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HomeMy WebLinkAbout2016/06/16 - Agenda Packet - Adj Specialj city Of
LANC:HU CUCAMONGA
AGENDA
CITY COUNCIL AND FIRE PROTECTION DISTRICT
ADJOURNED SPECIAL MEETING
Thursday, June 16, 2016 -4:30 p.m.
City Hall -City Council Chambers
10500 Civic Center Drive -Rancho Cucamonga, CA 91730
A. CALL TO ORDER:
Al. Pledge of Allegiance
A2. Roll Call: Mayor Michael
Mayor Pro Tem Spagnolo
Council Members Alexander, Kennedy and Williams
B. COMMUNICATION FROM THE PUBLIC:
This is the time and place for the general public to address the Fire Protection District and City Council on
any item listed on the agenda. State law prohibits the Fire Board or City Council from addressing any issue
not previously included on the Agenda. The Fire Board or City Council may receive testimony and set the
matter for a subsequent meeting. Comments are to be limited to five minutes per individual or less, as
deemed necessary by the Mayor, depending upon the number of individuals desiring to speak. All
communications are to be addressed directly to the Mayor and not to the members of the audience. This is
a professional business meeting and courtesy and decorum are expected. Please refrain from any debate
between audience and speaker, making loud noises, or engaging in any activity which might be disruptive
to the decorum of the meeting.
Adjourned Special Meeting
Thursday, June 16, 2016 -4:30 p.m.
City Hall -City Council Chambers
-- CONTINUED --
FIRE PROTECTION DISTRICT AND
CITY COUNCIL ADJOURNED
SPECIAL MEETING AGENDA
JUNE 16, 2016
3:30 P.M. - CITY COUNCIL CHAMBERS
2
CONSENT CALENDARS:
The following Consent Calendar items are expected to be routine and non -controversial. They
will be acted upon by the Fire Board/City Council at one time without discussion. Any item may
be removed by a Fire Board/ Council Member for discussion.
C. CONSENT CALENDAR - FIRE PROTECTION DISTRICT
C1. Consideration to approve the following be in compliance with Governmental Accounting
1
Standards Board (GASB) Statement No. 54: 1) Updated Fund Balance Policy and 2) a
Resolution committing to the level of fiscal reserves for the Rancho Cucamonga Fire Protection
District.
RESOLUTION NO. FD 16-021
8
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, COMMITTING TO THE
LEVEL OF FISCAL RESERVES FOR THE RANCHO CUCAMONGA
FIRE PROTECTION DISTRICT.
C2. Consideration to authorize the City Manager to complete the initial funding of the PARS Section
115 Public Agencies Post -Employment Benefits Trust for the City of Rancho Cucamonga and
10
the Rancho Cucamonga Fire Protection District in the amounts of $1.774 million and $3.824
million, respectively; and to authorize appropriations in the amounts of $1.774 million,
$3,134,745, and $689,255 into account numbers 1001002-5091, 3281501-5091, and 3282501-
5091, respectively.
D. CONSENT CALENDAR - CITY COUNCIL
D1. Approval of the following to be in compliance with Governmental Accounting Standards Board
11
(GASB) Statement No. 54: 1) Updated Fund Balance Policy and 2) a Resolution committing
to the level of fiscal reserves for the City of Rancho Cucamonga.
RESOLUTION NO. 16-068
18
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA COMMITTING TO THE
LEVEL OF FISCAL RESERVES FOR THE CITY OF RANCHO
CUCAMONGA
D2. Consideration to approve the updated City General Fund Reserve Funding Goals Policy.
20
D3. Consideration to authorize the City Manager to complete the initial funding of the PARS
26
Section 115 Public Agencies Post -Employment Benefits Trust for the City of Rancho
Cucamonga and the Rancho Cucamonga Fire Protection District in the amounts of $1.774
million and $3.824 million, respectively; and to authorize appropriations in the amounts of
$1.774 million, $3,134,745, and $689,255 into account numbers 1001002-5091, 3281501-
5091, and 3282501-5091, respectively.
FIRE PROTECTION DISTRICT AND
CITY COUNCIL ADJOURNED
SPECIAL MEETING AGENDA
JUNE 16, 2016
3:30 P.M. - CITY COUNCIL CHAMBERS
K3
D4.
Consideration to approve the Capital Improvement Program (CIP) for Fiscal Year 2016/2017.
27
E. CITY MANAGER'S STAFF REPORTS
FIRE DISTRICT
The following items have no legal publication or posting requirements.
E1.
Consideration to adopt the Rancho Cucamonga Fire Protection District General Fund
185
Preliminary Budget in the amount of $50,193,240, which is a combination of $25,246,510 in
General Fund Operational Expenditures, $360 in Fire Technology Fee Fund Expenditures,
and $24,946,370 in Capital Reserve Expenditures, primarily for an All -Risk Training Facility;
adopt the Appropriations Limit in the amount of $35,902,210 for Fiscal Year 2016/2017; and
set approval of a final budget for July 20, 2016 Board Meeting.
RESOLUTION NO. FD 16-020
187
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, ADOPTING A GENERAL
FUND APPROPRIATIONS LIMIT FOR FISCAL YEAR 2016/17
PURSUANT TO ARTICLE XIIIB OF THE CALIFORNIA
CONSTITUTION
E2.
Consideration to approve adopting a budget in the amount of $5,807,160 and approving the
189
Appropriations Limit in the amount of $13,676,179 for Fiscal Year 2016/17 in Communities
Facilities District (CFD) No. 85-1.
RESOLUTION NO. FD 16-016
191
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, ADOPTING AN
APPROPRIATIONS LIMIT FOR MELLO-ROOS COMMUNITY
FACILITIES DISTRICT NO. 85-1 FOR FISCAL YEAR 2016/17
PURSUANT TO ARTICLE XIIIB OF THE CALIFORNIA
CONSTITUTION
RESOLUTION NO. FD 16-017
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
193
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, APPROVING AND
ADOPTING A BUDGET FOR MELLO-ROOS COMMUNITY
FACILITIES DISTRICT NO. 85-1 FOR FISCAL YEAR 2016/17
E3.
Consideration to approve adopting a budget in the amount of $2,189,090 and approving the
195
Appropriations Limit in the amount of $3,365,885 for Fiscal Year 2016/17 in Community
Facilities District No. 88-1.
FIRE PROTECTION DISTRICT AND
CITY COUNCIL ADJOURNED
SPECIAL MEETING AGENDA
L
arenivl-t0 �CAMDNCA JUNE 16, 2016
3:30 P.M. - CITY COUNCIL CHAMBERS
0
RESOLUTION NO. FD 16-018
197
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE RANCHO
CUCAMONGA FIRE PROTECTION DISTRICT, SAN BERNARDINO
COUNTY, CALIFORNIA, ADOPTING AN APPROPRIATIONS LIMIT FOR
COMMUNITY FACILITIES DISTRICT NO. 88-1 FOR FISCAL YEAR
2016/17 PURSUANT TO ARTICLE XIIIB OF THE CALIFORNIA
CONSTITUTION
RESOLUTION NO. FD 16-019
199
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, CITY OF
RANCHO CUCAMONGA, COUNTY OF SAN BERNARDINO, STATE
OF CALIFORNIA, APPROVING AND ADOPTING A BUDGET FOR
COMMUNITY FACILITIES DISTRICT NO. 88-1 FOR FISCAL YEAR
2016/17
F. CITY MANAGER'S STAFF REPORTS
CITY COUNCIL
The following items have no legal publication or posting requirements.
F1. Consideration to adopt the Fiscal Year 2016/17 Budget and Article XIIIB Appropriations Limit.
201
RESOLUTION NO. 16-069
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
202
RANCHO CUCAMONGA, CALIFORNIA ADOPTING THE CITY'S
FISCAL YEAR 2016/17 BUDGET
RESOLUTION NO. 16-070
204
A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA ESTABLISHING AN
APPROPRIATIONS LIMIT PURSUANT TO ARTICLE XIIIB OF THE
CALIFORNIA STATE CONSTITUTION FOR FISCAL YEAR 2016/17
G. ADJOURNMENT
CERTIFICATION
I, Linda A. Troyan, MMC, City Clerk Services Director of the City of Rancho Cucamonga, or
my designee, hereby certify under penalty of perjury that a true, accurate copy of the
foregoing agenda was posted on June 13, 2016 seventy-two (72) hours prior to the meeting
per Government Code 54954.2 at 10500 Civic Center Drive, Rancho Cucamonga, California,
and on the City's website.
inda A. Troyan, MMC
City Clerk Services Director
City of Rancho Cucamonga
P1
STAFF REPORT
ADMINISTRATIVE SERVICES GROUP
RANCHO
Date: June 16, 2016 CUCAMONGA
To: President and Members of the Board of Directors
John R. Gillison, City Manager
From: Tamara L. Layne, Finance Director
Subject: APPROVAL OF THE FOLLOWING TO BE IN COMPLIANCE WITH GOVERNMENTAL
ACCOUNTING STANDARDS BOARD (GASB) STATEMENT NO. 54: 1) UPDATED
FUND BALANCE POLICY AND 2) A RESOLUTION COMMITTING TO THE LEVEL OF
FISCAL RESERVES FOR THE RANCHO CUCAMONGA FIRE PROTECTION
DISTRICT
RECOMMENDATION
Staff recommends that the Fire Board approve the following to be in compliance with Governmental
Accounting Standards Board (GASB) Statement No. 54: 1) Updated Fund Balance Policy and 2) a
resolution committing to the level of fiscal reserves for the Rancho Cucamonga Fire Protection
District.
BACKGROUND
On a regular basis, the Governmental Accounting Standards Board (GASB) adopts new policies and
procedures that apply to public entities. In February 2009, GASB issued Statement No. 54 which
applies to Fund Balance Reporting and Governmental Fund Type Definitions (GASB 54). In order to
be in compliance with GASB 54, the Fire District approved a Fund Balance Policy on June 15, 2011
and approved a resolution committing to the level of reserves for the Rancho Cucamonga Fire
Protection District.
In order to accommodate any changes to these commitments that may become necessary due to
changes in operations or changes in City Council goals, staff annually brings this policy and resolution
before the Board for approval at the end of each fiscal year. The following updates (City- and District -
related) have been made to the policy:
The funding goal for the fund balance committed for Changes in Economic Circumstances
was increased from a six month reserve, or 50%, of the operating budgets for the City and
the Fire District, to a nine month reserve, or 75%, of the operating budgets. Additionally, the
number of City Council or Fire Board members required to change the amount of this
commitment and/or the specific uses of these monies was increased from three to four
members.
• The City's General Fund balance committed for "Self -Insurance" was increased from seven
times the annual Self Insured Retention (SIR) in each program (Worker's Compensation,
General Liability, and Employment Practices Liability) to eight times the annual SIR.
Additionally, a similar commitment was established for the Fire District's fund balance.
Nfinancelbudget20171City Council staff reportslGASB54-Fire District 2016-17.doc
3�:
APPROVAL OF THE FOLLOWING TO BE IN COMPLIANCE WITH GOVERNMENTAL PAGli 2
ACCOUNTING STANDARDS BOARD (GASB) STATEMENT NO. 54: 1) UPDATED FUND
BALANCE POLICY AND 2) A RESOLUTION COMMITTING TO THE LEVEL OF FISCAL
RESERVES FOR THE RANCHO CUCAMONGA FIRE PROTECTION DIST
JUNE 16, 2016
• A new commitment was established for the Fire District's "PASTS Worker's Compensation
Tail Claims" remaining after the District's withdrawal from PASIS with a funding goal equal
to the most recent fiscal year end Claims Cost Detail Report from the District's third -party
administrator plus 15%.
• The fund balance committed for the "PERS rate stabilization" reserve was removed due to
the establishment of the PARS Section 115 Public Agencies Post -Employment Benefits
Trust which was authorized by Council at its May 4, 2016 City Council meeting.
• The City's General Fund balance committed for "Booking Fees" was combined with the "Law
Enforcement" commitment and the funding goal was increased from 50% to 100% of the
most recently approved Schedule A from the San Bernardino County Sheriff's Department.
• The City's General Fund balance assigned to "Economic and Community Development
Special Services" was expanded to include special services or projects.
The attached policy is presented to the Fire Board for review and approval. The attached resolution
formally establishes the Fire District's fund balance commitments for the fiscal year ending June 30,
2016.
Attachment: Resolution No. FD 16-021
Z
RANCHO
CUCAMONGA
PURPOSE
CITY OF RANCHO CUCAMONGA
RANCHO CUCAMONGA
FIRE PROTECTION DISTRICT
FUND BALANCE POLICY
POLICY NO.: _-_
PAGE 1 OF 5
EFFECTIVE: June 15, 2011
REVISED: June 16, 2016
APPROVED:
This Fund Balance Policy establishes the procedures for the reporting of unrestricted fund balance
in the City General Fund and Fire District financial statements. Certain commitments and
assignments of fund balance will help ensure that there will be adequate financial resources to
protect the City against unforeseen circumstances and events such as revenue shortfalls and
unanticipated expenditures. The policy also authorizes and directs the Finance Director to prepare
financial reports which accurately categorize fund balance as per Governmental Accounting
Standards Board (GASB) Statement No. 54, Fund Balance Reporting and Governmental Fund
Type Definitions.
GENERAL POLICY
Fund balance is essentially the difference between the assets and liabilities reported in a
governmental fund. There are five separate components of fund balance, each of which identifies
the extent to which the City/Fire District is bound to honor constraints on the specific purposes for
which amounts can be spent.
• Nonspendable fund balance (inherently nonspendable)
• Restricted fund balance (externally enforceable limitations on use)
• Committed fund balance (self-imposed limitations on use)
• Assigned fund balance (limitation resulting from intended use)
• Unassigned fund balance (residual net resources)
The first two components listed above are not addressed in this policy due to the nature of their
restrictions. An example of nonspendable fund balance is inventory. Restricted fund balance is
either imposed by law or constrained by grantors, contributors, or laws or regulations of other
governments. This policy is focused on financial reporting of unrestricted fund balance, or the last
three components listed above. These three components are further defined below.
ii!
