Auburndale Park Project No:gpbd01 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other (Park Impact Fee)- - - 100,000 - Other (KC Prop 2)- - - - - - - - Capital Expenditures: Design - - - 5,000 - Right of Way - - - - - Construction - - - 95,000 - - - - 100,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Other (Park Impact Fee)- - - - 100,000 Other (KC Prop 2)- - - - - - - - - 100,000 Capital Expenditures: Design - - - - 5,000 Right of Way - - - - - Construction - - - - 95,000 - - - - 100,000 Progress Summary: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Utilities would increase by $5,000 Develop a Master Plan for the Park, install an irrigation system, new play structure and improve signage. Create an entrance to the park from the east via 110th Ave SE to allow access from the adjacent neighborhoods. Construct new section of trail in the western portion of the park. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 184 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Auburndale Park II Project No:gpbd05 Project Type:Capacity Project Manager:Daryl Faber Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET - - - - - Other TBD - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET - - - - - Other TBD 575,000 - - - 575,000 575,000 - - - 575,000 Capital Expenditures: Design 75,000 - - - 75,000 Right of Way - - - - - Construction 500,000 - - - 500,000 575,000 - - - 575,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: Develop a Master Plan, improve the existing trail system and install signage and play structure. Progress Summary: Future Impact on Operating Budget: Increased utility costs of $2,000 City of Auburn Capital Facilities Plan 185 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Sunset Park Improvements Project No:gpbd06 Project Type:Capacity Project Manager:Daryl Faber Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Park Impact Fees - - 200,000 - 200,000 Other -Contributions & Donations - - - - - - 200,000 - 200,000 Capital Expenditures: Design - - 15,000 - 15,000 Right of Way - - - - - Construction - - 185,000 - 185,000 - - 200,000 - 200,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Park Impact Fees - - - - 200,000 Other -Contributions & Donations - - - - - - - - - 200,000 Capital Expenditures: Design - - - - 15,000 Right of Way - - - - - Construction - - - - 185,000 - - - - 200,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: Expand playground area to include spray park and additional play activities. Coordinate improvements with service club and Lakeland Hills Homeowners Association. Progress Summary: Future Impact on Operating Budget: Increase in Utilities of $10,000 per year City of Auburn Capital Facilities Plan 186 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: BPA Trail on Lea Hill Project No:gpbd23 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured (State RCO)- - - 150,000 150,000 Bond Proceeds - - - - - REET - - - - - Other (KC Prop. 2)*- - - - - - - - 150,000 150,000 Capital Expenditures: Predesign - - - 25,000 - Design - - - 125,000 - Construction - - - - - - - - 150,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured (State RCO)- - - - 150,000 Bond Proceeds - - - - - REET - - - - - Other (KC Prop. 2)*- - - - - - - - - 150,000 Capital Expenditures: Predesign - - - - 25,000 Design - - - - 125,000 Construction - - - - - - - - - 150,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: None Develop a feasibility study related to constructability of a pedestrian trail linking the Jacobsen Tree Farm site to the west end of Lea Hill. This trail would follow the alignment of the Bonneville Power Administration (BPA) transmission lines from 132nd to 108th Avenue SE. Construction would be in phases based on constructability. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 187 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Lakeland Hills Nature Area Project No:gpbd11 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Park Impact Fees - - - - Park Mitigation Fees - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - Park Impact Fees 25,000 - 75,000 100,000 200,000 Park Mitigation Fees - - - - - 25,000 - 75,000 100,000 200,000 Capital Expenditures: Design 25,000 - - - 25,000 Right of Way - - - - - Construction - - 75,000 100,000 175,000 25,000 - 75,000 100,000 200,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Increased maintenance costs of $5,000 Complete Master Plan to include the development and construction of an environmental community park. Trails, fencing, parking and visitor amenities are included in the project. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 188 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: West Hill Lake Property Development Project No:cp1801 Project Type:Capacity Project Manager:Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET - - - - - Other-Park Impact Fees - 80,000 20,000 - 100,000 - 80,000 20,000 - 100,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 80,000 20,000 - 100,000 - 80,000 20,000 - 100,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET - - - - - Other-Park Impact Fees - - - - 20,000 - - - - 20,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 20,000 - - - - 20,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Install and construct park improvements identified in the 2013 Master Plan for the park. Park improvements include trail development, installation of picnic tables and benches, parking improvements, and invasive species removal. Progress Summary: Future Impact on Operating Budget: Increased maintenance costs of $5,000 City of Auburn Capital Facilities Plan 189 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Miscellaneous Parks Improvements Project No:gpbd03 Project Type:Capacity/Non-Capacity Project Manager:Daryl Faber Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance 51,085 50,000 50,000 50,000 151,085 Grants- Unsecured State - - - - - Local Grant 75,000 - - - 75,000 REET 2 - - - - - Other (Park Impact Fee)70,661 50,000 50,000 50,000 170,661 196,746 100,000 100,000 100,000 396,746 Capital Expenditures: Professional Services - - - - - Right of Way - - - - - Construction 196,746 100,000 100,000 100,000 396,746 196,746 100,000 100,000 100,000 396,746 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance 50,000 50,000 50,000 50,000 300,000 Grants- Unsecured State - - - - - Local Grant - - - - - REET 2 - - - - - Other (Park Impact Fee)*50,000 50,000 50,000 50,000 300,000 100,000 100,000 100,000 100,000 600,000 Capital Expenditures: Professional Services - - - - - Right of Way - - - - - Construction 100,000 100,000 100,000 100,000 600,000 100,000 100,000 100,000 100,000 600,000 None Minor park improvements including shelters, roofs, playgrounds, irrigation and restrooms. Progress Summary: Project funding includes the Brannan Park Kompan Soccer Field improvements in 2017 and Les Gove Park turf improvements in 2016 Future Impact on Operating Budget: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 190 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Cameron Park Project No:gpbd24 Project Type:Non-Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured Local - - 55,000 - 55,000 Bond Proceeds - - - - - REET - - - - - Other - - - - - - - 55,000 - 55,000 Capital Expenditures: Design - - 5,000 - 5,000 Right of Way - - - - - Construction - - 50,000 - 50,000 - - 55,000 - 55,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Unsecured Local - - - - 55,000 Bond Proceeds - - - - - REET - - - - - Other - - - - - - - - - 55,000 Capital Expenditures: Design - - - - 5,000 Right of Way - - - - - Construction - - - - 50,000 - - - - 55,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: None This project will improve the pedestrian trail and add landscape and fencing to serve as buffer to the neighborhood and play structure. This project is identified in the Parks Improvement Plan. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 191 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Gaines Park Project No:gpbd09 Project Type:Non-Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - KC Prop 2 - - 35,000 - 35,000 Other - - - - - - - 35,000 - 35,000 Capital Expenditures: Design - - 10,000 - 10,000 Right of Way - - - - - Construction - - 25,000 - 25,000 - - 35,000 - 35,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Fund 321 -Unrestricted Fund Balance - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - KC Prop 2 - - - 35,000 Other - - - - - - - - - 35,000 Capital Expenditures: Design - - - - 10,000 Right of Way - - - - - Construction - - - - 25,000 - - - - 35,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: None Develop Horticulture Plan for the Park as indicated in the Parks Improvement Plan and repair boardwalk. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 192 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Fulmer Park Playground Replacement Project No:gpbd25 Project Type:Non-Capacity Project Manager:Jamie Kelly Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Municipal Parks Construction Fund - - - - - Grants- Kaboom - - - - - Bond Proceeds - - - - - REET - - - - - KC Prop 2 - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Municipal Parks Construction Fund - - - - - Grants- Kaboom 50,000 - - - 50,000 Bond Proceeds - - - - - REET - - - - - KC Prop 2 100,000 - - - 100,000 150,000 - - - 150,000 Capital Expenditures: Design 7,500 - - - 7,500 Right of Way - - - - - Construction 142,500 - - - 142,500 150,000 - - - 150,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Replace aging playground. Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 193 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Lea Hill Mini Soccer Field Turf Replacement Project No:gpbd26 Project Type:Non-Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Municipal Parks Construction Fund - - - - - Grants- Unsecured (Interlocal KCYSFG)- - - 50,000 - REET - - - - - Other - - - - - - - - 50,000 - Capital Expenditures: Design - - - 2,500 - Right of Way - - - - - Construction - - - 47,500 - - - - 50,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Municipal Parks Construction Fund - - - - - Grants- Unsecured (Interlocal KCYSFG)- - - - 50,000 REET - - - - - Other - - - - - - - - - 50,000 Capital Expenditures: Design - - - - 2,500 Right of Way - - - - - Construction - - - - 47,500 - - - - 50,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Replace synthetic turf in the Kompan mini soccer field. Based on heavy use of this facility surface replacement is expected to be needed at approximate 5 year intervals. Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 194 MUNICIPAL PARKS CONSTRUCTION FUND (321)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Fairway Drainage Improvement Project No:gpbd19 Project Type:Non-capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET - 30,000 30,000 30,000 60,000 Other - - - - - - 30,000 30,000 30,000 60,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 30,000 30,000 30,000 60,000 - 30,000 30,000 30,000 60,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Municipal Parks Construction Fund - - - - - Grants- Secured (Fed,State,Local)- - - - - Bond Proceeds - - - - - REET 30,000 30,000 30,000 30,000 180,000 Other - - - - - 30,000 30,000 30,000 30,000 180,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 30,000 30,000 30,000 30,000 180,000 30,000 30,000 30,000 30,000 180,000 Apply top dressing sand to the first five fairways in order to firm up these landing areas so that the holes are playable year round. Sand will be applied with a three yard topdressing machine. Sand will be applied bi/weekly at a tenth of an inch of sand throughout the fairways. Fairways will start to show improvements once four inches of sand are applied. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 195 TABLE PR-3 Impact on Future Operating Budgets PARKS, ARTS & RECREATION - MUNICIPAL PARKS CONSTRUCTION Project:2020 2021 2022 2023 2024 2025 Total 1 Les Gove Park Imp.5,000$ 5,000$ 5,000$ 5,000$ 5,000$ 5,000$ 30,000$ 2 Auburndale Park - 5,000 5,000 5,000 5,000 5,000 25,000 3 Auburndale Park II - - 2,000 2,000 2,000 2,000 8,000 4 Sunset Park 10,000 10,000 10,000 10,000 10,000 10,000 60,000 5 Lakeland Hills Nature Area - - - - - 5,000 5,000 Total 15,000$ 20,000$ 22,000$ 22,000$ 22,000$ 27,000$ 128,000$ City of Auburn Capital Facilities Plan 196 SENIOR CENTER Current Facilities The City of Auburn currently has one Senior Center. Table PR-5 Facilities Inventory lists the facility along with its current capacity and location. Level of Service (LOS) The current LOS of 148.95 square feet per 1,000 population is based on the existing inventory divided by the 2019 citywide population of 81,905. The proposed LOS of 137.59 square feet per 1,000 population is based on the projected inventory divided by the 2024-projected citywide population of 88,670. Capital Facilities Projects and Financing The CFP does not include any senior center capital facilities projects during 2019-2024. Impact on Future Operating Budgets There are no operating budget impacts forecasted for the senior center facility during the six years 2020 – 2025. TABLE PR-5 Facilities Inventory Senior Center CAPACITY FACILITY (Square Feet)LOCATION Existing Inventory: Senior Center 12,200 808 9th Street SE Total Existing Inventory 12,200 Proposed Capacity Projects: None - Total Proposed Capacity Projects - 2024 Projected Inventory Total 12,200 City of Auburn Capital Facilities Plan 197 GENERAL MUNICIPAL BUILDINGS Current Facilities The current inventory of City government administration and operations facilities include 204,858 square feet for general government operations, 61,680 square feet for police services, and 38,646 square feet for fire protection, for a total of 305,184 square feet. Table GM – 1 “Facilities Inventory” lists the facilities along with their current capacity and location. Level of Service (LOS) The current LOS of 3,726.07 square feet per 1,000 population is based on the existing inventory divided by the 2019 citywide population of 81,905. The proposed LOS of 3,486.91 square feet per 1,000 population is based on the projected inventory divided by the 2024-projected citywide population of 88,670. Capital Facilities Projects and Financing The City’s General Municipal Building facilities include eight capital projects at a cost of $3,895,200 and debt service at a cost of $3,944,400 for a total of $7,839,600. The major projects include (1) $2,017,200 for the Auburn Arts & Culture Center Renovation, (2) $448,000 for Equipment Rental Vehicle Maintenance Bay (3) $320,000 for M&O Fuel Tank (4) $350,000 for City Hall Roof Replacement and $3,944,400 for City Hall Annex debt service costs. Table GM – 2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets As Table GM-3 shows, operating budget impacts of $570,000 are forecasted for General Municipal buildings facilities during the six years 2020 - 2025. City of Auburn Capital Facilities Plan 198 TABLE GM-1 Facilities Inventory General Municipal Buildings CAPACITY FACILITY (Square Feet)LOCATION Existing Inventory: General Government: City Hall 61,721 25 W Main Street City Hall Annex 45,034 1 W Main Street City Maintenance & Operations Facility 17,940 1305 C Street SW Community Center 13,973 910 9th Street SE Municipal Court (Justice Center-Leased to King County)12,200 340 E Main Street Activity Center 10,074 910 9th Street SE R Street Building 9,766 2840 Riverwalk Drive Auburn Arts & Culture Center 8,744 100 Auburn Avenue Youth Center 7,132 910 9th Street SE Auburn Valley Humane Society -(Leased to AVHS)5,900 4910 A Street GSA Building 5,580 2905 C Street SW #815 Les Gove Storage Building 4,044 910 9th Street SE Street Waste Handling Facility 2,750 1305 C Street SW Total 204,858 Police: Gun range 32,880 1600 Block 15th St NW Headquarters (Justice Center)24,800 340 E Main Street Seized vehicle parking stalls 3,000 2905 C Street SW GSA Building 1,000 2905 C Street SW #815 Total 61,680 Fire: Stations: GSA Station #35 16,526 2905 C Street SW North Station #31 12,220 1101 D Street NE South Station #32 5,200 1951 R Street SE Other Facilities: North Station Maint. Facility 4,700 1101 D Street NE Total 38,646 Total Existing Inventory 305,184 Proposed Capacity Projects: Maintenance & Operations New Maintenance Bay 4,000 Total Proposed Capacity Projects 4,000 2024 Projected Inventory Total 309,184 City of Auburn Capital Facilities Plan 199 TABLE GM-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING GENERAL MUNICIPAL BUILDINGS 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 201 Auburn Arts & Culture Center Renovation Capital Costs 1,517,200 - 500,000 - - - 2,017,200 Funding Sources: Fund Balance - - - - - - - Grants 975,000 - - - - - 975,000 Other (Cumulative Reserve F122)42,200 - - - - - 42,200 Other Park Impact Fees 500,000 - 500,000 - - - 1,000,000 202 Maintenance & Operations, Police and City Hall Facility Master Plan Capital Costs 125,000 125,000 - - - - 250,000 Funding Sources: Fund Balance - - - - - - - REET 1 125,000 125,000 - - - - 250,000 Subtotal, Capacity Projects: Capital Costs 1,642,200 125,000 500,000 - - - 2,267,200 Non-Capacity Projects: 203 M & O Vehicle Storage Bay Improvements Capital Costs 180,000 - - - - - 180,000 Funding Sources: Equipment Rental Fund 50,000 - - - - - 50,000 Operating Transfer -Water 43,334 - - - - - 43,334 Operating Transfer -Sewer 43,333 - - - - - 43,333 Operating Transfer -Storm 43,333 - - - - - 43,333 204 Equipment Rental Vehicle Maintenance Bay Capital Costs 448,000 - - - - - 448,000 Funding Sources: Equipment Rental Fund 117,500 - - - - - 117,500 Operating Transfer -Water 110,166 - - - - - 110,166 Operating Transfer -Sewer 110,167 - - - - - 110,167 Operating Transfer -Storm 110,167 - - - - - 110,167 205 M&O Fuel Tank Replacement Capital Costs 320,000 - - - - - 320,000 Funding Sources: Equipment Rental Fund 80,000 - - - - - 80,000 Operating Transfer -Water 80,000 - - - - - 80,000 Operating Transfer -Sewer 80,000 - - - - - 80,000 Operating Transfer -Storm 80,000 - - - - - 80,000 206 M&O Lunchroom Expansion Capital Costs 140,000 - - - - - 140,000 Funding Sources: Equipment Rental Fund 37,500 - - - - - 37,500 Operating Transfer -Water 34,166 - - - - - 34,166 Operating Transfer -Sewer 34,167 - - - - - 34,167 Operating Transfer -Storm 34,167 - - - - - 34,167 City of Auburn Capital Facilities Plan 200 TABLE GM-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 207 City Hall Roof Replacement Capital Costs - 350,000 - - - - 350,000 Funding Sources: REET 1 - 350,000 - - - - 350,000 208 City Facilities Maintenance Projects Capital Costs 40,000 150,000 - - - - 190,000 Funding Sources: REET 1 40,000 150,000 - - - - 190,000 209 City Hall Annex Long-Term Debt 657,950 658,700 656,600 657,950 656,350 656,850 3,944,400 Funding Sources: REET 1 657,950 658,700 656,600 657,950 656,350 656,850 3,944,400 Subtotal, Non-Capacity Projects: Capital Costs 1,128,000 500,000 - - - - 1,628,000 SUMMARY: CAPITAL COSTS Capacity Projects 1,642,200 125,000 500,000 - - - 2,267,200 Non-Capacity Projects 1,128,000 500,000 - - - - 1,628,000 Long-Term Debt 657,950 658,700 656,600 657,950 656,350 656,850 3,944,400 Total Costs 3,428,150 1,283,700 1,156,600 657,950 656,350 656,850 7,839,600 FUNDING SOURCES: Equipment Rental Fund 285,000 - - - - - 285,000 Operating Transfer -Water 267,666 - - - - - 267,666 Operating Transfer -Sewer 267,667 - - - - - 267,667 Operating Transfer -Storm 267,667 - - - - - 267,667 Grants 975,000 - - - - - 975,000 Cumulative Reserve Fund 122 42,200 - - - - - 42,200 Park Impact Fees 500,000 - 500,000 - - - 1,000,000 REET 1 822,950 1,283,700 656,600 657,950 656,350 656,850 4,734,400 Total Funding 3,428,150 1,283,700 1,156,600 657,950 656,350 656,850 7,839,600 City of Auburn Capital Facilities Plan 201 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Auburn Arts & Culture Center Renovation Project No:cp1612 Project Type:Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - Grants- Unsecured (State)- 500,000 - 500,000 Grants- Secured (Local)20,012 129,988 175,000 - 325,000 Grants - Local Unsecured - 300,000 - 300,000 Other -(Cumulative Reserve)- - 42,200 - 42,200 REET - - - - - Other (Park Impact Fee)- - 500,000 - 500,000 20,012 129,988 1,517,200 - 1,667,200 Capital Expenditures: Design 9,903 - 200,000 - 209,903 Right of Way - - - - - Construction 10,109 129,988 1,317,200 - 1,457,297 20,012 129,988 1,517,200 - 1,667,200 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants- Unsecured (State)- - - - 500,000 Grants- Secured (Local)- - - - 175,000 Grants - Local Unsecured - - - - 300,000 Other -(Cumulative Reserve)- - - - 42,200 REET - - - - - Other (Park Impact Fee)500,000 - - - 1,000,000 500,000 - - - 2,017,200 Capital Expenditures: Design - - - - 200,000 Right of Way - - - - - Construction 500,000 - - - 1,817,200 500,000 - - - 2,017,200 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Renovation to the property and building located at 20 Auburn Avenue (100 Auburn Avenue) Building for the creation of an Arts & Culture Center in downtown Auburn. The renovation of this building will allow increased access to the arts for all of Auburn residents and visitors. Having a dedicated Art Center alongside the Auburn Avenue Theater performing arts series has the potential to transform Auburn into an arts tourism destination within the South Puget Sound. This project is a high priority for the City of Auburn and the purchase of this important building was completed in 2016. Progress Summary: The City has secured $325,000 in local grant funding. The historic window restoration is expected to be completed by 2018. As a landmark building, exterior renovations must maintain the historic character of the building. Future Impact on Operating Budget: The annual operating budget fiscal impact is estimated to be $95,000. City of Auburn Capital Facilities Plan 202 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Maintenance & Operations, Police and City Hall Facility Master Plan Project No:cp1905 