Fund Balance Policy
Page 2 of 5
Committed Fund Balance
The City Council (which also acts as the Board of Directors for the Rancho Cucamonga Fire
Protection District), as the City's highest level of decision-making authority, may commit fund
balance for specific purposes pursuant to constraints imposed by formal actions taken, such as an
ordinance or resolution. These committed amounts cannot be used for any other purpose unless
the City Council/Fire Board removes or changes the specified use through the same type of formal
action taken to establish the commitment. City Council/Fire Board action to commit fund balance
needs to occur within the fiscal reporting period; however, the amount can be determined
subsequently.
• Changes in Economic Circumstances
The City's General Fund balance committed for changes in economic circumstances is
established at a goal of a nine month reserve, or 75% of the City General Fund operating
budget for the upcoming fiscal year. The Fire District's fund balance committed for
changes in economic circumstances is established at a goal of a nine month reserve, or
75% of the Fire District's operating budget for the upcoming fiscal year. The specific uses
of this commitment include: 1) the declaration of a state or federal state of emergency or
a local emergency as defined in Rancho Cucamonga Municipal Code Section 2.36.020; or
2) a change in economic circumstances in a given fiscal year that results in revenues to the
City/Fire District being insufficient to cover expenditures for one or more fiscal years. The
City Council/Fire Board may, by the affirming vote of four members, change the amount
of this commitment and/or the specific uses of these monies.
• City Facilities Capital Repair
The City's General Fund balance committed for City facilities capital repair and property
acquisition is established at a minimum goal of 50% of capital assets value comprised of
construction in progress (excluding infrastructure), building improvements, and
improvements other than building for governmental activities.
• Fire District Facilities Capital Repair
The Fire District's fund balance committed for the Fire District facilities capital repair is
hereby committed to a minimum goal of 50% of capital assets value comprised of
construction in progress (excluding infrastructure), building improvements, and
improvements other than building for public safety -fire activities.
• Working Capital
The City's General Fund balance committed for Working Capital is established at a goal
of a minimum of 5% of the City's General Fund operating budget for the upcoming fiscal
year. The Fire District's fund balance committed for Working Capital is established at a
goal of a minimum of 50% of the District's operating budget for the upcoming fiscal year.
P5
Fund Balance Policy
Page 3 of 5
• Self -Insurance
The City's General Fund balance and the Fire District's fund balance committed for
payment of Worker's Compensation, General Liability, and Employment Practices
Liability claims is established at a minimum goal of eight times the City's and the District's
total yearly SIRS for all types of insurance coverage.
• PASIS Worker's Compensation Tail Claims
The Fire District's fund balance committed for payment of outstanding Worker's
Compensation claims remaining after the District's withdrawal from PASIS is established
at a goal equal to the most recent fiscal year end Claims Cost Detail Report from the
District's third -party administrator plus 15%.
• Employee Leave Pam
The City's General Fund balance and the Fire District's fund balance committed for
employee leave payouts as valued in accordance with the City's labor contracts as of the
last day of the fiscal year.
• Vehicle and Equipment Replacement
The Fire District's fund balance committed for the replacement of fire safety vehicles and
equipment as determined based on the District's replacement criteria is established at a
minimum goal of 50% of District vehicle and equipment replacement value.
• Law Enforcement
The City's General Fund balance committed for public safety purposes, including
operations, equipment, capital outlay, personnel, and booking fees. The funding goal for
this reserve is the equivalent of 100% of the most recently approved Schedule A from the
San Bernardino County Sheriff's Department.
• Family ports Center Replacement
The City's General Fund balance committed for construction of the Family Sports Center
Replacement and for the future replacement and repair of major capital assets comprising
the new Family Sports Center. This reserve is established at a minimum goal of 105% of
the estimated construction cost of the Center.
W.
Fund Balance Policy
Page 4 of 5
Assigned Fund Balance
Amounts that are constrained by the City/Fire District's intent to be used for specific purposes, but
are neither restricted nor committed, should be reported as assigned fund balance. This policy
hereby delegates the authority to assign amounts to be used for specific purposes to the City
Manager and/or Finance Director for the purpose of reporting these amounts in the annual financial
statements. The following are a few non-exclusive examples of assigned fund balance.
• Economic and Community Development Special Services
The City's General Fund balance assigned for contracts, special services or projects
associated with Economic and Community Development (ECD) special projects or ECD
initiatives/Council goals (such as economic strategy and Development Code contract
services) as well as a one year value of staffing costs for Planning, Building and Safety,
and Engineering (not including capital and project management).
• Sphere of Influence Issues
Established to provide funds for a multi-year effort to analyze the physical constraints and
opportunities within the sphere area, provide required environmental analysis, and plan for
the eventual annexation of the remaining unincorporated areas within the City sphere of
influence. This reserve will also support the creation of a multi -species habitat conservation
plan as well as acquisition of habitat conservation land.
• Dispatch System Acquisition
The Fire District's fund balance committed to JPA membership for the District's current
dispatch system.
Unassigned Fund Balance
These are residual positive net resources of the General Fund and Fire District funds in excess of
what can properly be classified in one of the other four categories.
Fund Balance Classification
The accounting policies of the City/Fire District consider restricted fund balance to have been
spent first when an expenditure is incurred for purposes for which both restricted and unrestricted
fund balance is available. Similarly, when an expenditure is incurred for purposes for which
amounts in any of the unrestricted classifications of fund balance could be used, the City/Fire
District considers committed amounts to be reduced first, followed by assigned amounts and then
unassigned amounts.
WA
Fund Balance Policy
Page 5 of 5
This policy is in place to provide a measure of protection for the City/Fire District against
unforeseen circumstances and to comply with GASB Statement No. 54. No other policy or
procedure supersedes the authority and provisions of this policy.
RESOLUTION NO. FD 16-021
RESOLUTION OF THE BOARD OF DIRECTORS OF THE RANCHO CUCAMONGA FIRE
PROTECTION DISTRICT, SAN BERNARDINO COUNTY, CALIFORNIA COMMITTING TO
THE LEVEL OF FISCAL RESERVES FOR THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
WHEREAS, the Rancho Cucamonga Fire Protection District Board desires to
protect existing services, and;
WHEREAS, the Rancho Cucamonga Fire Protection District Board desires to be
prepared for emergencies, and;
WHEREAS, the Rancho Cucamonga Fire Protection District Board desires to
maintain good fiscal management and fiscal structure to operate a municipal corporation;
NOW, THEREFORE, the Board of Directors of the Rancho Cucamonga Fire
Protection District, San Bernardino, California does hereby resolve on this 16' day of June 2016
that the level of fiscal reserves maintained by the Rancho Cucamonga Fire Protection District as
of fiscal year end are committed to the goals as outlined in the District's Fund Balance policy,
attached to this resolution as Exhibit A.
PASSED, APPROVED, AND ADOPTED this 161h day of June 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Janice C. Reynolds, City Clerk
I, JANICE C. REYNOLDS, CITY CLERK of the City of Rancho Cucamonga,
California, do hereby certify that the foregoing Resolution was duly passed, approved
and adopted by the Board of Directors of the Rancho Cucamonga Fire Protection
District, San Bernardino County, California, at an adjourned meeting of said Board of
Directors held on the 16th day of June 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, City Clerk
is kfinancelhudget20171City Council staff reportslresolution committing to the level of fiscal reserves -Fire 16-17.doc
I
STAFF REPORT
ADMINISTR.-1TIVE SERVICES GROUP
Date: June 16, 2016
To: Mayor and Members of the City Council
President and Members of the Board of Directors
From: John R. Gillison, City Manager
By: Tamara L. Layne, Finance Director
Subject: CONSIDERATION TO AUTHORIZE THE CITY MANAGER TO COMPLETE THE
INITIAL FUNDING OF THE PARS SECTION 115 PUBLIC AGENCIES POST -
EMPLOYMENT BENEFITS TRUSTS FOR THE CITY OF RANCHO CUCAMONGA AND
THE RANCHO CUCAMONGA FIRE PROTECTION DISTRICT IN THE AMOUNTS OF
$1.774 MILLION AND $3.824 MILLION, RESPECTIVELY; AND TO AUTHORIZE
APPROPRIATIONS IN THE AMOUNTS OF $1.774 MILLION, $3,134,745, AND
$689,255 INTO ACCOUNT NUMBERS 1001002-5091,3281501-5091, AND 3282501-
5091, RESPECTIVELY.
RECOMMENDATION
Staff respectfully requests that the Council and the Board authorize the City Manager to complete the
initial funding of the PARS Section 115 Public Agencies Post -Employment Benefits Trusts for the City
of Rancho Cucamonga (City) and the Rancho Cucamonga Fire Protection District (District) in the
amount of $1.774 million and $3.824 million, respectively; and authorize appropriations in the
amounts of $1,774,000, $3,134,745, and $689,255 into account numbers 1001002-5091, 3281501-
5091, and 3282501-5091, respectively.
BACKGROUND/ANALYSIS
In 2012, the Government Accounting Standards Board (GASB) issued Statement No. 68, Accounting
and Financial Reporting for Pensions. GASB 68 requires that governmental employers that sponsor
Defined Benefit plans (i.e., CaIPERS) must recognize a net pension liability on their balance sheet.
This is the difference between the each entity's total pension liability and actual plan assets. GASB
68 became effective for both the City and the District for the fiscal year ended June 30, 2015.
On May 4, 2016, the Council and the Board adopted Resolution Nos. 16-050 and FD16-011,
respectively, which authorized the City's and District's participation in the PARS Post -Employment
Benefits Trust Program administered by Public Agency Retirement Services (PARS). As noted in the
related staff reports, funds contributed to the trusts directly reduce the City's and District's net pension
liability under GASB 68, showing that both the City and the District are proactively and systematically
addressing pension costs.
FINANCIAL IMPACT
The City and the Fire District will be utilizing demutualization proceeds distributed to each entity by
Principal Financial Group, Inc., combined with the Fire District's PERS Rate Stabilization Reserve of
$3,799,274, for the initial funding of the Trusts.
P11
STAFF REPORT
ADiMINISTR.\TIVE SERVICES GROUP
Date: June 16, 2016
To: Mayor and Members of the City Council
John R. Gillison, City Manager
From: Tamara L. Layne, Finance Director
Subject: APPROVAL OF THE FOLLOWING TO BE IN COMPLIANCE WITH GOVERNMENTAL
ACCOUNTING STANDARDS BOARD (GASB) STATEMENT NO. 54: 1) UPDATED
FUND BALANCE POLICY AND 2) A RESOLUTION COMMITTING TO THE LEVEL OF
FISCAL RESERVES FOR THE CITY OF RANCHO CUCAMONGA
RECOMMENDATION
Staff recommends that the City Council approve the following to be in compliance with Governmental
Accounting Standards Board (GASB) Statement No. 54: 1) Updated Fund Balance Policy and 2) a
resolution committing to the level of fiscal reserves for the City of Rancho Cucamonga.
BACKGROUND
On a regular basis, the Governmental Accounting Standards Board (GASB) adopts new policies and
procedures that apply to public entities. In February 2009, GASB issued a new procedure, Statement
No. 54, which applies to Fund Balance Reporting and Governmental Fund Type Definitions (GASB
54). In order to be in compliance with GASB 54, the City Council approved a Fund Balance Policy
on June 15, 2011 and approved a resolution committing to the level of reserves for the City of Rancho
Cucamonga.
In order to accommodate any changes to these commitments that may become necessary due to
changes in operations or changes in City Council goals, staff will annually bring this policy and
resolution before the City Council for approval at the end of each fiscal year. The following updates
(City- and District -related) have been made to the policy:
The funding goal for the fund balance committed for Changes in Economic Circumstances
was increased from a six month reserve, or 50%, of the operating budgets for the City and
the Fire District, to a nine month reserve, or 75%, of the operating budgets. Additionally, the
number of City Council or Fire Board members required to change the amount of this
commitment and/or the specific uses of these monies was increased from three to four
members.
• The City's General Fund balance committed for "Self -Insurance" was increased from seven
times the annual Self Insured Retention (SIR) in each program (Worker's Compensation,
General Liability, and Employment Practices Liability) to eight times the annual SIR.
• The fund balance committed for the "PERS rate stabilization" reserve was removed due to
the establishment of the PARS Section 115 Public Agencies Post -Employment Benefits
Trust which was authorized by Council at its May 4, 2016 City Council meeting.
'Jif:
APPROVAL OF THE FOLLOWING TO BE IN COMPLIANCE WITH GOVERNMENTAL PAGI.-, 2
ACCOUNTING STANDARDS BOARD (GASB) STATEMENT NO. 54: 1) UPDATED FUND
BALANCE POLICY AND 2) A RESOLUTION COMMITTING TO THE LEVEL OF FISCAL
RESERVES FOR THE CITY OF RANCHO CUCAMONGA
)UNI-. 16, 2016
• The City's General Fund balance committed for "Booking Fees" was combined with the "Law
Enforcement" commitment and the funding goal was increased from 50% to 100% of the
most recently approved Schedule A from the San Bernardino County Sheriff's Department.
The City's General Fund balance assigned to "Economic and Community Development
Special Services" was expanded to include special services or projects.
The attached policy is presented to the City Council for review and approval. The attached resolution
formally establishes the City of Rancho Cucamonga's fund balance commitments for the fiscal year
ending June 30, 2016.
Attachment: Resolution No. 16-068
I: Ifinancelbudget20171City Council staff reportslGASB54-City 2016-17.doc
P13
RANCHO
CUCAMONGA
PURPOSE
CITY OF RANCHO CUCAMONGA
RANCHO CUCAMONGA
FIRE PROTECTION DISTRICT
FUND BALANCE POLICY
POLICY NO.: -
PAGE
PAGE 1 OF 5
EFFECTIVE: June 15, 2011
REVISED: June 16, 2016
APPROVED:
This Fund Balance Policy establishes the procedures for the reporting of unrestricted fund balance
in the City General Fund and Fire District financial statements. Certain commitments and
assignments of fund balance will help ensure that there will be adequate financial resources to
protect the City against unforeseen circumstances and events such as revenue shortfalls and
unanticipated expenditures. The policy also authorizes and directs the Finance Director to prepare
financial reports which accurately categorize fund balance as per Governmental Accounting
Standards Board (GASB) Statement No. 54, Fund Balance Reporting and Governmental Fund
Type Definitions.
GENERAL POLICY
Fund balance is essentially the difference between the assets and liabilities reported in a
governmental fund. There are five separate components of fund balance, each of which identifies
the extent to which the City/Fire District is bound to honor constraints on the specific purposes for
which amounts can be spent.
• Nonspendable fund balance (inherently nonspendable)
• Restricted fund balance (externally enforceable limitations on use)
• Committed fund balance (self-imposed limitations on use)
• Assigned fund balance (limitation resulting from intended use)
• Unassigned fund balance (residual net resources)
The first two components listed above are not addressed in this policy due to the nature of their
restrictions. An example of nonspendable fund balance is inventory. Restricted fund balance is
either imposed by law or constrained by grantors, contributors, or laws or regulations of other
governments. This policy is focused on financial reporting of unrestricted fund balance, or the last
three components listed above. These three components are further defined below.
122
Fund Balance Policy
Page 2 of 5
Committed Fund Balance
The City Council (which also acts as the Board of Directors for the Rancho Cucamonga Fire
Protection District), as the City's highest level of decision-making authority, may commit fund
balance for specific purposes pursuant to constraints imposed by formal actions taken, such as an
ordinance or resolution. These committed amounts cannot be used for any other purpose unless
the City Council/Fire Board removes or changes the specified use through the same type of formal
action taken to establish the commitment. City Council/Fire Board action to commit fund balance
needs to occur within the fiscal reporting period; however, the amount can be determined
subsequently.
• Changes in Economic Circumstances
The City's General Fund balance committed for changes in economic circumstances is
established at a goal of a nine month reserve, or 75% of the City General Fund operating
budget for the upcoming fiscal year. The Fire District's fund balance committed for
changes in economic circumstances is established at a goal of a nine month reserve, or
75% of the Fire District's operating budget for the upcoming fiscal year. The specific uses
of this commitment include: 1) the declaration of a state or federal state of emergency or
a local emergency as defined in Rancho Cucamonga Municipal Code Section 2.36.020; or
2) a change in economic circumstances in a given fiscal year that results in revenues to the
City/Fire District being insufficient to cover expenditures for one or more fiscal years. The
City Council/Fire Board may, by the affirming vote of four members, change the amount
of this commitment and/or the specific uses of these monies.
• City Facilities Capital Repair
The City's General Fund balance committed for City facilities capital repair and property
acquisition is established at a minimum goal of 50% of capital assets value comprised of
construction in progress (excluding infrastructure), building improvements, and
improvements other than building for governmental activities.
• Fire District Facilities Capital Repair
The Fire District's fund balance committed for the Fire District facilities capital repair is
hereby committed to a minimum goal of 50% of capital assets value comprised of
construction in progress (excluding infrastructure), building improvements, and
improvements other than building for public safety -fire activities.
• Working Capital
The City's General Fund balance committed for Working Capital is established at a goal
of a minimum of 5% of the City's General Fund operating budget for the upcoming fiscal
year. The Fire District's fund balance committed for Working Capital is established at a
goal of a minimum of 50% of the District's operating budget for the upcoming fiscal year.
P15
Fund Balance Policy
Page 3 of 5
• Self -Insurance
The City's General Fund balance and the Fire District's fund balance committed for
payment of Worker's Compensation, General Liability, and Employment Practices
Liability claims is established at a minimum goal of eight times the City's and the District's
total yearly SIRS for all types of insurance coverage.
• PASIS Worker's Compensation Tail Claims
The Fire District's fund balance committed for payment of outstanding Worker's
Compensation claims remaining after the District's withdrawal from PASIS is established
at a goal equal to the most recent fiscal year end Claims Cost Detail Report from the
District's third -party administrator plus 15%.
• Employee Leave Payouts
The City's General Fund balance and the Fire District's fund balance committed for
employee leave payouts as valued in accordance with the City's labor contracts as of the
last day of the fiscal year.
• Vehicle and Equipment Replacement
The Fire District's fund balance committed for the replacement of fire safety vehicles and
equipment as determined based on the District's replacement criteria is established at a
minimum goal of 50% of District vehicle and equipment replacement value.
• Law Enforcement
The City's General Fund balance committed for public safety purposes, including
operations, equipment, capital outlay, personnel, and booking fees. The funding goal for
this reserve is the equivalent of 100% of the most recently approved Schedule A from the
San Bernardino County Sheriff's Department.
• Family ports Center Replacement
The City's General Fund balance committed for construction of the Family Sports Center
Replacement and for the future replacement and repair of major capital assets comprising
the new Family Sports Center. This reserve is established at a minimum goal of 105% of
the estimated construction cost of the Center.
P16
Fund Balance Policy
Page 4 of 5
Assigned Fund Balance
Amounts that are constrained by the City/Fire District's intent to be used for specific purposes, but
are neither restricted nor committed, should be reported as assigned fund balance. This policy
hereby delegates the authority to assign amounts to be used for specific purposes to the City
Manager and/or Finance Director for the purpose of reporting these amounts in the annual financial
statements. The following are a few non-exclusive examples of assigned fund balance.
• Economic and Community Development Special Services
The City's General Fund balance assigned for contracts, special services or projects
associated with Economic and Community Development (ECD) special projects or ECD
initiatives/Council goals (such as economic strategy and Development Code contract
services) as well as a one year value of staffing costs for Planning, Building and Safety,
and Engineering (not including capital and project management).
• Sphere of Influence Issues
Established to provide funds for a multi-year effort to analyze the physical constraints and
opportunities within the sphere area, provide required environmental analysis, and plan for
the eventual annexation of the remaining unincorporated areas within the City sphere of
influence. This reserve will also support the creation of a multi -species habitat conservation
plan as well as acquisition of habitat conservation land.
• Dispatch System Acquisition
The Fire District's fund balance committed to JPA membership for the District's current
dispatch system.
Unassigned Fund Balance
These are residual positive net resources of the General Fund and Fire District funds in excess of
what can properly be classified in one of the other four categories.
Fund Balance Classification
The accounting policies of the City/Fire District consider restricted fund balance to have been
spent first when an expenditure is incurred for purposes for which both restricted and unrestricted
fund balance is available. Similarly, when an expenditure is incurred for purposes for which
amounts in any of the unrestricted classifications of fund balance could be used, the City/Fire
District considers committed amounts to be reduced first, followed by assigned amounts and then
unassigned amounts.
P17
Fund Balance Policy
Page 5 of 5
This policy is in place to provide a measure of protection for the City/Fire District against
unforeseen circumstances and to comply with GASB Statement No. 54. No other policy or
procedure supersedes the authority and provisions of this policy.
RESOLUTION NO. 16-068
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF RANCHO CUCAMONGA,
CALIFORNIA COMMITTING TO THE LEVEL OF FISCAL RESERVES FOR THE
CITY OF RANCHO CUCAMONGA
WHEREAS, the Rancho Cucamonga City Council desires to protect existing
services, and;
WHEREAS, the Rancho Cucamonga City Council desires to be prepared for
emergencies, and;
WHEREAS, the Rancho Cucamonga City Council desires to maintain good fiscal
management and fiscal structure to operate a municipal corporation, and;
WHEREAS, the Rancho Cucamonga City Council desires to maintain the
financial strength required to obtain beneficial bond ratings for the City;
NOW, THEREFORE, the City Council of the City of Rancho Cucamonga,
California does hereby resolve on this 161h day of June 2016 that the level of fiscal reserves
maintained by the City of Rancho Cucamonga as of fiscal year end are committed to the goals
as outlined in the City's Fund Balance Policy, attached to this resolution as Exhibit A.
ULO
PASSED, APPROVED, AND ADOPTED this 16th day of June 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, Mayor
ATTEST:
Janice C. Reynolds, City Clerk
I, JANICE C. REYNOLDS, CITY CLERK of the City of Rancho Cucamonga,
California, do hereby certify that the foregoing Resolution was duly passed, approved
and adopted by the City Council of the City of Rancho Cucamonga, California, at an
adjourned meeting of said City Council held on the 16th day of June 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, City Clerk
is F1nanceWudget20171City Council staff reportslresolution committing to level of fiscal reserves -City 16-17.doc
STAFF REPORT
ADMINISTRATIVE SERVICES GROUP
Date: June 16, 2016
To: Mayor and Members of the City Council
From: John R. Gillison, City Manager
By: Tamara L. Layne, Finance Director09
Subject: APPROVAL OF UPDATED CITY GENERAL FUND RESERVE FUNDING GOALS
POLICY
RECOMMENDATION
Staff recommends that the City Council approve the attached updated City General Fund Reserve
Funding Goals Policy.
BACKGROUND
This City General Fund Reserve Funding Goals Policy establishes the methodology for the funding
goals for each of the City General Fund reserves, including the replacement of vehicles, equipment,
and computer equipment/technology. While the City established many of these reserves in prior
years, some did not have specific methodologies assigned to them in order to quantify the goal for
the reserve. This policy, which was initially approved by the City Council in June 2012, formalizes
the City General Fund reserves, establishes some new ones (if applicable), and sets quantifiable
goals for each reserve. The following updates were made to the policy:
• The "Self-insurance" reserve was increased from seven times the annual Self Insured
Retention (SIR) in each program (Worker's Compensation, General Liability, and Employment
Practices Liability) to eight times the annual SIR.
• The funding goal for the "PERS rate stabilization" reserve was removed due to the
establishment of the PARS Section 115 Public Agencies Post -Employment Benefits Trust
which was authorized by Council at its May 4, 2016 City Council meeting.
• The "Information technology" reserve was updated to change staff's department from
Information Services to Department of Innovation and Technology and the funding goal was
increased from two to three years' worth of CAP allocations.
• The "Booking fees" reserve was combined with the "Law enforcement" reserve and the
funding goal was increased from 50% to 100% of the most recently approved Schedule A
from the San Bernardino County Sheriff's Department.
• The "Changes in economic circumstances" reserve was increased from a six month reserve
to a nine month reserve, or 75% of the City General Fund operating budget for the upcoming
fiscal year.
I:,linarrce\Grrdget2017\00, Conndl staff mportr\Gen 7Fund reserve fundinggoals polio, 06-2016.doc
P20
P21
APPROVAL OF UPDATED CITY GENERAL FUND RESERVE FUNDING GOALS POLICY PAGr- 2
JUNE* 16, 2016
• The "Animal Center operations" reserve was renamed "Animal Center" reserve and the
funding goal was increased from six months' expenditures for operations to the most recently
approved annual operating budget for the Animal Center.
• The "Technology replacement" reserve's funding source increased from a 4.5% to a 5.0%
technology charge on all permits and inspections.
In accordance with the policy, upon the completion of the City's annual audit, the Finance Director
prepares a schedule summarizing the funding status of each reserve for use by the City Manager in
future budgetary planning.
This policy does not apply to reserves determined to be non -spendable in accordance with the City's
Fund Balance Policy nor does it apply to reserves that pertain to outstanding encumbrances (i.e.,
purchase orders) or unrealized gain on investments (GASB31) as of fiscal year end.
P22
RANCHO
CUCAMONGA
PURPOSE
CITY OF RANCHO CUCAMONGA
CITY GENERAL FUND
RESERVE FUNDING GOALS
POLICY
POLICY NO.: -
PAGE 1 OF 4
EFFECTIVE: June 13, 2013
REVISED: June 16, 2016
APPROVED:
This City General Fund Reserve Funding Goals Policy establishes the methodology for the funding
goals for each of the City General Fund reserves, including the replacement of vehicles, equipment,
and computer equipment/technology. This policy does not apply to reserves determined to be
nonspendable in accordance with the City's Fund Balance Policy nor does it apply to reserves that
pertain to outstanding encumbrances (i.e., purchase orders) or unrealized gain on investments
(GASB31) as of fiscal year end. Upon the completion of the City's annual audit, this policy directs
the Finance Director to prepare a schedule summarizing the funding status of each reserve as of
the audit date. This schedule will serve as a tool for budgetary planning for the funding of each
reserve.
GENERAL POLICY
Following is a detailed description of the methodology for the funding goals for each of the City
General Fund reserves referred to above.
CP1f-inQ11rnnrP
The minimum insurance reserve in the past has been five times the annual Self Insured Retention
(SIR) in each program (Worker's Compensation, General Liability and Employment Practices
Liability). The SIR is essentially the City's deductible in each program. The reserve goal is now
established at eight times the SIR to allow for eight full limit claims in any one year. Those
numbers are calculated as follows: Worker's Comp ($300,000 SIR) is $2,400,000. General
Liability ($500,000 SIR) is $4,000,000. Employment Practices ($250,000 SIR) is
$2,000,000. The total proposed reserve is $8,400,000. This level of reserves protects the City's
assets by ensuring adequate funding in the event of multiple large claims against the City.
P23
City General Fund Reserve Funding Goals Policy
Page 2 of 4
Employee leave payouts
The funding goal for this reserve is established at 100% of the current value of vacation, sick leave
and comp time payouts per the respective City MOUs.
Information technology
The funding goal for this reserve is based on the City's Cost Allocation Plan (CAP). The CAP
allocates the proportionate share of the City's central services departments that pertain to efforts
in support of the City's land management software. The CAP includes costs associated with
Department of Innovation and Technology staff time, maintenance contracts, and general
administrative allocations. The funding goal is equal to three years' worth of CAP allocations.
The source for this reserve is 6.67% of all building permit fees and building inspection fees
collected during the fiscal year, also referred to as the Information Technology Fee.
City facilities capital repairs
The funding goal for City facilities capital repair is established at a minimum goal of 50% of
capital assets value comprised of construction in progress (excluding infrastructure), building
improvements, and improvements other than buildings for governmental activities.
Changes in economic circumstances
The funding goal for changes in economic circumstances is established at a nine month reserve, or
75% of the City General Fund operating budget for the upcoming fiscal year.