Project Type:Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 1 - - 125,000 125,000 125,000 - - 125,000 125,000 125,000 Capital Expenditures: Design - - 125,000 125,000 125,000 Construction - - - - - Long-Term Debt Service - - - - - - - 125,000 125,000 125,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 1 - - - - 250,000 - - - - 250,000 Capital Expenditures: Design - - - - 250,000 Construction - - - - - Long-Term Debt Service - - - - - - - - - 250,000 Grants / Other Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Planning effort for future Maintenance & Operations, Police and City Hall needs including land usage and building needs for the next 20 years. Progress Summary: Future Impact on Operating Budget: None, but could generate future projects or improvements based on outcome. City of Auburn Capital Facilities Plan 203 EQUIPMENT RENTAL FUND (560)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: M&O Vehicle Storage Bay Improvements Project No:cp0711 Project Type: Project Manager:Randy Bailey Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Equip. Rental Revenue - - 50,000 - 50,000 REET 1 - - - - Other (Water, Sewer, Storm)- 20,000 130,000 - 150,000 - 20,000 180,000 - 200,000 Capital Expenditures: Design - 20,000 - - 20,000 Right of Way - - - - - Construction 180,000 - 180,000 - 20,000 180,000 - 200,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Equip. Rental Revenue - - - - 50,000 REET 1 - - - - - Other (Water, Sewer, Storm)- - - - 130,000 - - - - 180,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 180,000 - - - - 180,000 Non-Capacity Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Enclose the 8 existing bays to provide necessary weather protection for street sweepers, vactors, sanding, and snow plow equipment. Construct storage shed to facilitate removal of portable containers, improving space utilization and traffic flow throughout M&O. Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 204 EQUIPMENT RENTAL FUND (560)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Equipment Rental Vehicle Maintenance Bay Project No:cp1223 Project Type: Project Manager:Randy Bailey Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Equip. Rental Revenue - 117,500 - 117,500 REET 1 - - - - Other (Water, Sewer, Storm)- 22,000 330,500 - 352,500 - 22,000 448,000 - 470,000 Capital Expenditures: Design - 22,000 - - 22,000 Right of Way - - - - - Construction - 448,000 - 448,000 - 22,000 448,000 - 470,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Equip. Rental Revenue - - - - 117,500 REET 1 - - - - - Other (Water, Sewer, Storm)- - - - 330,500 - - - - 448,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 448,000 - - - - 448,000 None Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Non-Capacity Build additional vehicle bay at Equipment Rental shop for heavy equipment and large vehicles to improve efficiency and remove choke points. Adding a large vehicle bay with a large vehicle lift will enable us to perform inspections and maintenance on more than one large vehicle at a time, this becomes extremely important during emergency operations such as snow and ice events. The City currently has 2.5 maintenance bays, this project will add one more maintenance bay for a total of 3.5 bays. Progress Summary: Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 205 EQUIPMENT RENTAL FUND (560)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: M&O Fuel Tank Replacement Project No:erbd01 Project Type: Project Manager:Randy Bailey Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Equip. Rental Revenue - - 80,000 - 80,000 REET 1 - - - - Other (Water, Sewer, Storm)- 240,000 - 240,000 - - 320,000 - 320,000 Capital Expenditures: Design - 25,000 - 25,000 Right of Way - - - - - Construction - 295,000 - 295,000 - - 320,000 - 320,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Equip. Rental Revenue - - - - 80,000 REET 1 - - - - - Other (Water, Sewer, Storm)- - - - 240,000 - - - - 320,000 Capital Expenditures: Design - - - - 25,000 Right of Way - - - - - Construction - - - - 295,000 - - - - 320,000 This project should reduce the operating budget due to lower maintenance and inspection costs. Non-Capacity Replace three 10,000 gallon underground tanks with new above ground tanks. The existing tanks were installed in 1989 and are single wall fiberglass tanks. It will be a benefit to the City to have the tanks above ground in the future due to the reduced maintenance and inspection cost. Progress Summary: Future Impact on Operating Budget: Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 206 EQUIPMENT RENTAL FUND (560)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: M&O Lunchroom Expansion Project No:erbd02 Project Type: Project Manager:Randy Bailey Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Equip. Rental Revenue - - 37,500 - 37,500 REET 1 - - - - Other (Water, Sewer, Storm)- 10,000 102,500 - 112,500 - 10,000 140,000 - 150,000 Capital Expenditures: Design - 10,000 - - 10,000 Right of Way - - - - - Construction - 140,000 - 140,000 - 10,000 140,000 - 150,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Equip. Rental Revenue - - - - 37,500 REET 1 - - - - - Other (Water, Sewer, Storm)- - - - 102,500 - - - - 140,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 140,000 - - - - 140,000 None Non-Capacity Expansion of the current lunchroom by redesigning the area to accommodate All-Staff meetings, provide for a training facility, lunch room and also serve as the Department Operations Center (DOC) during an emergency event. In addition, the design will include sliding doors which will allow the area to serve two purposes at once, for example, one half of the room being used as a DOC and the other half open to employees to use as a lunch/break room. Progress Summary: This project will be designed in 2018 and built in 2019 Future Impact on Operating Budget: Total Funding Sources: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: City of Auburn Capital Facilities Plan 207 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Hall Roof Replacement Project No:gcbd15 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 1 - - - 350,000 - - - - 350,000 - Capital Expenditures: Design - - - - - Construction - - - 350,000 - Long-Term Debt Service - - - - - - - - 350,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 1 - - - - 350,000 - - - - 350,000 Capital Expenditures: Design - - - - - Construction - - - - 350,000 Long-Term Debt Service - - - - - - - - - 350,000 Grants / Other Sources: This project will replace the existing roof at City Hall. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 208 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Facilities Maintenance Projects Project No:gcbd12 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - - - - - REET 1 - - 40,000 150,000 40,000 - - 40,000 150,000 40,000 Capital Expenditures: Design - - - - - Construction - - 40,000 150,000 40,000 Long-Term Debt Service - - - - - - - 40,000 150,000 40,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 1 - - - - 190,000 - - - - 190,000 Capital Expenditures: Design - - - - - Construction - - - - 190,000 Long-Term Debt Service - - - - - - - - - 190,000 This project will provide REET funding to replace the Arts & Cultural Center roof, the Justice Center roof and siding at the Herr Building. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 209 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Hall Annex Project No: Project Type: Project Manager: Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 1 1,316,130 645,039 657,950 658,700 2,619,119 1,316,130 645,039 657,950 658,700 2,619,119 Capital Expenditures: Design - - - - - Construction - - - - - Long-Term Debt Service 1,316,130 645,039 657,950 658,700 2,619,119 1,316,130 645,039 657,950 658,700 2,619,119 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 1 656,600 657,950 656,350 656,850 3,944,400 656,600 657,950 656,350 656,850 3,944,400 Capital Expenditures: Design - - - - - Construction - - - - - Long-Term Debt Service 656,600 657,950 656,350 656,850 3,944,400 656,600 657,950 656,350 656,850 3,944,400 To pay scheduled debt service costs on 2010 General Obligation bonds issued for the City Hall Annex. Progress Summary: Future Impact on Operating Budget: N/A Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 210 TABLE GM-3 Impact on Future Operating Budgets GENERAL MUNICIPAL BUILDINGS Project:2020 2021 2022 2023 2024 2025 Total 1 Downtown Auburn Arts Center 95,000$ 95,000$ 95,000$ 95,000$ 95,000$ 95,000$ 570,000$ Total 95,000$ 95,000$ 95,000$ 95,000$ 95,000$ 95,000$ 570,000$ City of Auburn Capital Facilities Plan 211 COMMUNITY IMPROVEMENTS Current Facilities Community Improvements include sidewalk and traffic signal improvements, neighborhood traffic calming program, Main Street urban design improvements, public art and phase two of the Auburn Environmental Park Boardwalk project. Level of Service (LOS) No Level of Service for community improvement projects have been identified at this time. Capital Facilities Projects and Financing The City’s proposed Community Improvements include fourteen capital projects at a cost of $9,526,100 and debt service at a cost of 1,342,600 for a total of $10,868,700. Table CI-2 shows the proposed financing plan followed by individual work sheets showing the project detail. Impact on Future Operating Budgets As Table CI-3 shows, because of the City Street light LED retrofit program the operating budget will save approximately $735,000 for community improvement facilities during the six years 2020-2025. City of Auburn Capital Facilities Plan 212 TABLE CI-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING COMMUNITY IMPROVEMENTS 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 214 Auburn Way South (SR-164) - Southside Sidewalk Improvements Capital Costs - 95,000 618,000 - - - 713,000 Funding Sources: Capital Improvement Fund - - - - - - - Grants - 80,000 525,300 - - - 605,300 REET 2 - 15,000 92,700 - - - 107,700 215 104th Ave. Park Development Capital Costs 1,065,000 - - - - - 1,065,000 Funding Sources: Capital Improvement Fund - - - - - - - Grants 565,000 - - - - - 565,000 Other Park Impact Fees 500,000 - - - - - 500,000 Subtotal, Capacity Projects: Capital Costs 1,065,000 95,000 618,000 - - - 1,778,000 Non-Capacity Projects: 216 Citywide ADA & Sidewalk Improvements Capital Costs 200,000 200,000 200,000 200,000 200,000 200,000 1,200,000 Funding Sources: Capital Improvement Fund - REET 2 200,000 200,000 200,000 200,000 200,000 200,000 1,200,000 217 Annual Traffic Signal Replacement & Improvements Capital Costs 175,000 200,000 200,000 200,000 200,000 200,000 1,175,000 Funding Sources: Capital Improvement Fund - - - - - - - REET 2 175,000 200,000 200,000 200,000 200,000 200,000 1,175,000 218 Neighborhood Traffic Calming Program Capital Costs 50,000 50,000 150,000 150,000 150,000 150,000 700,000 Funding Sources: Capital Improvement Fund - - - - - - - REET 2 50,000 50,000 150,000 150,000 150,000 150,000 