Law enforcement
The funding goal for this reserve is the equivalent of 100% of the most recently approved Schedule
A from the San Bernardino County Sheriff's Department.
Economic and communily development special services
The funding goal for this reserve is $4,500,000 to pay for contract services associated with
Economic and Community Development (ECD) special projects or ECD initiatives/Council goals
(such as economic strategy and Development Code contract services) as well as a one year value
of staffing costs for Planning, Building and Safety and Engineering (not including capital and
project management). Funding for this reserve would be provided by unspent revenue from
Planning, Building and Safety, and Engineering (not including capital and project management)
on an annual basis.
Sphere of Influence issues
The funding goal for this reserve is established at $10,000,000. The reserve is intended to provide
funds for a multi-year effort to analyze the physical constraints and opportunities within the sphere
City General Fund Reserve Funding Goals Policy
Page 3 of 4
area, provide required environmental analysis, and plan for the eventual annexation of the
remaining unincorporated areas within the City sphere of influence. The eventual annexation
requires pre -zoning, CEQA compliance, and a comprehensive service plan. The reserve amount
reflects estimates of cost proposed by the City staff in consultation with experts familiar with the
City process and geography. This reserve also provides for ancillary costs related to annexation
of the sphere area, including mitigation issues and legal challenges. Another area covered by this
reserve is the creation of a multi -species habitat conservation plan as well as acquisition of habitat
conservation land. The overall funding goal will be increased each fiscal year based on the
increase in the City's assessed valuation for the upcoming fiscal year per the City's property tax
consultant.
Working capital
The funding goal for the City's General Fund working capital reserve is established at a goal of a
minimum of 5% of the City's General Fund operating budget for the upcoming fiscal year.
Animal Center
The funding goal for this reserve is equivalent to the most recently approved annual operating
budget for the Animal Center, excluding capital expenditures and fund-raising/special events for
the upcoming fiscal year.
General Plan update
The funding goal is equal to the cost to update the City's General Plan based on the most recent
contract awarded, increased annually for the CPI as of each fiscal year end. The source for this
reserve is 1.3% of all building permit fees and building inspection fees collected during the fiscal
year, also referred to as the General Plan Update Fee.
City infrastructure
The funding goal for City infrastructure is established at a minimum goal of 50% of infrastructure
assets value comprised of road system (excluding right of way), storm drain system, off-road trails
system, and fiber optic lines for governmental activities.
Radio system acquisition
This reserve is established to fund the future acquisition or replacement of the City's 800 MHz
radios, as well as the City's proportionate share of the Countywide radio infrastructure. The
funding goal is established at 100% of the replacement cost of the radios and 100% of the
proportionate cost of the Countywide radio infrastructure.
P25
City General Fund Reserve Funding Goals Policy
Page 4 of 4
Mobile Home Park Program
The Building and Safety Department is responsible for enforcing the State mobile home laws and
has adopted the State's related schedule of fees. One of the fees collected is retained by the City
to cover the cost of mandatory inspections performed by the Building and Safety Department in
accordance with Title 25. The fee also covers the cost of educational materials and related printing
services. The funding goal for this reserve is equal to the cost of a contract inspector for the mobile
home park inspections for eight parks within the City.
Vehicle and equipment replacement
The funding goal is established at 105% of capital assets value comprised of vehicles and
equipment for governmental activities.
Computer equipment/technolog.�replacement
The funding goal is established at 105% of capital assets value comprised of computer
equipment/technology for governmental activities.
Technology replacement
The funding goal of this reserve is equal to the implementation costs to replace and/or upgrade the
City's land management software (Accela). The funding source for this reserve is a flat 5.0%
technology charge on all permits and inspections.
Family Sports Center replacement
This reserve is established to fund a portion of the construction of the Family Sports Center
replacement and to fund the future replacement and repair of major capital assets comprising the
new Family Sports Center. The funding goal of this reserve is equal to 105% of the construction
cost of the new Center.
STAFF REPORT
ADMINISTRATIVE SERVICES GROUP
RANCHO
Date: June 16, 2016 C;UCAMONGA
To: Mayor and Members of the City Council
President and Members of the Board of Directors
From: John R. Gillison, City Manager
By: Tamara L. Layne, Finance Director
Subject: CONSIDERATION TO AUTHORIZE THE CITY MANAGER TO COMPLETE THE
INITIAL FUNDING OF THE PARS SECTION 115 PUBLIC AGENCIES POST -
EMPLOYMENT BENEFITS TRUSTS FOR THE CITY OF RANCHO CUCAMONGA AND
THE RANCHO CUCAMONGA FIRE PROTECTION DISTRICT IN THE AMOUNTS OF
$1.774 MILLION AND $3.824 MILLION, RESPECTIVELY; AND TO AUTHORIZE
APPROPRIATIONS IN THE AMOUNTS OF $1.774 MILLION, $3,134,745, AND
$689,255 INTO ACCOUNT NUMBERS 1001002-5091,3281501-5091, AND 3282501-
5091, RESPECTIVELY.
RECOMMENDATION
Staff respectfully requests that the Council and the Board authorize the City Manager to complete the
initial funding of the PARS Section 115 Public Agencies Post -Employment Benefits Trusts for the City
of Rancho Cucamonga (City) and the Rancho Cucamonga Fire Protection District (District) in the
amount of $1.774 million and $3.824 million, respectively; and authorize appropriations in the
amounts of $1,774,000, $3,134,745, and $689,255 into account numbers 1001002-5091, 3281501-
5091, and 3282501-5091, respectively.
BACKGROUND/ANALYSIS
In 2012, the Government Accounting Standards Board (GASB) issued Statement No. 68, Accounting
and Financial Reporting for Pensions. GASB 68 requires that governmental employers that sponsor
Defined Benefit plans (i.e., CalPERS) must recognize a net pension liability on their balance sheet.
This is the difference between the each entity's total pension liability and actual plan assets. GASB
68 became effective for both the City and the District for the fiscal year ended June 30, 2015.
On May 4, 2016, the Council and the Board adopted Resolution Nos. 16-050 and FD16-011,
respectively, which authorized the City's and District's participation in the PARS Post -Employment
Benefits Trust Program administered by Public Agency Retirement Services (PARS). As noted in the
related staff reports, funds contributed to the trusts directly reduce the City's and District's net pension
liability under GASB 68, showing that both the City and the District are proactively and systematically
addressing pension costs.
FINANCIAL IMPACT
The City and the Fire District will be utilizing demutualization proceeds distributed to each entity by
Principal Financial Group, Inc., combined with the Fire District's PERS Rate Stabilization Reserve of
$3,799,274, for the initial funding of the Trusts.
iy2A
STAFF REPORT
ENGINEERING SERVICES DEPARTMENT
Date: June 16, 2016
RANCHO
To: Mayor and Members of the City Council CUCAMONGA
John R. Gillison, City Manager
From: Jason C. Welday, Director of Engineeri Services/City Engineer
By: Jerry A. Dyer, Principal Civil Engineer
Subject: CONSIDERATION TO APPROVE T E CAPITAL IMPROVEMENT PROGRAM (CIP) FOR
FISCAL YEAR 2016/2017
RECOMMENDATION
Staff recommends that the City Council approve the FY 2016/2017 Capital Improvement Program.
BACKGROUND/ANALYSIS
Attached for City Council consideration of approval, is the City of Rancho Cucamonga's Capital
Improvement Program (CIP) for Fiscal Year 2016/2017. The CIP is required per Government Code 65401,
to be adopted by the City Council. The CIP consists of a multi-year plan for citywide infrastructural
improvements. Each year, the City budgets for "funded" projects which will occur during said fiscal year.
The CIP is a vital piece of the City's Annual Operating Budget as it dictates major capital expenditures
committed in any given year. The list of projects contained in the CIP addresses both the City's long-term
and short-term capital needs. It identifies projects that reflect the desires of the community, as well as
projects that serve operational and maintenance needs.
The City's Engineering Services staff works with all Departments within the City to develop and implement
an economically feasible CIP that embodies the City's public infrastructure needs. The CIP is the product
of a wealth of planning and conceptual design taken from the City's General Plan, local residents, the
business community, local development community, and external government agencies.
The projects have been categorized by type of project (Beautification, Drainage, Facilities, etc.), and are in
alphabetical order within each category. The individual project sheets include a short summary. cost, year
funded, and a map showing the project location.
Projects are funded from a variety of sources including Development Impact Fees, state pass-thru monies
such as Measure "I" and Gas Tax, miscellaneous grants, enterprise funds and City reserves. This year's
budgeted projects total just under $62,000,000 and will fund 75 projects citywide.
The FY 2016/2017 Capital Improvement Program was also reviewed by the Planning Commission on
May 25, 2016. At that meeting, the Commission made a finding that the CIP is in conformance with the
City's General Plan.
Respectfully submitted,
Jason C. elday
Director of Engineering Services/City Engineer
Attachments: Exhibit "A" - Government Code 65401
Exhibit "B" - Fiscal Year 2016/2017 Capital Improvement Program (distributed under
separate cover)
Exhibit "C" - General Plan Policies (distributed under separate cover)
Government Code
M-.'
65401. If a general plan or part thereof has been adopted, within such time as may be
fixed by the legislative body, each county or city officer, department, board, or
commission, and each governmental body, commission, or board, including the
governing body of any special district or school district, whose jurisdiction lies wholly or
partially within the county or city, whose functions include recommending, preparing
plans for, or constructing, major public works, shall submit to the official agency, as
designated by the respective county board of supervisors or city council, a list of the
proposed public works recommended for planning, initiation or construction during the
ensuing fiscal year. The official agency receiving the list of proposed public works shall
list and classify all such recommendations and shall prepare a coordinated program of
proposed public works for the ensuing fiscal year. Such coordinated program shall be
submitted to the county or city planning agency for review and report to said official
agency as to conformity with the adopted general plan or part thereof.
Exhibit "A"
EXHIBIT B
zoi6/zo17
Improvement Program
Presented by:
Engineering
Cucamonga
es Department
10500 Civic Center Drive
Rancho Cucamonga, California 91730
Fax: 909.477.2741
www.cityofrc.us
P29
P30
CITY OF RANCHO CUCAMONGA
COMMUNITY DEVELOPMENT DEPARTMENT
ENGINEERING SERVICES DEPARTMENT
CAPITAL IMPROVEMENT PROGRAM
FISCAL YEAR 2016/17
SUMMARY
Categories
Budgeted
Unfunded
General Plan: Policy Reference
A.
Beautification ...........................
(3)
$
637,000
$
-
GP: CM-3.11,PS-12.7
B.
Drainage ..................................
(1)
$
3,900,000
$
-
GP: CM -4.4, CM -3.7
C.
Facilities ...................................
(20)
$
38,521,130
$
8,225,000
GP: ED -3.1, PF -1.1, PF -1.4, PF -1.5
D.
Miscellaneous ..........................
(5)
$
1,644,530
$
-
GP: CM -1.4, CM -2.1, CM -3.7, CS -6.3,
LU -11.2, PS -12.4
E.
Municipal Utility ....................
(6)
$
941,500
$
-
GP: PF -1.4, RC -4.2
F.
Parks ........................................
(6)
$
930,000
$
7,868,000
GP: CS -1.8, PF -1.4
G.
Railroad Crossings ..................
(2)
$
1,125,000
$
-
GP: CM -1.2, CM -4 4
H.
Streets .....................................
(22)
$
11,329,920
$
7,300,000
GP: CM -1.1, CM -2.1, CM -4.4, ED -4.3
I.
Traffic .......................................
(10)
$
3,096,500
$
110,000
GP: CM -4.1, CM -4.2
TOTAL ...............................
(75)
$
62,125,580
$
23,503,000
J. Future & Unfunded Projects.... (20) $ 83,325,300 GP: CM -1.1, CM -4.4, CS -1.8, ED -3.1,
PS -12.4
Index
CITY OF RANCHO CUCAMONGA - CAPITAL IMPROVEMENT PROGRAM - FISCAL YEAR 2016/17
No Project
Fund
Account
Amount (S)
A. Beautification
400,000
Citywide Infrastructure
11983035650/1928198-0
1 Archibald Ave east aide north of Sunflower -widening
Beautification
11103165650/1945110-0
187,000
2 Archibald Ave n/o Norbrook to Carrara St- Community Trail
Beautification
11103165650/1830110-0
150,000
3 LMD 4R Water Conservation and Landscape Renovations
LMD 4R
11343035650/17871340
300,000
(MuKkPhased Project)
Library Reserve
1329601-5602
208,000
Fire Capital Projects
32885015650/1914288-0
Beauti iicatlon UnFunded Total:
0
1025001-5602
310,000
Beautiflcatlon Funded Total:
637,000
B. Drainage
1 Cucamonga Storm Draln Upper Phase 3 - East of Hellman to Base Line to
Roberds, North on Amelhyst to 19th St, and Easterly 300 feet
C. Facilities
1 Animal Care & Adoption Center Makeover
2 Archibald Library Office Re-deslgn
3 Central Park - Emergency Backup Power
(Design Only)
4 Central Park - Flooring Replacement
5 City Facilities - Roofing Replacement & Repairs
6 City Hall - Elevator Modemizatlon
7 Civic Center - Council Chambers AV Replacement Phase III
8 Civic Center - Human Resources Office Relocations
9 Civic Center - Landscape Renovation Phase 11
10 Flre Dlstdct - Emergency Operations Center (EOC) Reconfiguratlon
11 Fire Dlstdct - Jersey Station (174) Training Facility
12 Flre Dlstdct - San Bernardino Rd Station (172) Relocation
13 Fire District - Water Conservation Landscaping
(Stations 175 and 176, and Utica Property)
14 LoanMert Stadium - Sound System
15 LoanMart Stadium - Team Locker Rooms Carpel Replacement
16 LcanMart Stadlum - Team Locker Rooms Shower
Fbdures Replacement
17 Public Works Services Department - Warehouse Expansion
18 Rancho Cucamonga Family Sports Center- Relocation
General Drainage
11123035650/1928112-0
800,000
Measure
11763035650/1928176-0
400,000
Citywide Infrastructure
11983035650/1928198-0
2,700.000
7,000,000
1250401565011896250-0
3,900,000
1712001565011896712-0
Dralnage UnFunded Total:
0
2,700,000
Drainage Funded Total:
31900,000
Capital Reserve
10250015650/1920025-0
701,800
Library Reserve
1329601-5602
208,000
Fire Capital Projects
32885015650/1914288-0
50,000
Capital Reserve
1025001-5602
310,000
Capital Reserve
1025001-5602
250,000
Capital Reserve
1025001-5602
125,000
375,000
Capital Reserve
1025001-5602
95,000
Capital Reserve
1025001-5602
150,000
Capitai Reserve
1025001-5602
350,000
Capital Reserve
1025001-5607
500,000
Fire Capital Projects
3288501-5606
250,000
Homeland Security -Fire
1380501-5606
32.280
282,280
Fire Capital Projects
32885015650/1735288-0
20,182,350
Fire Capital Projects
32885015650/1733288-0
750,000
Fire Capital Projects
32885015650/1733288-0
6,000,000
6,750,000
Fire Capital Projects
3288501-5602
600,000
Capital Reserve
Capital Reserve
Capital Reserve
Capital Reserve
Capital Reserve
1025001-5603 50,000
1025001-5602 25,000
1025001-5602 30,000
10250015650/1927025-0
170,000
10250015650/1927025-0
1,700,000
Recreation Fund Reserve
1,870, 000
1025001565011896025 0
2,500,000
1198001565011896198-0
7,000,000
1250401565011896250-0
250,000
1712001565011896712-0
750,000
1120401565011896120 0
2,700,000
13,200,000
Capital Reserve
Citywide Infraslructure
Recreation Fund Reserve
Equlp/Veh Replacement
Park Development
Index- 1
P31
CITY OF RANCHO CUCAMONGA - CAPITAL IMPROVEMENT PROGRAM - FISCAL YEAR 2016/17
No. Project Fund Account Amount (EI
19 Victoria Gardens Cultural Center Courtyard Redesign Capital Reserve 10250015650/1894025.0 120,000
Unknown *000000000J1894)= 400.000
520.000
20 Victoria Gardens Cultural Center - Exterior Joint Replacement, Roofing and Capital Reserve 10250015650/1890025-0 600,000
Exterior Paint
Facilities UnFunded Total 8,225,000
Facllltles Funded Total: 38,621,130
D.
Miscellaneous
1
ADA Ramps at Various Locations
Measure 1
11773035650/1150177-0
200,000
(Design and Construction)
2
Arrow Route from Bear Gulch to West of Archibald Ave - Utility Underground
Underground Utilities 11293035650/1777129-0
724,360
(Continuation of Design with Construction funded FY16/17)
Note: additional funding coming from Rule 20A
3
Base Line Rd from Camellan St to Vineyard Ave - Utility Underground
Underground Utilities
11293035650/1776129-0
559,570
(Continuation of Design with Construction funded FY16/17)
Note: additional funding coming from Rule 20A
4
Bus Stop Pads at Various Locations
AB 2766 Air Quality Impry 11053035650/1823105-0
16,000
(Design and Construction funded with TDA Grant and City match)
TDA Article 3
12143035650/1823214-0
46.800
62,600
5
Pacific Electric Trail above Victoria Park Lane Tunnel - Fencing
LIVID 2
1131303-5607
98,000
Miscellaneous UnFunded Total:
0
Miscellaneous Funded Total:
1,844,530
E.
Municipal Utility - Efectrical
1
Arrow Rte: Bear Gulch to Archibald -Fiber Conduit
Municipal Utility
17053035650/1947705-0
88,500
2
City Fiber Optics Improvements
Municipal Utility
17053035650/1910705-0
100,000
3
Commercial Smart Meter Replacement
Municipal Utility
17053035650/1936705-0
375,000
4
Day Creek Blvd and Base Line Road - Line E)denslon
Municipal Utility
t7053035650/1917705-0
200,000
5
Fcolhll! Blvd at Spruce Ave - Line E)dension
Municipal Utility
17053035650/1938705-0
153,000
6
Haven Avenue @ 6th St -St Light Installation
Municipal Utility
17053035650/1946705 0
25,000
Municipal Utility UnFunded Total:
0
Municipal Utility Funded Total:
941,500
F. Parks
1 Central Park - Ph II Design Study
2 Central Park - Replace Rubberized Surface
3 Central Park - Trail Head Improvements
(Design with Construction TBD)
4 El wands Creek Park - Phase II
(Design with Construction TBD)
5 LIVID 4R Parks - Lighting Retrofits Phase III
6 Victoria Arbors Park - Replace Rubberized Playground Surface
G. Railroad Crossings
1 Arrow Route at Railroad Spur - New Concrete Panels
(Continuation of Design with Construction funded)
2 Hellman Avenue at Metrolink Tracks - Widen Crossing
(Continuation of Design with Construction funded)
Nelle• Railroad Improvements funded by SCRRA
Park Development
Park Development
Park Development
Park Development
Park Development
Park Development
LIVID 4R
LIVID 2
1120401-5650/1660120-0
1120401-5607
11204015650/1871120-0
11204015650/1871120-0
11204015650/1664120-0
11204015650/1664120-0
11343035650/1858134-0
1131303-5607
Parks UnFunded Total
Parks Funded Total:
Gas Tax R&T 7360 11743035650/1819174-0
Transportation 11243035650/1847124-0
Index- 2
250,000
80,000
25,000
2.488.000
2,513,000
300,000
5.380.000
5,680,000
135,000
140,000
7, 868,000
930,000
75,000
1,050,000
Railroad Crossings UnFunded Total 0
Railroad Crossings Funded Total: 1,128,000
P32
CITY OF RANCHO CUCAMONGA - CAPITAL IMPROVEMENT PROGRAM - FISCAL YEAR 2016/17
No. Project Fund Account
H. Streets
1 6th St from Milliken to Charles Smith - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: approved CalRecycle Rebate
2 9th St from Grove to Hellman - Pavement Rehabiiitation
Note: approved CalRecycle Rebate
3 Arrow Route along the s/s 500' to 1300' e/o 1-15 freeway - Widening
(Design Feasibility with Construction possibly funded FY 17/18)
4 Base Line Rd - at 1-15 Interchange
(Continuation of Construction)
Gas Tax R&T 7360 11743035650/1930174-0
Unknown 1xxxxxx5650/v00000r-0
Measure I
Gas Tax R&T 7360
Unknown
Transportation
SAFETEA (federal)
Prop 1B-SLPP (state)
5 Base Line Rd from Milliken to w/o Day Creek Blvd Pavement Rehabilitation Measure I
Note: approved CalRecycle Rebate
6 Camellan St from Lemon Ave to Wilson Ave - Pavement Rehabilitation Measure I
Note: approved CalRecycle Rebate
7 Church St from Pepper to Hellman - Pavement Rehabilitation Measure I
Note. approved CalRecycle Rebate
11773035650/1904177-0
Amount ($)
36,000
300.000
335 000
300,000
11743035650/1907174-0
5,000
1xxx3035650/1907xxx-O
300.000
11773035650/1932177-0
305,000
11243035650/1361124-0
100,000
12093035650/13612090
5,091,000
12113035650/1361211-0
19,920
Measure1
5,210,920
11773035650/1880177-0 900,000
11773035650/1722177-0 468,000
11773035650/1906177-0 200,000
8 East Ave from Chickasaw, west side, north 370 feet - Widen and Sidewalk Gas Tax R&T 7360 11743035650/1931174-0
(Design and Construction) C tywide Infrastructure 11983035650/1931198-0
9 Etiwanda Ave from 6th St to Arrow Route - Street Widening Improvement
(Design and Construction)
10 Foothill Blvd across SCE Corridor West of Day Creek Channel - Sidewalk
Improvements (Design and Construction)
11 Foothill Blvd from Haven to Milliken - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: possible CalRecycle Rebate
12 Haven Ave from Foothill to Base Line - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: possible CalRecycle Rebate
13 Hellman Ave from San Bernardino Rd to Base Line Rd - Pavement
Rehabilitation
Note: approved CalRecycle Rebate
14 Hermosa Ave from Arrow to Foothill - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: approved CalRecycle Rebate
15 Hillside Rd from Archibald to Haven - Pavement Rehabilitation
Note: approved CalRecycle Rebate
16 Jersey Blvd from Haven to Rochester - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: approved CalRecycle Rebate
17 Local Street Pavement Rehabilitation at Various Locations
(Design and Construction)
18 Rochester Ave from Base Line to Banyan - Pavement Rehabilitation
(Design with Construction funded FY 17/18)
Note: possible CalRecycle Rebate
19 Rochester Ave from Foothill to Base Line - Pavement Rehabilitation
Note: approved CalRecycle Rebate
20 San Bernardino Rd from Camellan to Archibald - Pavement Rehabilitation
Note: approved CalRecycle Rebate
Transportation 11243035650/1076124-0
66,000
56.000
110,000
450,000
Citywide Infrastructure 11983035650/1826198-0 146,000
Measure 1
11773035650/1932177-0
50,000
Measure1
11773035650/1932177-0
9oa.000
950,000
Measure 1
11773035650/1933177-0
50,000
Measure1
11773035650/1933177-0
900.000
950,000
Measure 1
11773035650/1905177-0
367,000
Measure
11773035650/1934177-0
36,000
Measure 1
11773035650/1934177-0
300.000
335,000
Measure 1
11773035650/1879177-0
860,000
Gas Tax R&T 7360
11743035650/1929174-0
50,000
Unknown
1xxx3035650/xxxxxxx-0
550.000
600,000
Gas Tax R&T 7360
11743035650/1022174-0
850,000
Citywide Infrastructure
11983035650/1022198-0
50.000
900,000
Measure 1
11773035650/1935177-0
50,000
Measure1
11773035650/1935177-0
900.000
950,000
Measure
11773035650/1821177-0
610,000
Gas Tax R&T 7360
11743035650/1877174-0
200,000
Fire Protection Capital
32885015650/1877288-0
200.000
400, 000
Index - 3
P33
CITY OF RANCHO CUCAMONGA - CAPITAL IMPROVEMENT PROGRAM - FISCAL YEAR 2016117
No. Project Fund Account Amount (b)
21 San Bernardino Rd from Grove to Foothill - Pavement Rehabilitation
Note: approved CalRecycle Rebate
22 Youngs Canyon Road from Koch Place to Cherry Ave - Street Extension
(Environmental, Design and Flood Control Review)
I. Traffic
1 6th at Rochester - Traffic Signal Installation
2 Archibald at Victoria Traffic Signal Installation
3 Base Line Rd at Llon St- Pedestrian Hybrid Beacon
4 East at Miller - Traffic Signal Installation
5 Freeway and Arterial Signal Synchronization at various Intersections
where City streets Intersect SR 210 and I-15 - Phase 1
6 Intelligent Transportation System Upgrade - Citywide
7 Milliken at 5th - Traffic Signal Installation
8 Milliken Ave Traffic Signals at MIIlenlum Ct and Vintage Dr - Upgrade Left
Tum Phases
9 Rochester at Jersey - Traffic Signal Installation
10 Terra Vista Parkway at Spruce - Safety Lighting Installation
(Design with Construction funded FY 17/18)
Gas Tax R&T 7360 11743035650/1903174-0
104,000
AD 88-2 Etiwanda/Highlnd 18133035650/160t813-0
50,000
AD 8B-2 EtWanda/Highlnd 18133035650/1601813-0
3,150,000
Transportation
3,200,000
Streets UnFunded Total:
7,300,000
Streets Funded Total:
11,329,920
Transportation
11243035650/1939124-0
Transportation
11243035650/1510124-0
Citywlde Infrastructure
11983035650/1921198-0
Transportation
11243035650/1888124-0
AB 2766 Air Quality
11053035650/19001055-0
Transportation
11243035650/1900124-0
Transportation
Transportation
Transportation
Transportation
SLD 4
SLD 4
Index - 4
11243035650/1831124-0
11243035650/1940124-0
11243035650/1875124-0
11243035650/1941124-0
11543035650/1902154-0
11543035650/1902t54-0
Traffic UnFunded Total:
Traffic Funded Total:
513,000
661,500
80,000
524,000
112,810
207.190
320,000
260,000
469,000
54,000
316,000
20,000
110.000
130,000
110000
P34
CITY OF RANCHO CUCAMONGA - CAPITAL IMPROVEMENT PROGRAM - FISCAL YEAR 2016/17
No. Project Fund Account
J. Future & Unfunded Projects
1 6th St at BNSF Spur Crossing west of Etiwanda Avenue Unknown xi00000000a/1839xxx-0
Future Grade Separation
2 9th St along north side west of Vineyard Ave - Sidewalk Improvements Citywide Infrastructure 11983035650/1808198-0
Safe Route To School 12343035650/18082340
3 Archibald Ave from Church to Palo Alto - Storm Drain
4 Distribution System Automation - Switch to RCMU Service Area
5 Epicenter - Hardscape Parking Lots B and C Planter Islands
6 Ettwanda Ave Grade Separation at Metrolink Tracks
7 Etiwanda Ave Line Extension from Arrow to Foothill
8 Fire District - Central Station 178 (New Fire Station)
9 Foothill Blvd from Grove Ave to San Bernardino Rd - Widening with Median
Island Including Landscaped Median to Vineyard
(Right -of -Way and Construction)
10 Foothill Blvd from San Bernardino Rd to Vineyard Ave - Median Landscape
11 Haven Ave from Banyan to Wilson along the East side - sidewalk
(Design and Construction funded with proposed TDA Grant and City match)
12 Haven Ave from Wilson 10 Vivienda - Community Trall West Side
(Continuation of Design with Construction funded)
13 Hermosa Ave from Banyan to Wilson - Pavement Rehabilitation
(Continuation of Design, with Construction FY16/17 if funds are available)
Related to Hermosa storm draln
14 Hermosa Ave from the Atta Loma Basin to Wilson - Storm Drain
Related to Hermosa pavement rehabilitation
15 Lemon Ave from Archibald to Haven - Pavement Rehabilitation
(Continuation of Design, with Construction FY17/18 if funds are available)
Related to Lemon storm draln
16 Lemon Avenue from Haven to 1300 feet west - Storm Drain
Related to Lemon pavement rehabilitation
17 LMD 2 (Victoria) Area - Paseo Lighting Repair and Replace
18 Paul A. Blane Library - Second Floor Rancho KIDS Project
19 Rochester Ave and Arrow Route, North East Comer - Street Widening
and Sidewalk Improvements
20 Victoria Gardens Cultural Center - Loading Bay
Unknown
Municipal Utility
Unknown
Unknown
Municipal Utility
Fire Capital Projects
Unknown
m00000000od 1805xxx-0
17053035650/xxxx705-0
xx)000XXXXX/xxxxx0(-0
)0000000000d 1922xxx-0
17053035650/1885705-0
32885015650/1645288-0
*0000000000189xxx-0
Amount (E)
16 953,000
25,000
90.800
115,800
1,215,000
250,000
66,000
40,000,000
602,500
9,000,000
4,630,000
Unknown
w000ixxxxxd1908xxx-0
300,000
Gas Tax R&T 7360
1 t743035650/1864174-0
75,000
TOA Article 3
12143035650/1864214-0
189.000
264, 000
Unknown
w00000000ad1829xxx-0
150,000
Gas Tax R&T 7360
11743035650/1815174-0
260,000
Unknown
4000000000(/1810xxx-0
2,245,000
Gas Tax R&T 7360
11743035650/1793174-0
560,000
Unknown
m000000000d1791xxx-0
1,700,000
LMD 2 Victoria
11313035650/1716131-0
150,000
Unknown
xam0000000d1867xxx-0
4,250,000
Unknown
xxm0000000dxxxxxxx-0
414,000
Capital Reserve 10250015650/1895025-0 25,000
Unknown v000000000d1895xxx71 5,000
200,000
Future & Unfunded Total: 83,325,300
Index - 6
P35
Beautification
Typical Beautification projects include parkway landscape, median islands, plant material replacement, community trail
landscape and open space preservation. The City strives to plan and budget for projects that exemplify Rancho
Cucamonga's aesthetic standards, particularly in areas of the City that are older and undergoing rehabilitation. Many
Beautification projects bring these areas into alignment with the rest of the City.