700,000 219 Public Art Capital Costs - 60,000 30,000 30,000 30,000 30,000 180,000 Funding Sources: Capital Improvement Fund - - - - - - - REET 2 - 60,000 30,000 30,000 30,000 30,000 180,000 220 City Wetland Mitigation Projects Capital Costs 5,000 5,000 5,000 5,000 5,000 5,000 30,000 Funding Sources: Capital Improvement Fund - - - - - - - Other (Fund 124-Wetland Mit.)5,000 5,000 5,000 5,000 5,000 5,000 30,000 221 Auburn Environmental Park Boardwalk -Phase 2 Capital Costs - - 75,000 800,000 - - 875,000 Funding Sources: Capital Improvement Fund - - - - - - - REET 2 - - 75,000 - - - 75,000 Other - To Be Determined - - - 800,000 - - 800,000 City of Auburn Capital Facilities Plan 213 TABLE CI-2 (continued) 2019 2020 2021 2022 2023 2024 Total Page Non-Capacity Projects: 222 Citywide Street Lighting Improvements Capital Costs 50,000 50,000 100,000 100,000 100,000 100,000 500,000 Funding Sources: Capital Improvement Fund - - - - - - - REET 2 50,000 50,000 100,000 100,000 100,000 100,000 500,000 223 City Street Lighting LED Retrofit Capital Costs 2,500,000 - - - - - 2,500,000 Funding Sources: Grants 300,000 - - - - - 300,000 Contributions 350,000 - - - - - 350,000 REET 2 1,850,000 - - - - - 1,850,000 224 Central Parking Garage Improvement Capital Costs 103,600 - - - - - 103,600 Funding Sources: Capital Improvement Fund - - - - - - - REET 1 103,600 - - - - - 103,600 225 City Downtown Public Parking Lot Reconfiguration Capital Costs 234,500 - - - - - 234,500 Funding Sources: Local Revitalization Fund 234,500 - - - - - 234,500 Other - To Be Determined - - - - - - - 226 City Owned Parking improvements Capital Costs 50,000 - - - - - 50,000 Funding Sources: Local Revitalization Fund 50,000 - - - - - 50,000 Other - To Be Determined - - - - - - - 227 Arts and Culture Center Alleyway Capital Costs 200,000 - - - - - 200,000 Funding Sources: Local Revitalization Fund 100,000 - - - - - 100,000 Other - Contributions 100,000 - - - - - 100,000 228 Local Revitalization Long Term Debt 231,800 220,600 224,900 223,600 221,900 219,800 1,342,600 Funding Sources: REET 2 231,800 220,600 224,900 223,600 221,900 219,800 1,342,600 Subtotal, Non-Capacity Projects: Capital Costs 3,568,100 565,000 760,000 1,485,000 685,000 685,000 7,748,100 SUMMARY: CAPITAL COSTS Capacity Projects 1,065,000 95,000 618,000 - - - 1,778,000 Non-Capacity Projects 3,568,100 565,000 760,000 1,485,000 685,000 685,000 7,748,100 Long-Term Debt 231,800 220,600 224,900 223,600 221,900 219,800 1,342,600 Total Costs 4,864,900 880,600 1,602,900 1,708,600 906,900 904,800 10,868,700 FUNDING SOURCES: Capital Improvement Fund 328 - - - - - - - Local Revitalization Fund 330 384,500 - - - - - 384,500 Contributions 450,000 - - - - - 450,000 Grants 865,000 80,000 525,300 - - - 1,470,300 REET1 103,600 - - - - - 103,600 REET 2 2,556,800 795,600 1,072,600 903,600 901,900 899,800 7,130,300 Other -To Be Determined - - - 800,000 - - 800,000 Other (Fund 124-Parks Impact)500,000 - - - - - 500,000 Other (Fund 124-Wetland Mit.)5,000 5,000 5,000 5,000 5,000 5,000 30,000 Total Funding 4,864,900 880,600 1,602,900 1,708,600 906,900 904,800 10,868,700 City of Auburn Capital Facilities Plan 214 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Auburn Way South (SR-164) - Southside Sidewalk Improvements TIP# N-7 Project No:gcbd10 Project Type:Capacity, Non-motorized, Safety Project Manager:TBD Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Unsecured State - - - 80,000 - REET 2 - - - 15,000 - Other (Fund 102)- - - - - - - - 95,000 - Capital Expenditures: Design - - - 95,000 - Right of Way - - - - - Construction - - - - - - - 95,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Unsecured State 525,300 - - - 605,300 REET 2 92,700 - - - 107,700 Other (Fund 102)- - - - - 618,000 - - - 713,000 Capital Expenditures: Design - - - - 95,000 Right of Way - - - - - Construction 618,000 - - - 618,000 618,000 - - - 713,000 Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: The project will construct missing sidewalk along the south side of Auburn Way S. The existing sidewalk currently ends at the intersection with Howard Road and restarts to the west of the intersection with Muckleshoot Plaza. The sidewalk gap extends for approximately 1,700 feet. Progress Summary: Grant funding for the project was applied for during 2018. Future Impact on Operating Budget: There is no impact to the street maintenance budget. City of Auburn Capital Facilities Plan 215 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: 104th Ave. Park Development Project No: cp1619 Project Type: Capacity Project Manager: Jamie Kelly Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Cap Improve - - - - - Grants - Unsecured State - - 565,000 - 565,000 REET2 2,424 - - - 2,424 Other -Park Impact Fees 10,036 22,000 500,000 - 532,036 12,460 22,000 1,065,000 - 1,099,460 Capital Expenditures: Design 12,460 22,000 75,000 - 109,460 Construction - - 990,000 - 990,000 Long-Term Debt Service - - - - 12,460 22,000 1,065,000 - 1,099,460 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Cap Improve - - - - - Grants - Unsecured State - - - - 565,000 REET2 - - - - - Other -Park Impact Fees - - - - 500,000 - - - - 1,065,000 Capital Expenditures: Design - - - - 75,000 Construction - - - - 990,000 Long-Term Debt Service - - - - - - - - - 1,065,000 Complete Master Plan and construct park improvements identified in the Master Plan. Anticipated improvements include parking, trails, restroom, and playground. Work associated with permit approvals is also included in the budget. Progress Summary: Staff is in the process of finalizing the Master Plan for future park development and have submitted grant applications for two separate grant programs to the Washington State Recreation and Conservation Office. If awarded, funding would be available in June 2019 and construction is anticipated in late Summer or early Fall 2019. Other efforts for the property include working with King County and non-profit groups to control invasive species and replace with native plantings. Future Impact on Operating Budget: The annual impact on the operating budget is estimated to be $10,000 for temporary wages and $2,500 for supplies. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 216 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Citywide ADA & Sidewalk Improvements TIP# N-2 Project No:cp1710, cp1815, gcbd01 Project Type:Non-Capacity (Annual) Project Manager:Aleksey Koshman LOS Corridor ID# N/A Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants -Unsecured State - - - - - REET 2 106,267 162,200 200,000 200,000 468,467 Other - - - - - 106,267 162,200 200,000 200,000 468,467 Capital Expenditures: Design - 20,000 20,000 20,000 40,000 Right of Way - - - - - Construction 106,267 142,200 180,000 180,000 428,467 106,267 162,200 200,000 200,000 468,467 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants -Unsecured State - - - - - REET 2 200,000 200,000 200,000 200,000 1,200,000 Other - - - - - 200,000 200,000 200,000 200,000 1,200,000 Capital Expenditures: Design 20,000 20,000 20,000 20,000 120,000 Right of Way - - - - - Construction 180,000 180,000 180,000 180,000 1,080,000 200,000 200,000 200,000 200,000 1,200,000 Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: Total Funding Sources: Description: This project funds citywide accessibility improvements to the public right-of-way sidewalk system including adding/upgrading curb ramps, removing barriers to access and completing gaps. Improvements are programmed annually based on the criteria adopted in the City's Public Right-of-Way Accessibility Transition Plan. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 217 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Annual Traffic Signal Replacement & Improvements TIP# I-1 Project No:cp1521, cp1608, cp1703, cp1813, gcbd07 Project Type:Non-Capacity (Annual) Project Manager:Scott Nutter LOS Corridor ID# N/A Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Unsecured (Fed,State,Local)- - - - - REET 2 316,913 175,000 175,000 200,000 666,913 Other - - - - - 316,913 175,000 175,000 200,000 666,913 Capital Expenditures: Design 19,074 25,000 25,000 25,000 69,074 Right of Way - - - - - Construction 297,839 150,000 150,000 175,000 597,839 316,913 175,000 175,000 200,000 666,913 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Unsecured (Fed,State,Local)- - - - - REET 2 200,000 200,000 200,000 200,000 1,175,000 Other - - - - - 200,000 200,000 200,000 200,000 1,175,000 Capital Expenditures: Design 25,000 25,000 25,000 25,000 150,000 Right of Way - - - - - Construction 175,000 175,000 175,000 175,000 1,025,000 200,000 200,000 200,000 200,000 1,175,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Description: This project funds end of life capital replacement for traffic signal and Intelligent Transportation System equipment including cabinets, video detection cameras, field network devices, traffic cameras, battery backup components, and other related equipment. This project also funds minor safety improvements, operations improvements, and Accessible Pedestrian Signal Improvements based on the criteria adopted in the City's Public Right-of-Way Accessibility Transition Plan. Progress Summary: The project is ongoing and continues to successfully complete annual traffic signal improvement projects citywide. Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 218 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Neighborhood Traffic Safety Program TIP# R-10 Project No:cp1713, cp1814, gcbd06 Project Type:Non-Capacity (Annual) Project Manager:Joe Welsh Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Unsecured (Fed,State,Local)- - - - - REET 2 112,475 150,000 50,000 50,000 312,475 Other - - - - - 112,475 150,000 50,000 50,000 312,475 Capital Expenditures: Design - 15,000 5,000 5,000 20,000 Right of Way - - - - - Construction 112,475 135,000 45,000 45,000 292,475 112,475 150,000 50,000 50,000 312,475 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Unsecured (Fed,State,Local)- - - - - REET 2 150,000 150,000 150,000 150,000 700,000 Other - - - - - 150,000 150,000 150,000 150,000 700,000 Capital Expenditures: Design 15,000 15,000 15,000 15,000 70,000 Right of Way - - - - - Construction 135,000 135,000 135,000 135,000 630,000 150,000 150,000 150,000 150,000 700,000 Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Total Expenditures: Description: This project will implement neighborhood traffic calming strategies including street lighting, speed cushions, signage, speed radar signs, mini roundabouts, chicanes, traffic circles, and other approved traffic calming devices. Projects will be selected annually based on neighborhood meetings, public surveys, and engineering studies. Progress Summary: Future Impact on Operating Budget: This project will have no impact on the operating budget for street maintenance. City of Auburn Capital Facilities Plan 219 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Public Art Project No: gcbd05, cp1818 Project Type: Non-Capacity Project Manager: Julie Krueger Description: Activity: (Previous 2 Years)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - 48,000 - - 48,000 Grants - Secured (Fed,State,Local)- - - - - REET 2 115,000 - 60,000 115,000 Other - - - - - - 163,000 - 60,000 163,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 163,000 - 60,000 163,000 - 163,000 - 60,000 163,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 2 30,000 30,000 30,000 30,000 180,000 Other - - - - - 30,000 30,000 30,000 30,000 180,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 30,000 30,000 30,000 30,000 180,000 30,000 30,000 30,000 30,000 180,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: None The City designates $30,000 annually toward the purchase of public art, for placement at designated locations throughout the City. Progress Summary: Arts Commission will meet to assess future needs and seek approval from City Council on placement. Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 220 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Wetland Mitigation Projects Project No:cp1315 Project Type:Non-Capacity Project Manager:Jeff Tate Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - Fund 124 Wetland Mitigation Account 6,969 31,600 5,000 5,000 43,569 REET - - - - - 6,969 31,600 5,000 5,000 43,569 Capital Expenditures: Design - 10,000 - - 10,000 Monitoring 1,868 - 5,000 5,000 6,868 Construction 5,101 21,600 - - 26,701 6,969 31,600 5,000 5,000 43,569 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - Fund 124 Wetland Mitigation Account 5,000 5,000 5,000 5,000 30,000 REET - - - - - 5,000 5,000 5,000 5,000 30,000 Capital Expenditures: Design - - - - - Monitoring 5,000 5,000 5,000 5,000 30,000 Construction - - - - - 5,000 5,000 5,000 5,000 30,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project designs and constructs off-site wetland mitigation in the Auburn Environmental Park for participating development projects as approved through the City's development review process. Design, construction, monitoring, and maintenance of the mitigation is funded through wetland mitigation fees collected by the City. Progress Summary: Future Impact on Operating Budget: After construction, each wetland mitigation site will be monitored and maintained for a period of three to five years, depending on the specific requirements for the project. Funding for future year monitoring and maintenance is included in the development fees collected by the City, and is budgeted as part of the Capital Facilities Plan. Replacement plantings for Auburn Airport tree removal conducted in 2013. Design and construction of mitigation for other development sites deferred to 2018. Years 2019-2021 scheduled for site monitoring only. City of Auburn Capital Facilities Plan 221 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Auburn Environmental Park Boardwalk - Phase 2 Project No:cp1611 Project Type:Non-Capacity Project Manager:Jeff Tate Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Unsecured State - - - - - Grants - Local Unsecured - - - - - REET 2 - - - - - Other -TBD - - - - - - - - - - Capital Expenditures: Design - - - - Right of Way - - - - Construction - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Unsecured State - - - - - Grants - Local Unsecured - - - - - REET 2 75,000 - - - 75,000 Other -TBD - 800,000 - - 800,000 75,000 800,000 - - 875,000 Capital Expenditures: Design 75,000 - - - 75,000 Right of Way - - - - - Construction - 800,000 - - 800,000 75,000 800,000 - - 875,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: The Auburn Environmental Park (AEP) provides vegetated natural open space within an urbanized area. The AEP provides opportunities for local economic development, water quality improvement, storm water detention, flood control, fish and wildlife enhancement, visual resources, public education, and passive recreation, including walking trails and bird viewing amenities. In 2012, the City completed the construction of approximately 1,200 lineal feet of the first phase (Phase 1) of an elevated boardwalk trail in the Auburn Environmental Park (AEP). This trail extended from West Main Street through existing wetlands in the AEP terminating at the base of the Bird Viewing Tower constructed in 2009. As part of the construction of the elevated boardwalk, the City also installed interpretative signage, bench seating, limited new vehicle parking on Western Avenue and over two acres of wetland species of trees, plants and shrubs. Phase 2 of the elevated boardwalk trail would construct a combination of up to approximately 2,000 lineal feet of surface trail and elevated boardwalk trail from the current terminus at the Bird Viewing Tower to a connection with the Interurban Trail. The Phase 2 project will further previous and current Councils’ visions of the AEP providing passive recreation and environmental education opportunities for all Auburn citizens. Progress Summary: Design for this project is scheduled to start in fall of 2021. Future Impact on Operating Budget: Construction of the Phase 2 project is anticipated to incur approximately $10,000 in annual operating costs to the City’s operating budget. Operating costs are addressed in the Environmental Services portion of the Community Development and Public Works Department operating budget. City of Auburn Capital Facilities Plan 222 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Citywide Street Lighting Improvements TIP# I-4 Project No:cp1711, gcbd09 Project Type:Non-Capacity Project Manager:Scott Nutter Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 2 7,319 - 50,000 50,000 57,319 7,319 - 50,000 50,000 57,319 Capital Expenditures: Design - - 10,000 10,000 10,000 Construction - - - - - Long-Term Debt Service 7,319 - 40,000 40,000 47,319 7,319 - 50,000 50,000 57,319 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 2 100,000 100,000 100,000 100,000 500,000 100,000 100,000 100,000 100,000 500,000 Capital Expenditures: Design 20,000 20,000 20,000 20,000 100,000 Construction - - - - - Long-Term Debt Service 80,000 80,000 80,000 80,000 400,000 100,000 100,000 100,000 100,000 500,000 This project will fund street lighting improvements in neighborhoods without existing infrastructure and include retrofitting existing lights to LED Standards as appropriate. Projects will be selected from prioritized list developed with neighborhood input. Progress Summary: Future Impact on Operating Budget: This project is anticipated to have minimal impact on the Operating Budget Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 223 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Street Light LED Retrofit Project No:gcbd11 Project Type:Non-Capacity Project Manager:Scott Nutter Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Unsecured State - - 300,000 - 300,000 Contributions 350,000 - 350,000 REET 2 - - 1,850,000 - 1,850,000 - - 2,500,000 - 2,500,000 Capital Expenditures: Design - - - - - Construction - - 2,500,000 - 2,500,000 Long-Term Debt Service - - - - - - - 2,500,000 - 2,500,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - Unsecured State - - - - 300,000 Contributions 350,000 REET 2 - - - - 1,850,000 - - - - 2,500,000 Capital Expenditures: Design - - - - - Construction - - - - 2,500,000 Long-Term Debt Service - - - - - - - - - 2,500,000 This project will fund an LED retrofit program for all existing City owned (non LED) street lights. New Light fixtures and retrofits will replace our aging light fixtures with 10 year warrantied fixtures with long life LEDs and will improve lighting uniformity and visibility and is in accordance with the City's current design standards for new street lighting. The scope also includes street light control options for remote management of the City owned street lights. The project will utilize an approved energy service company (ESCO) management team. Progress Summary: Future Impact on Operating Budget: Annual savings in power usage is anticipated to be $130,000 per year. Additional maintenance savings will be realized in the reduction of materials for light replacement and is estimated to be $20,000 per year. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 224 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Central Parking Garage Improvement Project No:gcbd13 Project Type:Non-Capacity Project Manager:TBD Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - - Grants - Secured (Fed,State,Local)- - - - - REET 1 - - 103,600 - 103,600 - - 103,600 - 103,600 Capital Expenditures: Design - - - - - Construction - - 103,600 - 103,600 Long-Term Debt Service - - - - - - - 103,600 - 103,600 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 1 - - - - 103,600 - - - - 103,600 Capital Expenditures: Design - - - - - Construction - - - - 103,600 Long-Term Debt Service - - - - - - - - - 103,600 This project will improve the central parking garage by painting an elastic coating that will minimize cracks forming in the walls. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 225 LOCAL REVITALIZATION FUND (330)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Downtown Public Parking Lot Reconfiguration Project No: cp1616 Project Type: Non-Capacity Project Manager: Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Local Revitalization Fund 330 17,329 - 234,500 - 251,829 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Other -Contributions - - - - - 17,329 - 234,500 - 251,829 Capital Expenditures: Design - - - - Right of Way - - - - - Construction 17,329 234,500 - 251,829 17,329 - 234,500 - 251,829 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Local Revitalization Fund 330 - - - - 234,500 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Other -Contributions - - - - - - - - - 234,500 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 234,500 - - - - 234,500 Reconfigure the City owned public parking lot between Safeway and Main Street to address pedestrian and vehicular circulation; remove existing landscaping to allow more flexibility in the parking lot redesign; explore whether more parking stalls can be added to the lot to aid in providing additional customer parking within Downtown Auburn; and resurface the parking lot. Progress Summary: Begin design in 2016. Monies to improve the parking lot adjacent to Safeway and the B Street Plaza were used to create safety and aesthetic improvements to the plaza. New catenary lighting and planters were added to the plaza as a short- to medium-term improvement. The lighting increases safety and the planters were added to delineate walking paths and create visual interest. Completion of design and construction is delayed until the Heritage Building is addressed. Future Impact on Operating Budget: None anticipated as the City already maintains the parking lot. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 226 LOCAL REVITALIZATION FUND (330)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: City Owned Parking Lot Improvements Project No: lrbd04 Project Type: Non-Capacity Project Manager: Josh Arndt Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Local Revitalization Fund 330 - - 50,000 - 50,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Other -Contributions - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - - - Right of Way - - - - - Construction - 50,000 - 50,000 - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Local Revitalization Fund 330 - - - - 50,000 Grants- Secured (Fed,State,Local)- - - - - REET - - - - - Other -Contributions - - - - - - - - - 50,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 50,000 - - - - 50,000 The City owns and operates six improved, surface-level asphalt parking lots located downtown. The parking lots are used for a variety of permit, free 3-hour and employee parking. Maintenance on these lots has been performed primarily only on an emergency basis. As a result the condition of the lots show signs of deterioration and disrepair. This project will fund needed improvements for City owned parking lots within the downtown area. Progress Summary: Planning phase. Future Impact on Operating Budget: None anticipated as the City already maintains the parking lot. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 227 LOCAL REVITALIZATION FUND (330)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Arts and Culture Center Alleyway Project No:lrbd03 Project Type:Non-Capacity Project Manager:Daryl Faber Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Local Revitalization Fund 330 - - 100,000 - 100,000 Grants- Unsecured - - - - - REET - - - - - Other -Contributions - - 100,000 - 100,000 - - 200,000 - 200,000 Capital Expenditures: Design - - 20,000 - 20,000 Right of Way - - - - - Construction - - 180,000 - 180,000 - - 200,000 - 200,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Local Revitalization Fund 330 - - - - 100,000 Grants- Unsecured - - - - - REET - - - - - Other -Contributions - - - - 100,000 - - - - 200,000 Capital Expenditures: Design - - - - 20,000 Right of Way - - - - - Construction - - - - 180,000 - - - - 200,000 Construct improvements based on the Auburn Alleyway Project Master Plan prepared through the Livable Cities Year project with the University of Washington. Proposed improvements are associated with turning the alley between the Auburn Ave. Theater and the Arts and Culture Center into a plaza area. Progress Summary: Future Impact on Operating Budget: None Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 228 CAPITAL IMPROVEMENT FUND (328)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Capital Projects Fund Project Title: Local Revitalization Project No: Project Type: Project Manager: Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Fund Balance - - - - Grants - Secured (Fed,State,Local)- - - - - REET 2 454,221 226,109 231,800 220,600 912,130 454,221 226,109 231,800 220,600 912,130 Capital Expenditures: Design - - - - - Construction - - - - - Long-Term Debt Service 454,221 226,109 231,800 220,600 912,130 454,221 226,109 231,800 220,600 912,130 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Fund Balance - - - - - Grants - - - - - REET 2 224,900 223,600 221,900 219,800 1,342,600 224,900 223,600 221,900 219,800 1,342,600 Capital Expenditures: Design - - - - - Construction - - - - - Long-Term Debt Service 224,900 223,600 221,900 219,800 1,342,600 224,900 223,600 221,900 219,800 1,342,600 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: To pay debt service costs on 2010 General Obligation bonds issued for the Downtown Promenade improvements. Progress Summary: Future Impact on Operating Budget: N/A City of Auburn Capital Facilities Plan 229 TABLE CI-3 Impact on Future Operating Budgets COMMUNITY IMPROVEMENTS Project:2020 2021 2022 2023 2024 2025 Total 1 104th Ave. Park Development 12,500$ 12,500$ 12,500$ 12,500$ 12,500$ 12,500$ 75,000$ 2 AEP Boardwalk -Phase 2 - - - 10,000 10,000 10,000 30,000 3 City Street Light LED Retrofit (140,000) (140,000) (140,000) (140,000) (140,000) (140,000) (840,000) Total (127,500)$ (127,500)$ (127,500)$ (117,500)$ (117,500)$ (117,500)$ (735,000)$ City of Auburn Capital Facilities Plan 230 City of Auburn Capital Facilities Plan 231 AIRPORT Current Facilities The City of Auburn operates the Auburn Municipal Airport, providing hangar and tie-down facilities/leasing space for aircraft-related businesses. As of 2017, there were approximately 142,000 take-offs and landings (aircraft operations) at the airport annually. Table A-1 “Facilities Inventory” lists the facilities with current capacity and location. The Airport Master Plan was completed in May 2015 for the period 2012 through 2032. Level of Service (LOS) The Auburn Municipal Airport Master Plan provides a maximum runway capacity (LOS standard) of 231,000 aircraft operations annually; one take-off or landing equals one aircraft operation. This LOS is recognized by the Federal Aviation Administration (FAA). The FAA requires the airport to have the capital facilities capacity (i.e., runways, taxiways, holding areas, terminal, hangars, water/sewer system, etc.) necessary to accommodate 100% of aircraft operations during any one year. By 2022, the Airport Master Plan forecasts the number of operations to be 198,623 – well below the capacity of the airport runway. Capital Facilities Projects and Financing The City’s Airport facilities include eleven non-capacity projects totaling $14,057,700. These include the runway enhancements project, Jet A fueling facility, automated weather observation system, hangar replacement program and land acquisition for future approaches. Table A-2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets As Table A-3 shows, operating budget impacts of $20,000 are forecasted for Airport facilities during the six years 2020 – 2025. TABLE A-1 Facilities Inventory Airport FACILITY # of Aircraft # of Feet LOCATION Existing Inventory: Hangars (Public)145 2301 E Street NE Hangars (Private)103 2301 E Street NE Tiedowns 153 2301 E Street NE Air Strip 3,400 2301 E Street NE Total Existing Inventory 401 3,400 Proposed Capacity Projects: 2020 Land Acquisition 30 2301 E Street NE 2018 Runway Extension - 441 2301 E Street NE Total Proposed Capacity Projects 30 441 2024 Projected Inventory Total 431 3,841 CAPACITY City of Auburn Capital Facilities Plan 232 TABLE A-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING AIRPORT 2019 2020 2021 2022 2023 2024 Total Capacity Projects: None - Page Non-Capacity Projects: 234 Runway Enhancements Capital Costs 1,833,400 - - - - - 1,833,400 Funding Sources: Airport Fund 91,700 - - - - - 91,700 Grants 1,741,700 - - - - - 1,741,700 235 Jet A Fueling Facility Capital Costs - 50,000 350,000 - - - 400,000 Funding Sources: Airport Fund - 50,000 - - - - 50,000 Other - - 350,000 - - - 350,000 Grants - - - - - - - 236 Annual Repair and Maintenance of Airport Facilities Capital Costs 100,000 100,000 100,000 250,000 500,000 100,000 1,150,000 Funding Sources: Airport Fund 100,000 100,000 100,000 250,000 500,000 100,000 1,150,000 Grants - - - - - - - 237 Automated Weather Observation System Capital Costs - - - - - 166,700 166,700 Funding Sources: Airport Fund - - - - - 8,400 8,400 Grants - - - - - 158,300 158,300 238 Airport Security Camera & Gate Access Upgrades Capital Costs 70,000 - - - - - 70,000 Funding Sources: Airport Fund 70,000 - - - - - 70,000 Grant - - - - - - - 239 Precision Approach Path Indicator (PAPI) for Runway Capital Costs - - - 168,000 - - 168,000 Funding Sources: Airport Fund - - - 168,000 - - 168,000 Grants - - - - - - - 240 Land Acquisition for Future Approaches Capital Costs - - - 3,666,700 - - 3,666,700 Funding Sources: Airport Fund - - - 183,400 - - 183,400 Grants - - - 3,483,300 - - 3,483,300 241 Runway Safety Area Improvements Capital Costs - 500,000 - - - - 500,000 Funding Sources: Airport Fund - 25,000 - - - - 25,000 Grants - 475,000 - - - - 475,000 242 West Side Fencing Capital Costs - 52,900 - - - - 52,900 Funding Sources: Airport Fund - 2,700 - - - - 2,700 Grants - 50,200 - - - - 50,200 City of Auburn Capital Facilities Plan 233 TABLE A-2 (continued) 2019 2020 2021 2022 2023 2024 Total Non-Capacity Projects: 243 Hangar Replacement Program Capital Costs 50,000 50,000 2,750,000 75,000 75,000 3,000,000 6,000,000 Funding Sources: Airport Fund 50,000 50,000 - 75,000 75,000 - 250,000 Bond Proceeds - - 2,750,000 - - - 2,750,000 Other Agencies - - - - - 3,000,000 3,000,000 244 West Side Preliminary Environmental Permitting Capital Costs 50,000 - - - - - 50,000 Funding Sources: Airport Fund 50,000 - - - - - 50,000 Grants - - - - - - - SUMMARY: CAPITAL COSTS Capacity Projects - - - - - - - Non-Capacity Projects 2,103,400 752,900 3,200,000 4,159,700 575,000 3,266,700 14,057,700 Total Costs 2,103,400 752,900 3,200,000 4,159,700 575,000 3,266,700 14,057,700 FUNDING SOURCES: Airport Fund 361,700 227,700 100,000 676,400 575,000 108,400 2,049,200 Other Agencies - - 350,000 - - 3,000,000 3,350,000 Bond Proceeds - - 2,750,000 - - - 2,750,000 Grants (Fed,State,Local)1,741,700 525,200 - 3,483,300 - 158,300 5,908,500 Total Funding 2,103,400 752,900 3,200,000 4,159,700 575,000 3,266,700 14,057,700 City of Auburn Capital Facilities Plan 234 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Runway Enhancements Project No:cp1516 Project Type:Non-Capacity Project Manager:Seth Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue 13,285 19,300 91,700 - 124,285 Federal - Non-Primary Entitlement 13,992 286,000 150,000 - 449,992 Federal Grant -Secured 215,027 - - - 215,027 Federal Grant -Unsecured - - 1,500,000 - 1,500,000 State Grant -Secured 12,161 - - - 12,161 State Grant -Unsecured - 16,700 91,700 - 108,400 254,465 322,000 1,833,400 - 2,409,865 Capital Expenditures: Design 15,547 322,000 - - 337,547 Environmental Assessment 238,918 - - - 238,918 Construction - - 1,833,400 - 1,833,400 254,465 322,000 1,833,400 - 2,409,865 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - - 91,700 Federal - Non-Primary Entitlement - - - - 150,000 Federal Grant -Unsecured - - - - 1,500,000 State Grant -Unsecured - - - - 91,700 - - - - 1,833,400 Capital Expenditures: Design - - - - - Environmental Assessment - - - - - Construction - - - - 1,833,400 - - - - 1,833,400 Grants / Other Sources:Federal Aviation Administration and Washington State Department of Transportation Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Enhance Runway 16/34 per Airport Layout Plan & Master Plan Update for increased safety and utilization. This also includes the As-built AGIS Survey that is required following the runway construction. Progress Summary: Environmental Assessment is complete. Design planned for Federal FY 2017 and construction is anticipated to begin in Federal FY 2018. Budget has been adjusted to account for the anticipated funding plan identified by FAA for Design and Construction of the project per their letter of April 17, 2017. Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 235 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Jet A Fueling Facility Project No:apbd04 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - - 50,000 Other -Unsecured - - - - - State Grant -Unsecured - - - - - - - - 50,000 - Capital Expenditures: Design - - - 50,000 - Right of Way - - - - - Construction - - - - - - - - 50,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - - 50,000 Other -Unsecured 350,000 - - - 350,000 State Grant -Unsecured - - - - - 350,000 - - - 400,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction 350,000 - - - 350,000 350,000 - - - 400,000 Construct any necessary site improvements to accommodate a temporary 2,000 gallon fueling truck for Jet A fuel on site in 2018. Design and Construct a permanent 12,000 gallon Fuel Tank for Jet A service at Airport in 2020 and 2021 after the runway extension is complete and demand for Jet A fuel is established. Progress Summary: Future Impact on Operating Budget: On-going operational costs will be minimal as the estimated $5,000/month expenses will be offset by fuel sale revenues. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 236 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Annual Repair and Maintenance of Airport Facilities Project No:apbd05 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - 20,000 100,000 100,000 120,000 Grants (Fed,State,Local)- - - - - Other - - - - - - 20,000 100,000 100,000 120,000 Capital Expenditures: Design - - 20,000 20,000 20,000 Right of Way - - - - - Construction - 20,000 80,000 80,000 100,000 - 20,000 100,000 100,000 120,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue 100,000 250,000 500,000 100,000 1,150,000 Grants (Fed,State,Local)- - - - - Other - - - - - 100,000 250,000 500,000 100,000 1,150,000 Capital Expenditures: Design 20,000 50,000 100,000 20,000 230,000 Right of Way - - - - - Construction 80,000 200,000 400,000 80,000 920,000 100,000 250,000 500,000 100,000 1,150,000 Due to the current conditions of the Facilities at the Airport, this program provides for necessary maintenance and repair work such as slab sealing, roof replacement, hangar beam replacement, painting, electrical repairs, etc. for buildings identified in the 2018 Facility Condition Assessment as being in "Fair" to "Good" condition. Repair and maintenance of these facilities will help prolong the service life of these buildings. Progress Summary: Program began in 2017. In 2018, a Facilities Condition Assessment was completed. Future Impact on Operating Budget: This project will decrease the need for more costly repairs and maintenance on older buildings. Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 237 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Automated Weather Observation System Project No:cpxxxx Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - - - - Federal - Non-Primary Entitlements - - - - - State Grant -Unsecured - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - 8,400 8,400 Federal - Non-Primary Entitlements - - - 150,000 150,000 State Grant -Unsecured - - - 8,300 8,300 - - - 166,700 166,700 Capital Expenditures: Design - - - 111,100 111,100 Right of Way - - - - - Construction - - - 55,600 55,600 - - - 166,700 166,700 Grants / Other Sources:Federal Aviation Administration and Washington State Department of Transportation Install weather reporting equipment for instrument approach. Progress Summary: This project is dependent on grant funding which has been delayed in order to complete the Runway Enhancement project per FAA requirements. Future Impact on Operating Budget: $2,000 annually for on-going maintenance and repair Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 238 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Airport Security Camera & Gate Access Upgrades Project No:apbd07 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - 70,000 - 70,000 Federal Grant -Unsecured - - - - - State Grant -Unsecured - - - - - - - 70,000 - 70,000 Capital Expenditures: Design - - 10,500 - 10,500 Right of Way - - - - - Construction - - 59,500 - 59,500 - - 70,000 - 70,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - - 70,000 Federal Grant -Unsecured - - - - - State Grant -Unsecured - - - - - - - - - 70,000 Capital Expenditures: Design - - - - 10,500 Right of Way - - - - - Construction - - - - 59,500 - - - - 70,000 Increased security identified by the Federal Aviation Administration and the Transportation Security Administration for Airport control access gates (both vehicle and personnel). This project will install security cameras and replace the obsolete gate operator access control units. The proposed system will include cards and keypad operation with both inbound and outbound tracking of the authorized tenant/guest. Personnel gates will also have the same system. Progress Summary: Future Impact on Operating Budget: Estimated to be $2,000 annually to conduct maintenance and repair activities as needed. Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: City of Auburn Capital Facilities Plan 239 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Precision Approach Path Indicator (PAPI) for Runway Project No:cpxxxx Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - - - - Federal Grant -Unsecured - - - - - State Grant -Unsecured - - - - - - - - - - Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - - - - - - - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - 168,000 - 168,000 Federal - Non-Primary Entitlement - - - - Federal Grant -Unsecured - - - - - State Grant -Unsecured - - - - - - 168,000 - - 168,000 Capital Expenditures: Design - 33,600 - - 33,600 Right of Way - - - - Construction - 134,400 - - 134,400 - 168,000 - - 168,000 Install Precision Approach Path Indicator (PAPI) for Runway to replace aging Visual Approach Slope Indicator (VASI) system. Progress Summary: Future Impact on Operating Budget: $2,000 annually for on-going maintenance and repair Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 240 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Land Acquisition for Future Approaches Project No:ms1811, cpxxxx Project Type: Project Manager:Seth Wickstrom Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - 27,800 - - 27,800 Federal - Non-Primary Entitlement - - - - - Federal Grant -Unsecured - 500,000 - - 500,000 State Grant -Unsecured - 27,800 - 27,800 - 555,600 - - 555,600 Capital Expenditures: Design - - - - - Acquisition - 555,600 555,600 Construction - - - - - - 555,600 - - 555,600 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - 183,400 - - 183,400 Federal - Non-Primary Entitlement - 300,000 - - 300,000 Federal Grant -Unsecured - 3,000,000 - - 3,000,000 State Grant -Unsecured - 183,300 - - 183,300 - 3,666,700 - - 3,666,700 Capital Expenditures: Design - - - - - Acquisition - 3,666,700 - 3,666,700 Construction - - - - - - 3,666,700 - - 3,666,700 Grants / Other Sources:Federal Aviation Administration and Washington State Department of Transportation Non-Capacity Acquire a portion of land at the current Park and Ride for addressing the Runway Safety Area (RSA) and acquire the remainder of the Park and Ride for addressing the Runway Protection Zone (RPZ). Progress Summary: Per discussions with FAA, the acquisition for the RSA was moved from 2021 to 2018 and the acquisition for the RPZ area was added to 2021. Budget has been adjusted to account for the anticipated funding plan identified by FAA for Design and Construction of the project per their letter of April 17, 2017. Future Impact on Operating Budget: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: None Total Funding Sources: City of Auburn Capital Facilities Plan 241 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Runway Safety Area Improvements Project No:apbd08 Project Type: Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2017 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - - 25,000 - Federal - Non-Primary Entitlement - - - 150,000 - Federal Grant -Unsecured - - - 300,000 - State Grant -Unsecured - - - 25,000 - - - - 500,000 - Capital Expenditures: Design - - - 125,000 - Right of Way - - - - - Construction - - - 375,000 - - - - 500,000 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - - 25,000 Federal - Non-Primary Entitlement - - - - 150,000 Federal Grant -Unsecured - - - - 300,000 State Grant -Unsecured - - - - 25,000 - - - 500,000 Capital Expenditures: Design - - - - 125,000 Right of Way - - - - - Construction - - - - 375,000 - - - - 500,000 Grants / Other Sources: Total Expenditures: Non-Capacity Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project will complete necessary improvements to the property purchased from the Park and Ride to be in compliance with the FAA requirements for the Runway Safety Area. Progress Summary: Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 242 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: West Side Fencing Project No:apbd09 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - - 2,700 - Federal Grant -Unsecured - - - 47,600 - State Grant -Unsecured - - - 2,600 - - - - 52,900 - Capital Expenditures: Design - - - 5,300 - Right of Way - - - - - Construction - - - 47,600 - - - - 52,900 - Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue - - - - 2,700 Federal Grant -Unsecured - - - - 47,600 State Grant -Unsecured - - - - 2,600 - - - - 52,900 Capital Expenditures: Design - - - - 5,300 Right of Way - - - - - Construction - - - - 47,600 - - - - 52,900 Install fence on west side of property to complete perimeter security fencing and help control wildlife on the airport. Progress Summary: Future Impact on Operating Budget: Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: City of Auburn Capital Facilities Plan 243 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Hangar Replacement Program Project No:apbd10 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - 50,000 50,000 50,000 Bond Revenue - - - - - Grants (Fed,State,Local)- - - - - Other (Public/Private Partnership)- - - - - - - 50,000 50,000 50,000 Capital Expenditures: Design - - 50,000 50,000 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 50,000 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue 75,000 75,000 250,000 Bond Revenue 2,750,000 - - 2,750,000 Grants (Fed,State,Local)- - - - - Other (Public/Private Partnership)- - - 3,000,000 3,000,000 2,750,000 75,000 75,000 3,000,000 6,000,000 Capital Expenditures: Design 75,000 75,000 250,000 Right of Way - - - - - Construction 2,750,000 - 3,000,000 5,750,000 2,750,000 75,000 75,000 3,000,000 6,000,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Due to the current conditions of the hangar facilities at the Airport, this program will replace hangar facilities as they reach the end of their service life. A Facility Condition Assessment was completed in 2018 which determined several hangar buildings were nearing the end of their service life. For planning purposes, it is assumed that the hangar replacements may occur over up to 3 separate design and construction phases. Progress Summary: Future Impact on Operating Budget: This project will decrease the need for more costly repairs and maintenance on older