The City adheres to a Xeriscape policy in all of its plant material selection, ensuring current water conservation
standards, as well as the adaptability of plants, trees, flowers and shrubs to Southern California's warm and dry
climate. This practice helps to reduce ongoing maintenance and irrigation costs.
Project List & FY 2016-17 Expenditures Sources of Funding for FY 2016-17
1 Archibald Ave east side n/o $ 187,000
Sunflower - Widening
2 Archibald Ave n/o Norbrook-Carrari $ 150,000
St- Community Trail
3 LIVID 411 - Water Conservationa & $ 300,000
Landscape Renovation
$ 637,000
A
$300,000
■ Beautification ■ LMD 4R
000
P37
Project Number: 800-2015-13
JL Key: 1945
Object: 5650
Archibald Avenue east side north of Sunflower - Widening
Project Location:
Archibald Avenue - East side north
of Sunflower
Est. Construction Start/End:
02/2017 - 04/2017
Project Status:
Design and Constructon
Department:
Engineering
Project Manager:
Romeo David
Description: Widen Street along the east side and construct a community trail.
U,
C
fILSON AVE
NEF
ELEro
s [l
\~
EC'i=C0CXT10
11 jir
Justification: This project will improve the traffic flow with the wider road and allow room for bicyclists.
In addition, pedestrian circulation and
safety will be improved with the addition of the community trail.
$0
$0
$0
$0
Project Cost Estimate ($}:
Project Funding:
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $0 $0
$0
$0
$0
$0
Design/Plan Review $0 $0 $0
$0
$0
$0
$0
Right -of -Way $0 $o $0
$0
$o
$0
$0
Construction $0 $150,000 $o
$0
$0
$0
$150,000
Inspection & Administration $0 $22,000 $0
$0
$0
$0
$22,000
Contingency $0 $15,000 $0
$0
$0
$0
$15,000
Total Costs:
$0
$187,000
$0
$0
$0
$0
$187,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Beautification Fund (110)
$0
$187,000
$0
$0
$0
$0
$187,000
Total Costs:
$0
$187,000
$0
$0
$0
$0
$187,000
Impact on Operations:
This stretch will add a
few hundred feet to the City's
trail inventory, requiring trash removal, weed abatement,
and
routine maintenance.
Al
Project Number: 800-2016-12
JL Key: 1830
Object: 5650
Archibald Ave from North of Norbrook to Carrari St - Community Trail West Side
Project Location:
Archibald Avenue - From North of
Norbrook to Carrari Street, West
Side
Est. Construction Start/End:
02/2017 - 04/2017
Project Status:
Design and Construction
Department:
Engineering
Project Manager:
Romeo David
Description:
Construction of an equestrian trail on Archibald Avenue along the west side. Project includes the installation
of a 2 rail PVC fence,
mow curbs and decomposed granite surface material.
Justification:
This stretch along the west side of Archibald Avenue
will remove existing public
landscaping and trees,
and replace
with a
community trail as part of the City trail master plan.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$o $0
$o
$0
$o
$0
$0
Design/Plan Review
$0 $10,000
$0
$0
$0
$0
$10,000
Right -of -Way
$0 $0
$0
$0
$0
$0
$0
Construction
$0 $100,000
$0
$0
$o
$o
$100,000
Inspection & Administration $0 $30,000
$0
$0
$0
$0
$30,000
Contingency
$0 $10,000
$0
$0
$0
$0
$10,000
Total Costs:
$0 $150,000
$0
$0
$0
$0
$150,000
Project funding:
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Beautification (110)
$0 $150,000
$0
So
So
$0
$150,000
Total Costs: $0 $150,000 $0 $0
$o $0 $150,000
Impact on Operations: This stretch will add an additional quarter mile to the City's trail inventory, requiring trash removal, weed
abatement, and routine maintenance. But, it also removes public landscaping and trees, thus reducing water costs
and mainenance, and most likely reducing the overall cost of maintenance along this stretch.
A2
Project Location:
LIVID 4
Est. Construction Start/End:
July 2015 —July 2017
Project Status:
Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
Description: The replacement of high maintenance turf and vegetation with low water use landscaping that meets the need to conserve
resources, reduce maintenance costs, while providing landscape alternatives to the surrounding community.
Justification: The new landscaping will reduce maintenance costs and water use requirements.
Project Number:
J L Key: 1787
Object: 5650
LMD 4 - Water Conservation and Landscape Renovation
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$19,730
$0
$0
$0
$0
$0
$19,730
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$332,310
$300,000
$0
$0
$0
$0
$632,310
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$352,040
$300,000
$0
$0
$0
$0
$652,040
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
LIVID 411 Terra Vista (134)
$352,040
$300,000
$0
$0
$0
$0
$652,040
Total Costs:
$352,040
$300,000
$0
$0
$0
$0
$652,040
Impact on Operations:
There will be disruptions
when the existing landscaping
is removed and new landscaping installed.
However, once
completed, maintenance and irrigation costs will be much lower.
A3
Drainage
Drainage projects include the construction of new storm drains, storm drain lateral connections, flood control channels, catch
basins, debris racks and other forms of infrastructure that protect the public right-of-way from hazards caused by flooding and
severe weather events.
Drainage projects are scheduled and planned due to the availability of funding, safety concerns, new development, and
weather/emergency events. In extreme circumstances, inadequate drainage can prevent development from taking place.
The City consults with many other agencies when constructing new drainage improvements, including utility companies, the
Cucamonga Valley Water District, the San Bernardino Flood Control District and the Army Corps of Engineers, as needs dictate.
Drainage projects are typically funded from Drainage Funds and eligible street funding sources such as Measure I or Gas Tax.
Proiect List & FY 2016-17 Expenditures
1 Cucamonga Storm Drain Upper Phase 3- E/0 $ 3,900,000
Hellman to 19th Street
5 3,900,000
$2,700,00(
Sources of Funding for FY 2016-17
$800,000
W General Drainage 0 Measure I
$400,000
Citywide Infrastructure
21
111
Project Number: 800-2016-01
JL Key: 1928
Object: 5650
Cucamonga Storm Drain Upper Phase 3, e/o Hellman Avenue, Amethyst Street to 19th Street
Project Location:
East of Hellman Avenue, Amethyst
Street to 19th Street
Est. Construction Start/End:
04/2017 — 10/2017
Project Status:
Under Design
Department:
Engineering
Project Manager:
Romeo David
—J-1
gQz�~
TE
Fqu
IJ-� ;'l ky,_J•'—`_•a,rr n� _•'r�,T 5WJ ( 'r,� I �t I> >
uI 4
AIII'` _..._...., -
�1 J I `�v.-�nn+o 'sr sJJJ ccn�cn uRr cr _.. _.�_
L rn �c e a rR
PRQJECT LOCA"TIOPt
h
f^ A"DRQ ,Ji
U-1 DASL Lm0 RD
��
uoF ceNTe sT
0-
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_ rt I P I~ ROALDLBRA RY
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ST +t
•�'SnR: s ( -._I (T sq i
Description: Construct the Master Plan Storm Drain, install storm drain mainline, install catch basins, manholes, Laterals, curb and gutter,
sidewalks and overlay the entire road with asphalt rubber hot mix.
$0
$3,900,000
Project Funding:
Justification: This project will improve the drainage problems within the area and
enhance the traffic circulation, including the improvement
of
pedestrian safety.
TBD
TOTAL
General Drainange Fund (112)
$0 $800,000 $0 $0 $0
Project Cost Estimate ($):
$800,000
Measure I Fund (176)
$0 $400,000 $0 $0 $0
$0
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $0 $0
$0
$0
$0
$0
Design/Plan Review $0 $150,000 $0
$0
$0
$0
$150,000
Right -of -Way $0 $0 $0
$0
$0
$0
$0
Construction $0 $3,200,000 $0
$0
$0
$0
$3,200,000
Inspection & Administration $0 $230,000 $0
$0
$0
$0
$230,000
Contingency $0 $320,000 $0
$0
$0
$0
$320,000
Total Costs:
$0 $3,900,000 $0 $0 $0
$0
$3,900,000
Project Funding:
Funding Source
Prior Years 2016/17 2017/18 2018/19 2019/2
TBD
TOTAL
General Drainange Fund (112)
$0 $800,000 $0 $0 $0
$0
$800,000
Measure I Fund (176)
$0 $400,000 $0 $0 $0
$0
$400,000
Infrastructure Fund (198)
$0 $2,700,000 $0 $0 $0
$0
$2,700,000
Total Costs:
$0 $3,900,000 $0 $0 $0
$0
$3,900,000
Impact on Operations:
Less routine maintenance thus freeing up maintenance crews to attend to other needed areas.
In addition, the
storm drain will allow for the flood zone designation to be changed for the residents and businesses
in the area,
and relieving the need for additional flood insurance.
B1
Facilities
Projects that construct new buildings or that either improve, add on to, or renovate existing buildings and ancillary structures are
typically classified as Facilities Projects. These projects ultimately result in new structures being added to the City's fixed facility
inventory; however, some projects placed in this category are considered capital rehabilitation as they focus on the
remodeling or restoration of existing facilities.
The majority of these projects are funded via City Reserve funds. Major projects may qualify for state, federal and/or grant funding.
Typical operating expenses for facilities include increases in staffing, building and systems maintenance costs, overhead expenses
and utilities.
Project List & FY 2016-17 Expenditures
1 Animal Care & Adoption Center Mak $ 701,500
2 Archibald Library Office Design $ 205,000
3 Central Park -Emergency Backup $ 50,000
Power
4 Central Park -Flooring Rplcmt $ 310,000
5 City Facilities -Roofing Rplcmt &
$
250,000
Repairs
6 City Hall -Elevator Modification
$
95,000
7 Civic Center -Council Chambers AV
$
150,000
Rplcmt Ph2
8 Civic Center- Human Resources
$
350,000
Office Relocations
9 Civic Center-Lndscp Renov. Ph 2
$
500,000
10 Fire District-EOC Reconfiguration
$
282,280
11 Fire District -Jersey Station Trng
$
20,182,350
Facility
12 Fire District- San Bernardino Rd
$
750,000
Station Relocation
13 Fire District -Water Conservation
$
600,000
Lndscping
14 LoanMart Stadium- Sound System
$
50,000
15 LoanMart Stadium- Team Locker
$
25,000
Rms Carpet
Project List & FY 2016-17 Expenditures
16 LoanMart Stadium- Team Locker $ 30,000
Rm. Showers
17 PWSD- Warehouse $ 170,000
18 RCFSC-Relocation $13,200,000
19 Victoria Gardens Cultural Cntr- $ 120,000
Courtyard Re -Design
20 Victoria Gardens Cultural Cntr- $ 500,000
Painting
$ 38,521,130
Sources of Funding for FY 2016-17
$25o,c^^
$205,000
$7,000,000
Unknown
Park Development
Recreation Reserve
W Homeland Security
$5,751,500
-)L, /UU,000
■ Capital Reserve
■ City Infrastructure
■ Library Reserve
■ Equip/Veh Replacement
P43
Project Number:
1L Key: 1920
Object: 5650
Animal Care and Adoption Center Makeover
Project Location:
Animal Care and Adoption Center
Est. Construction Start/End:
July 2016—June 2017
Project Status:
Carry over from FY 15-16
Department:
PWSD/Animal Sheter
Project Manager:
T. Quaintance/V. Fincher
J �JI
aw f
. FO<,THILL BLVD � --
S�aF>zieCLriiv
RANCHO CUCAMONGA ADULT SPORTS COMPLEX
1A{ K-6ENN _Cfg
El I ;�
t // fe
PROJECT LOCATION
Si! kSEY"B CVD �IE /tsgY �r ///f/
Description: This project includes: complete painting of interior, removal of epoxy coating throughout the facility, energy efficient lighting, new
kennel gates, installation of new sinks, new tile floors in the main lobby, enhancement of plumbing in the kennel area and new
sound acoustics to assist with the interior noise level.
Justification: The Animal Care and Adoption Center has been open to the community for over 9 years and is showing signs of wear due to the
busy day-to-day operations and the high volume of animals and visitors
the center receives.
This project
will address
many of the
needs for the animals, as well as the community and city staff.
Project Cost Estimate ($):
Expenditure/Cateeory Prior Years 2016/17 2017/18
2018/19 2019/20
TBD
TOTAL
Environmental/NPDES $0 $0 $0
$0
$0
$0
$0
Design/Plan Review $38,500 $0 $0
$0
$0
$0
$38,500
Right -of -Way $0 $0 $0
$0
$0
$0
$0
Construction $110,000 $651,500 $0
$0
$0
$0
$761,500
Inspection & Administration $0 $0 $0
$0
$0
$0
$0
Contingency $0 $50,000 $0
$0
$0
$0
$50,000
Total Costs: $148,500 $701,500 $0 $0 $0
$o $850,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Capital Reserve (025) $148,500 $701,500 $0 $0 $0 $0 $850,000
Total Costs: $148,500 $701,500 $0 $0 $0
$0 $850,000'
Impact on Operations: This project will update the Center's physical appearance as well as become more energy efficient with the new
lighting and plumbing fixtures. The new floors will assist with the overall maintenance operations. Relocation of
some of the animals during the kennel area may be needed during the makeover phase.
C1
Project Number:
JL Key:
Object: 5602
Archibald Library Office Redesign
Project Location:
Archibald Library staff areas: first
floor (Circulation staff area) and
second floor (staff area and
literacy office)
Est. Construction Start/End:
TBD
Project Status:
Design and Build
Department:
Library
Project Manager:
Michelle Perera
/ I Y
4Oa�R[L;—s=T W
1—
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PEPPER S 1 tt¢
W ARCHIBALD LIBRARY Y
G IRCi 1:1W.b:O.D ST Y
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7- .
> AL6ER SST (\�• `
VYAI-NIIT'l;T 4
S �
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Description: Redesign and new furniture for staff areas at the Archibald Library, including first floor staff office and area in Circulation, second
floor administration area, staff room, and offices; and second floor literacy offices. Most of the work will be cosmetic.
Justification: Existing staff area is over 20 years old and contains all original furniture, with the exception of the chairs.
Limited storage space
and functional cubicles has led to boxes, carts, and
library materials
crowding staff areas.
Creating a more efficient and
ergonomic
space will allow for better workflow, better working conditions, as well as more inviting
for the public into admin
area.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$5,000
$0
$0
$0
$0
$5,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$200,000
$0
$0
$0
$0
$200,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0
$205,000
$0
$0
$0
$0
$205,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Library Reserve (329)
$0
$205,000
$0
$0
$0
$0
$205,000
Total Costs: $0 $205,000 $0 $0
Impact on Operations: No impact on operations. Overall space remains the same.
C2
$0 $0 $205,000
P45
Project Number:
JL Key: 1914
Object: 5650
Central Park - Emergency Backup Power
Project Location:
Central Park
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Eng/Fire/PW
Project Manager:
C Billings/M. Courtney/Ty Q.
c --i rc,
P —61CTLO AZION"
ULp L
Description: To design an emergency backup power system that will provide 100% power for Central Park which is to be used as an evacuation
center.
Justification: The emergency back up power will be used during emergency situations where Central Park is used as an evacuation center.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$o
$0
$0
$0
$0
$0
Design/Plan Review
$0
$50,000
$0
$0
$0
$0
$50,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$o
$0
$0
$0
$0
$0
$0
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0
$50,000
$0
$0
$0
$0
$50,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Fire Fund (288)
$0
$50,000
$0
$0
$0
$0
$50,000
Total Costs:—
$0
$50,000
$0
$0
$0
$0
$50,000
Impact on Operations:
None
C3
Project Location:
Central Park
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
M:
Project Number:
JL Key:
Object: 5602
Central Park - Flooring Replacements
�,_PR,OJ
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LLLJL
CV CAMONGA CEN
Description: Replace marmoleum flooring in halls and rooms - Rancho Hall (4,512 SF), David Drier Hall (3,192 SF), Creative Corner (1,140 SF),
Bear Flat & Grizzly Gulch (750 SF each), Raccoon (600 SF), Fox (700 SF), Chipmunk (800 SF), Playschool Hall (250 SF), Staff
Breakroom (400 SF), Snack Bar (200 SF), Game Point (850 SF), Crafters Den (750 SF) and Clay Creek (1,152 SF). Total of 16,046 SF.
Justification: The existing flooring is over 10 years old and in need of replacement thoughout the facility. The marmoleum pieces are coming up
in sections. Due to funding limits, Base Bid will be Rancho Hall and David Drier Hall marmoleum replacement. There will be
Additive Bids for all the remaining rooms/halls. Additive Bids will be awarded depending on remaining funds after Base Bid
amount.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$10,000
$0
$0
$0
$0
$10,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$300,000
$0
$0
$0
$0
$300,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$o
$o
$0
$o
$o
Total Costs:
$0
$310,000
$0
$0
$0
$0
$310,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Capital Reserve (025)
$0
$310,000
$0
$0
$0
$0
$310,000
Total Costs:
$0
$310,000
$0
$0
$0
$0
$310,000
Impact on Operations:
Installation will have significant impact on the usage
of the halls and
rental rooms.
Existing marmoleum must be
removed, concrete
treated and adhesive and new flooring
applied. No
foot traffic on new flooring for minimum of
7 days after installation.
PWSD must coordinate with
CSD to ensure
rooms will
not be used during
installation
period.
C4
11F1
Project Number:
JL Key:
Object: 5602
City Facilities - Roofing Replacement and Repairs
Project Location:
Animal Care, Cultural Arts, Family
Resource Center, Lions East and
Lions West
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
Description: Replace roofing systems at Lions West. Roofing repairs are required at Lions East as well as the Animal Care and Adoption Center.
The RC Family Resources Center roofing will be replaced at a later date, possibly FY 2017/18, since future of this facility still needs
to be determined.
Justification: During FY 15/16, a consultant performed an evaluation of the roofing systems at all City facilities, with the exception of the Civic
Center. The results of the roofing survey recommended that the roofs at these noted facilities need to be replaced and/or
repaired.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0 $0
Design/Plan Review $0 $0 $0 $0 $0 $0 $0
Right -of -Way $0 $0 $0 $0 $0 $0 $0
Construction $0 $200,000 $125,000 $0 $0 $0 $325,000
Inspection & Administration $0 $50,000 $0 $0 $0 $0 $50,000
Contingency $0 $0 $0 $0 $0 $0 $0
fw
$0
$250,000
$125,000
d x
,I T I,IPA CN
w
59
$0
$0
$375,000
Project Funding:
m
"�� I y �
TR
r
NS N
S W
i
ST
2016/17
41i1B�gLRL`. NI
9
suTw a
2018/19
2019/20
TBD
��
FA TAIT,Ilt :w
�I.IniLLtlLV
IL
$250,000
�q_=F �L_{��LJ
$0
$0
$0
E
ENTER
�P
I�exe„t TER.'q �MiA
HRE STATION
JER5EY CkvIJ=-t��
$250,000
$125,000
$0
Y I
$0
$375,000
Impact on Operations:
-fN�i>
� bTH•a�
a MPIRE•lANE3 GM i R E
�---STH9•T
requirements at these
qq
i6...�A..�Y,•II
�PIRC li RES GO` URS ' $
/
Total Costs:
$0
$250,000
$125,000
$0
$0
$0
$375,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Capital Reserve (025)
$0
$250,000
$125,000
$0
$0
$0
$375,000
Total Costs:
$0
$250,000
$125,000
$0
$0
$0
$375,000
Impact on Operations:
Replacement or repair
of roofing at the mentioned facilities will
reduce maintenance
requirements at these
facilities.
C5
Project Number:
JL Key:
Object: 5602
City Hall - Elevator Modernization
Project Location:
City Hall
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
ECT LOCA'TioI -`- -._
STATION
Description: Modernization of the City Hall elevator to be in compliance with current ADA requirements.
Justification: Bids for this project were originally opened in March 2016. The current low bid for this project did not include necessary items,
such as fire detection and phone work.
Will need to go back out to bid to include all
improvements.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$8,160
$0
$0
$0
$0
$0
$8,160
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$95,000
$0
$0
$0
$0
$95,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$8,160
$95,000
$0
$0
$0
$0
$103,160
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Capital Reserve (025) $8,160 $95,000 $0 $0 $0 $0 $103,160
Total Costs: $8,160 $95,000 $0 $0 $0
$0 $103,160
Impact on Operations: City Hall elevator will be out of commission while work is being performed.
C6
=0
Project Number:
1L Key:
Object: 5602
Civic Center - Council Chambers AV Replacement Phase III
Project Location:
Civic Center - Council Chambers
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
Description: Phase III of the Council Chamber AV Replacement.
CIVIC CENTER
�`F
LOCATION
Justification: This phase will complete the AV replacement project and new HD cameras, additional hardware and software updates, various
lighting improvements and facility enhancements.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$30,000
$50,000
$0
$0
$0
$0
$80,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$530,520
$100,000
$0
$0
$0
$0
$630,520
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$560,520
$150,000
$0
$0
$0
$0
$710,520
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Capital Reserve (025)
$300,000
$0
$0
$0
$0
$0
$300,000
PEG (882)***
$250,000
$150,000
$0
$0
$0
$0
$400,000
Fire Fund (288)
$10,520
$0
$0
$0
$0
$0
$10,520
Total Costs: $560,520 $150,000 $0 $0
$0 $0 $710,520
***Cost incurred in Capital Reserve funding for 2015/2016 and 2016/2017, will be reimbursed with PEG funding.
Impact on Operations: None
C7
Project Location:
City Hall, Lower Level
Est. Construction Start/End:
July 2016 - December 2016
Project Status:
Preliminary space plan
Department:
Human Resources and Finance
Project Manager:
Robert Neiuber
Description:
Me]
Project Number:
JL Key:
Object: 5602
Civic Center - Human Resources Office Relocation
Current GIS space and part of adjacent IS space, would be reconfigured to become a new space for Human Resources. Space would
include an Intern bullpen to be shared with all departments, a training and collaboration room, storage and offices. The old Human
Resources offices would be repurposed and reconfigured for Finance staff to occupy.
Justification: Current shared space with Finance is too small to accommodate both staffs, along with their storage and meeting space needs. The
new space will better fit HR's organizational development role and allow us to continue to improve our onboarding
process with
new people coming into Team RC. It will also provide a more efficient work space for staff and a centralized location for interns to
encourage collaboration among departements.
$0
Project Cost Estimate ($):
$356,000
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD
TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0
$0
Design/Plan Review $6,000 $0 $0 $0 $0 $0
$6,000
Furnishings $0 $150,000 $0 $0 $0 $0
$150,000
Construction $0 $200,000 $0 $0 $0 $0
$200,000
Inspection & Administration $0 $0 $0 $0 $0 $0
$0
Contingency $0 $0 $0 $0 $0 $0
$0
Total Costs:
$6,000
$350,000
$0
$0
$0
$0
$356,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
General Fund (001)
$6,000
$0
$0
$0
$0
$0
$6,000
Capital Reserve (025)*
$0
$350,000
$0
$0
$0
$0
$350,000
Total Costs:
$6,000
$350,000
$0
$0
$0
$0
$356,000
*Comprised of Capital Facilities Replacement Reserve ($325,000) and Self -Insurance Reserve ($25,000)
Impact on Operations: No additional ongoing operating costs.
C8
Project Location:
Civic Center
Est. Construction Start/End:
07/2016 — 06/2017
Project Status:
Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
Description: Continue the replacement of the high maintenance and water consuming turf and vegetation with low water use landscaping. This
will provide landscaping alternatives to the surrounding community while conserving resources and reducing maintenance costs.
Justification: The new landscaping will significantly reduce maintenance costs and comply with water use requirements along with establishing a
landscape conservation show piece for the community and future development. Work will start at perimeter and turf areas.
Project Cost Estimate ($):
Expenditure /Category Prior Years 2016/17 2017/18 2018/19 2018/19 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0 $o $0 $0
Design/Plan Review $91,750 $0 $0 $0 $0 $0 $91,750
Right -of -Way $0 $o $0 $0 $0 $0 $0
Construction $0 $475,000 $0 $0
$0 $0 $475,000
Inspection & Administration $0 $0 $0 $0 $0 $0 $0
Contingency $0 $25,000 $0 $0 $0 $0 $25,000
P51
Project Number:
1L Key:
Object: 5607
Civic Center - Landscape Renovation Phase I & If
Total Costs:
$91,750 $500,000 $0 $0 $0
$0
$591,750
Project Funding:
Funding Source
Prior Years 201617 201718 201819 2018/19
TBD
TOTAL
Capital Reserve (025)
$91,750 $500,000 $0 $0 $o
$0
$591,750
Total Costs:
$91,750 $500,000 $0 $0 50
$0
$591,750
Impact on Operations:
There will be disruptions when the existing landscaping is removed and new landscaping
installed.
However, once
completed, maintenance and irrigation costs will be much lower.
C9
P52
Project Number:
JL Key:
Object: 5606
Fire District -Emergency Operations Center {EDC) Reconfiguration
Project Location:
10510 Civic Center Drive Police
Facility -Third Floor
Est. Construction Start/End:
June 2016 -December 2016
Project Status:
In Design
Department:
Fire Protection District
Project Manager:
Chief Cloughesy/B. Medina
-- _ _ i l -`
— FOI TFiILI BLVD
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CIVIC CENTER
i
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ECT LOCATION
RTE
Description: Reconfiguration of the existing Emergency Operations Center workstations and completion of upgrades to the audiovisual
equipment.