buildings. City of Auburn Capital Facilities Plan 244 AIRPORT FUND (465)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: West Side Preliminary Environmental Permitting Project No:apbd11 Project Type:Non-Capacity Project Manager:Ingrid Gaub Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Airport Revenue - - 50,000 50,000 Grants (Fed,State,Local)- - - - - Other - - - - - - - 50,000 - 50,000 Capital Expenditures: Design - - 50,000 - 50,000 Right of Way - - - - - Construction - - - - - - - 50,000 - 50,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Airport Revenue 50,000 Grants (Fed,State,Local)- - - - - Other - - - - - - - - - 50,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction - - - - - - - - - 50,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project will conduct an analysis of the expected environmental permitting requirements associated with the potential development of the undeveloped areas along the west side of the airport. Progress Summary: Future Impact on Operating Budget: None. City of Auburn Capital Facilities Plan 245 TABLE A-3 Impact on Future Operating Budgets AIRPORT Project:2020 2021 2022 2023 2024 2025 Total 1 Automated Weather Observation System -$ -$ -$ -$ -$ 2,000$ 2,000$ 2 Airport Security Camera & Gate Access Upgrades 2,000 2,000 2,000 2,000 2,000 2,000 12,000 3 Precision Approach Path Indicator (PAPI) for Runway - - - 2,000 2,000 2,000 6,000 Total 2,000$ 2,000$ 2,000$ 4,000$ 4,000$ 6,000$ 20,000$ City of Auburn Capital Facilities Plan 246 City of Auburn Capital Facilities Plan 247 CEMETERY Current Facilities The City owns two cemeteries. The Mountain View Cemetery is a fully developed facility (60 acres and five buildings) that provides burial services and related merchandise for the community. The Pioneer Cemetery is a historic cemetery that is no longer used for burial purposes. Table C-1 “Facilities Inventory” lists the facilities along with their current capacity and location. Level of Service (LOS) The current LOS of 37 burial plots/niches and cremation in ground plots per 1,000 population is based on the existing inventory divided by the estimated 2019 citywide population of 81,905. The proposed LOS of 35 burial and plots/niches and cremation in ground plots per 1,000 population is based on the projected inventory divided by the 2024-projected citywide population of 88,670. Capital Facilities Projects and Financing The City’s Mountain View Cemetery facilities include two capital projects at cost of $738,000 to build a new mausoleum and to improve the cemetery roads. Table C-2 shows the proposed financing plan followed by individual worksheets showing the project detail. Impact on Future Operating Budgets There are no operating budget impacts forecast for the cemetery during the six years 2020 – 2025. TABLE C-1 Facilities Inventory Cemetery CAPACITY FACILITY # of Plots/Niches LOCATION Existing Inventory: Mountain View Cemetery 3,043 2020 Mountain View Dr. Pioneer Cemetery - 8th & Auburn Way No. Total Existing Inventory 3,043 Proposed Capacity Projects: New Development - Burial Plots 96 Total Proposed Capacity Projects 96 2024 Projected Inventory Total 3,139 City of Auburn Capital Facilities Plan 248 TABLE C-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING CEMETERY 2019 2020 2021 2022 2023 2024 Total Page Capacity Projects: 249 Mausoleum Building Capital Costs 25,000 25,000 - 355,000 - - 405,000 Funding Sources: Cemetery Fund 25,000 25,000 - 355,000 - - 405,000 Cemetery Endowed Care - - - - - - - Non Capacity Projects: 250 Cemetery Road Improvements Capital Costs 333,000 - - - - - 333,000 Funding Sources: Cemetery Fund 300,000 - - - - - 300,000 Cemetery Endowed Care 33,000 - - - - - 33,000 SUMMARY: CAPITAL COSTS Capacity Projects 25,000 25,000 - 355,000 - - 405,000 Non-Capacity Projects 333,000 - - - - - 333,000 Total Costs 358,000 25,000 - 355,000 - - 738,000 FUNDING SOURCES: Cemetery Fund 325,000 25,000 - 355,000 - - 705,000 Cemetery Endowed Care 33,000 - - - - - 33,000 Total Funding 358,000 25,000 - 355,000 - - 738,000 City of Auburn Capital Facilities Plan 249 CEMETERY FUND (466)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Mausoleum Building Project No:cp1831 Project Type:Capacity Project Manager:Craig Hudson Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Cemetery Revenue - - 25,000 25,000 25,000 Bond Proceeds - - - - - Cemetery Endowed Care - - - - - - - 25,000 25,000 25,000 Capital Expenditures: Design - - 25,000 25,000 25,000 Right of Way - - - - - Construction - - - - - - - 25,000 25,000 25,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Cemetery Revenue - 355,000 - - 405,000 Bond Proceeds - - - - - Cemetery Endowed Care - - - - - - 355,000 - - 405,000 Capital Expenditures: Design - - - - 50,000 Right of Way - - - - - Construction - 355,000 - - 355,000 - 355,000 - - 405,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: This project will design and construct a 96 crypt mausoleum for above ground internment option. The public has expressed desire to have this option available as the current mausoleum is at capacity. Progress Summary: Project design is planned to be completed in 2020 and construction to begin in 2022. Future Impact on Operating Budget: City of Auburn Capital Facilities Plan 250 CEMETERY FUND (466)Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Enterprise Funds Project Title: Cemetery Road Improvements Project No:cp1826 Project Type:Non Capacity Project Manager:Craig Hudson Description: Activity: 2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Unrestricted Cemetery Revenue - - 300,000 - 300,000 Grants - - - - - Bond Proceeds - - - - - Other/Endowed Care - 30,000 33,000 - 63,000 - 30,000 333,000 - 363,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - 30,000 333,000 - 363,000 - 30,000 333,000 - 363,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Unrestricted Cemetery Revenue - - - - 300,000 Grants - - - - - Bond Proceeds - - - - - Other/Endowed Care - - - - 33,000 - - - - 333,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction - - - - 333,000 - - - - 333,000 Total Expenditures: Total Funding Sources: Total Expenditures: Forecasted Project Cost: Total Funding Sources: Repair and overlay cemetery roads that are in poor condition. Progress Summary: Anticipated that this work will be completed in 2019. Future Impact on Operating Budget: None City of Auburn Capital Facilities Plan 251 FIRE PROTECTION Current Facilities The Valley Regional Fire Authority provides fire protection and rescue services to a 40-square mile area which includes the City of Auburn, the City of Algona, the City of Pacific and King County Fire Protection District 31. The Valley Regional Fire Authority operates out of five stations, which are manned 24 hours per day. The North Station #31 also serves as the department headquarters and includes a hose and training tower. Each station is assigned fire apparatus (Engines and Aid Vehicles). Table F–1 “Facilities Inventory” lists the facilities along with their current capacity and location. Level of Service (LOS) The current LOS of 0.21 fire apparatus per 1,000 population is based on the existing inventory (17 fire apparatus) divided by the 2019 citywide population estimate of 81,905. The proposed LOS of 0.20 fire apparatus per 1,000 is based on the 2024-planned inventory (18 fire apparatus) divided by the 2024-projected citywide population of 88,670. Capital Facilities Projects and Financing The Valley Regional Fire Authority includes one capital project at a cost of $450,000 for fire apparatus enhancements and improvements. Table F-2 shows the proposed financing plan followed by an individual worksheet showing the project detail. Impact on Future Operating Budgets There are no operating budget impacts forecasted for fire protection during the six years 2020 – 2025. City of Auburn Capital Facilities Plan 252 TABLE F-1 Facilities Inventory Valley Regional Fire Authority FACILITY Fire Apparatus Aid Vehicles LOCATION Existing Inventory: Stations: North Station #31 1101 'D' Street NE, Auburn First Line 2 1 Reserve - 1 South Station #32 1951 'R' Street SE, Auburn First Line 1 1 Reserve 1 1 Lakeland Station #33 500 182nd Ave E, Auburn First Line 1 - Reserve 1 - Lea Hill Station #34 31290 124th Ave SE, Auburn First Line 1 - Brush Truck 1 - Reserve 1 - GSA Station #35 2815 C St SW, Auburn Reserve 1 1 Pacific Station #38 133 3rd Ave SE, Pacific First Line 1 - Reserve 1 - Total Existing Inventory 12 5 Proposed Inventory Additions: First Line 1 - Total Proposed Capacity Projects 1 - 2021 Projected Inventory Total 13 5 CAPACITY City of Auburn Capital Facilities Plan 253 TABLE F-2 CAPITAL FACILITIES PLAN PROJECTS AND FINANCING VALLEY REGIONAL FIRE AUTHORITY 2019 2020 2021 2022 2023 2024 Total Capacity Projects: 1 Fire Station Facility Relocation, Enhancements & Improvements Capital Costs 75,000 75,000 75,000 75,000 75,000 75,000 450,000 Funding Sources: Grants - - - - - - - Bond Proceeds - - - - - - - Impact/Mitigation Fees 75,000 75,000 75,000 75,000 75,000 75,000 450,000 SUMMARY: CAPITAL COSTS Capacity Projects - - - - - - - Non-Capacity Projects 75,000 75,000 75,000 75,000 75,000 75,000 450,000 Total Costs 75,000 75,000 75,000 75,000 75,000 75,000 450,000 FUNDING SOURCES: Grants (Fed,State,Local)- - - - - - - Impact/Mitigation Fees 75,000 75,000 75,000 75,000 75,000 75,000 450,000 Total Funding 75,000 75,000 75,000 75,000 75,000 75,000 450,000 City of Auburn Capital Facilities Plan 254 Valley Regional Fire Authority Capital Facilities Plan Six Year Capital Facilities Plan, 2019-2024 Project Title: Fire Station Facility Relocation, Enhancements & Improvements Project No:cpxxxx Project Type:Capacity Project Manager:Mark Horaski Description: Activity: (Previous 2 Yrs.)2018 YE 2019 Year End Funding Sources:Prior to 2018 Estimate 2019 Budget 2020 Budget Project Total Grants - - - - - Bond Proceeds - - - - - Impact/Mitigation Fees 800,000 50,000 75,000 75,000 925,000 800,000 50,000 75,000 75,000 925,000 Capital Expenditures: Design - - - - - Right of Way - - - - - Construction 800,000 50,000 75,000 75,000 925,000 800,000 50,000 75,000 75,000 925,000 Total 2021 2022 2023 2024 2019-2024 Funding Sources: Grants - - - - - Bond Proceeds - - - - - Impact/Mitigation Fees 75,000 75,000 75,000 75,000 450,000 75,000 75,000 75,000 75,000 450,000 Capital Expenditures:- Design - - - - - Right of Way - - - - - Construction 75,000 75,000 75,000 75,000 450,000 75,000 75,000 75,000 75,000 450,000 Facility Improvement projects are identified and prioritized annually and are subject to delay to accommodate emergency repairs. The Valley Regional Fire Authority includes one project for apparatus enhancements and improvements. Progress Summary: Fire mitigation and impact fees will be transferred to the Valley Regional Fire Authority to pay for apparatus enhancements and improvements. Future Impact on Operating Budget: Total Funding Sources: Total Expenditures: Total Expenditures: Total Funding Sources: Forecasted Project Cost: None