Justification: This project will serve the entire community of Rancho Cucamonga and provide updated and adequate response capability to the
existing outdated equipment for the management of natural disasters such as fire, flood, wind and earthquake. Based on real
world incidents, exercises and trainings these upgrades have been identified through after action reporting and will provide
enhanced collaboration with internal and external agencies and allow for increased incident management.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Audio/Visual Technology $20,000 $25,000 $0 $0 $0 $0 $45,000
Ergonomic Workstations $0 $197,280 $0 $0 $0 $0 $197,280
Chairs $0 $50,000 $0 $0 $0 $0 $50,000
Magnetic Whiteboard $0 $10,000 $0 $0 $0 $0 $10,000
Contingency $0 $0 $0 $0 $0 $0 $0
Total Costs: $20,000 $282,280 $0 $0 $0 $0 $302,280
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Fire Capital Projects (288) $20,000 $250,000 $0 $0 $0 $0 $270,000
FY2015 Homeland Security (380) $0 $32,280 $0 $0 $0 $0 $32,280
Total Costs: $20,000 $282,280 $0 $0 $0 $0 $302,280
Impact on Operations: This project will increase capacity of the Emergency Operations Center (EOC) potentially saving the City money
through the procurement of disaster recovery funds based on proper incident management techniques.
C10
Project location:
Behind Jersey Fire Station (174)
and the Fire Maintenance Facility
on Jersey Boulevard.
Est. Construction Start/End:
2015/16 - 2016/17
Project Status:
Bid for construction
Department:
Fire Protection District
Project Manager:
Chief Clough esy/Pamel a Pane
Project Number:
JL Key: 1735
Object: 5650
Fire District - Jersey Station (174) Training Facility
Description: Architect approved by the Fire Board on July 2, 2014, for Phase II of the Architectural Design Services.
Justification: A training facility has been part of the Jersey Station Master Plan since its inception. Several multi -story hotels have been
constructed and additional mid -rise professional offices are proposed in the future necessitating this training tower. It will include
expanded classrooms, a live burn building, multi -story training building and other props that will simulate construction features in
present and future developments. Will include a Data Center that will provide for redundancy of services to strengthen our City's IS
infrastructure. Will also include the FIRE DOC and centralized storage for the District. Other driving forces for this All Risk Training
Center are population growth, increased need to train with regional cooperating agencies and provison of a realistic facility our PD
parners can utilize for local training and coordination.
Project Cost Estimate ($):
Expend iture/Ca teeory
Environmental/NPDES
Design/Plan Review
Construction Management
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
Fire Capital Projects (288)
rota) Costs:
Impact on Operations:
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$15,980
$0
$0
$0
$0
$0
$15,980
$1,704,086
$0
$0
$0
$0
$0
$1,704,086
$1,875,680
$0
$0
$0
$0
$0
$1,875,680
$191,353
$19,182,350
$0
50
$0
$0
$19,373,703
$0
$50,000
$0
$0
$0
$0
$50,000
$0
$950,000
$0
$0
$0
$0
$950,000
$3,787,099
$20,182,350
$0
$0
$0
$0
$23,969,449
Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
$3,787,099 $20,182,350 $0 $0 $0 $0 $23,969,449
$3,787,099 $20,182,350 $0 $0 $0 $0 $23,969,449
Fire District operations and maintenance cost will increase. The cost will be better determined after the design
phase is complete. Opportunities may exist for regional partnerships that could help effect operational costs.
C11
P53
P54
Project Number:
1L Key: 1733
Object: 5650
Fire District - San Bernardino Station 172 Relocation
Project Location:
At the northwest corner of San w
z.
Nz
Bernardino Road and Vineyard 0116UNNET DH
Avenue {
Est. Construction Start/End:
\1\
Unknown
Expenditure/Category
--PROJECT LOCATION
2016/17
2017/18
2018/19
2019/20
C
Project Status:
Environmental/NPDES
$0
$0
$0
Property purchased for a
$0
$0
.0
Design/Plan Review
proposed location
$750,000
$0
�
3
a
Department:
$750,000
z
z
>
a
Fire Protection District
$0
$0
FOOTHILL BLVD
o
$0
Project Manager:
Construction
$101,460
$0
$6,000,000
Chief Mike Costello/Pamela Pane
$0
$0
Description: New Fire Station construction at a new location.
Property has been purchased for a proposed new location. Alternate locations are
also being evaluated.
$0
$0
Justification: Rebuilding and possibly relocating a 50+ year old
fire station. This station serves the southwestern portion of the Rancho Cucamonga
community.
$0
Contingency
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$750,000
$0
$0
$0
$0
$750,000
Land Acquisition
$881,334
$0
$0
$0
$0
$0
$881,334
Construction
$101,460
$0
$6,000,000
$0
$0
$0
$6,101,460
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$982,794
$750,000
$6,000,000
$0
$0
$0
$7,732,794
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Fire Capital Projects (288)
$982,794
$750,000
$6,000,000
$0
$0
$0
$7,732,794
Total Costs:
$982,794
$750,000
$6,000,000
$0
$0
$0
$7,732,794
Impact on Operations:
No additional personnel costs - current
San Bernardino Station personnel will move to the new station when
complete. Larger station
design could
create an increase
in maintenance costs, but
greater efficiency in station
equipment could make
it a wash.
C12
P55
Project Number:
JL Key:
Object: 5602
Fire District - Water Conservation Landscaping
Project Location:7
-wiNsmN.Av =^s wI SF!N-AVr 4 wrcsb ry
STATION
IRE
Banyan Fire Station (175), East I a t-
76 \ }
Avenue Fire Station (176) and the/{}bt
District Utica Property N: FIRE-STATItN •�pNYwgN
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Working on design with Architect
Department:
Fire Protection District
LOCATION
Project Manager:
g
L
r=1
���eNl rew�pR-�� •eennwok"'
$0
$0
Chief Cloughesy/Pam Pane
1
L '—T --ice j AR Uw=R-T'
Project Funding:
Description: Removal of high water use turf and replace with drought tolerant landscape plant materials with drip system retrofit.
The low
impact design allows for utilizing certain stations with bio swales to allow for on-site nuisance water retention and percolation.
Also
includes hardscape improvements for vehicular circulation, perimeter gate/fencing modification and ADA improvements to both the
front public parking and entrance.
Funding Source
Justification: Executive order from the State of California to take measures to reduce water consumption.
2016/17
Project Cost Estimate ($}:
2018/19
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD
TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0
$0
Design/Plan Review $166,350 $0 $0 $0 $0 $0
$166,350
Right -of -Way $0 $0 $0 $0 $o $0
$0
Construction $0 $600,000 $0 $0 $0 $0
$600,000
Inspection & Administration $0 $0 $0 $0 $0 $0
$0
Contingency $0 $0 $0 $0 $0 $0
$0
Total Costs:
$166,350
$600,000
$0
$0
$0
$0
$766,350
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Fire Capital Fund (288)
$166,350
$600,000
$0
$0
$0
$0
$766,350
Total Costs:
$166,350
$600,000
$0
$0
$0
$0
$766,350
Impact on Operations:
Decrease in maintenance and operations.
Will not know the full impact
until we have a design.
C13
Project Number:
JL Key:
Object: 5603
LoanMart Stadium - Sound System
Project Location:
LoanMart Stadium
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
PWSD/Community Services
Project Manager:
Ty Quaintance/Christen Mitchell
�� i O U sT YLRv411�E5_3T���_i=
viG T �ft�GN�I N
=;rte
_PRO ECT LOCATION'
FnOTMiLL 6LVC j ��/
RANC110 CUC MCtNGA ADULTSPORTS C6MPLEX
n:RRYlW ItT
Description: Fix, if possible, the sound system at LoanMart Stadium.
If the sound system cannot be fixed, the entire sound system will be
replaced (new speakers, mixer, amplifier, wiring, etc.).
$0
$0
$0
$0
$50,000
Justification: The existing sound system at LoanMart Stadium is the original sound system from when the stadium opened
in 1993.
The system
needs to be upgraded or replaced.
Funding Source
Project Cost Estimate ($):
2016/17
2017/18
2018/19
2019/20
TBD
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $0
$0
$0
$0
$0
$0
Design/Plan Review $0 $50,000
$0
$0
$0
$0
$50,000
Right -of -Way $0 $0
$0
$0
$0
$0
$0
Construction $0 $0
$0
$0
$0
$0
$0
Inspection & Administration $0 $0
$0
$0
$0
$0
$0
Contingency $0 $0
$0
$0
$0
$0
$0
Total Costs:
$0
$50,000
$0
$0
$0
$0
$50,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Capital Reserve (025)
$0
$50,000
$0
$0
$0
$0
$50,000
Total Costs:
$0
$50,000
$0
$0
$0
$0
$50,000
Impact on Operations:
None
C14
P57
Project Number:
JL Key:
Object: 5602
LoanMart Stadium - Team Locker Rooms Carpet Replacement
Project Location:
Epicenter
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
11
)QTH11 I R1 VQ
z
ROJECT LOCATION o�
Description:
Replace carpeting in team locker rooms.
$25,000
$0
$0
$0
$0
Justification:
Carpeting in home team locker room was last replaced in 2010. The carpeting must
be replaced due to
the wear and tear that the
athletes inflict on the carpeting every baseball season.
Base bid will
be to replace carpeting
in visitor locker
room with additive
Prior Years
bid to replace carpeting in home team's locker room.
2017/18
2018/19
2019/20
TBD
TOTAL
Project Cost Estimate ($):
$0
$25,000
$0
$0
$0
Expenditure/Category
Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $0
$0
$0
$0
$0
$0
Design/Plan Review
$0 $0
$0
$0
$0
$0
$o
Right -of -Way
$0 $0
$0
$0
$0
$0
$0
Construction
$0 $25,000
$0
$0
$0
$0
$25,000
Inspection & Administration $0 $0
$0
$0
$0
$0
$0
Contingency
$0 $0
$0
$0
$0
$0
$0
Total Costs:
$0
$25,000
$0
$0
$0
$0
$25,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Capital Reserve (025)
$0
$25,000
$0
$0
$0
$0
$25,000
Total Costs:
$0
$25,000
$0
$0
$0
$0
$25,000
Impact on Operations:
None
C15
Project Number:
JL Key:
Object: 5602
LoanMart Stadium - Team Locker Rooms Shower Fixtures Replacement
Project Location:
Epicenter
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
Description: Replace original communal shower fixtures in both team locker rooms. Total of six communal shower fixtures (three in each
locker room).
Justification: The communal shower fixtures (with
3 sprayer heads and 3 hot/cold
water controls per fixture) in team locker rooms are the
original fixtures from when the stadium
first opened back in 1993.
Over the years, staff has repaired the
fixtures multiple times.
However, the
fixtures are at the end of their useful life cycle.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17 2017/18
2018/19
2019/20
TBD TOTAL
Environmental/NPDES
$0
$0 $0
$0
$0
$0 $0
Design/Plan Review
$0
$0 $0
$0
$0
$0 $0
Right -of -Way
$0
$0 $0
$0
$0
$0 $0
Construction
$0
$30,000 $0
$0
$0
$0 $30,000
Inspection & Administration
$0
$0 $0
$0
$0
$0 $0
Contingency
$0
$0 $0
$0
$0
$0 $0
Total Costs:
$0
$30,000 $0
$0
$0
$0 $30,000
Project Funding:
Funding Source
Prior Years
2016/17 2017/18
2018/19
2019/2
TBD TOTAL
Capital Reserve (025)
$0
$30,000 $0
$0
$0
$0 $30,000
Total Costs:
$0
$30,000 $0
$0
$0
$0 $30,000
Impact on Operations:
None
C16
Project Location:
City Corporate Yard
Est. Construction Start/End:
07/2016-06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Ty Quaintance
Description: Design and construction of an additional warehouse (approximately 13,500 square feet)
Project Number:
1L Key: 1927
Object: 5650
Public Works Services Department - Warehouse Exnansion
Justification: To expand the ever growing demand for storage for all City departments. This will also allow for permanent placement of the
Kitten Nursey in the existing warehouse. PWSD workshops, currently operating outside in storage containers, are exposed to the
environment. Once relocated to the new warehouse, staff can use the workshops in all weather conditions.
Project Cost Estimate ($j:
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0 $0
Design/Plan Review $0 $170,000 $0 $0 $0 $0 $170,000
Right -of -Way $0 $0 $0 $0 $0 $0 $0
Construction $0 $0 $1,700,000 $0 $0 $0 $1,700,000
Inspection & Administration $0 $0 $0 $0 $0 $0 $0
Contingency $0 $0 $0 $0 $0 $0 $0
Total Costs: $0 $170,000 $1,700,000 $0 $0 $0 $1,870,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Capital Reserve (025) $0 $170,000 $1,700,000 $0 $0 $0 $1,870,000
Total Costs: $0 $170,000 $1,700,000
Impact on Operations: None
C17
$0 $0 $0 $1,870,000
P59
Project Number:
JL Key: 1896
Object: 5650
Rancho Cucamonga Family Sports Center - Relocation
Project Location:
Parking Lot G at the Epicenter
Est. Construction Start/End:
01/2017-12/2017
Project Status:
Construction
Department:
Community Services/Parks
Project Manager:
Nettie Nielsen
i
�- L
"""'I'LL IILVO
---------------
RANC
PROJECT LOCATION
1 RC ANIMAL ARE & ADOPTION CL
1\ 0 1
ARROW ROUTE
'a
w
.-Y
SPORTS COMPLEX
Description: This project will provide the design, construction and construction management for the relocation of the existing Rancho Cucamonga
Family Sports Center.
Justification: Need to relocate existing facility and programs due to loss of existing building use.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$1,350,000
$0
$0
$0
$0
$0
$1,350,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$11,425,000
$0
$0
$0
$0
$11,425,000
Inspection & Administration
$0
$525,000
$0
$0
$0
$0
$525,000
Contingency
$0
$1,250,000
$0
$0
$0
$0
$1,250,000
Total Costs:
$1,350,000
$13,200,000
$0
$0
$0
$0
$14,550,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Capital Reserve (025)
$0
$2,500,000
$0
$p
$0
$0
$2,500,000
Park Development (120)
$1,350,000
$2,700,000
$0
$0
$0
$0
$4,050,000
Citywide Infrastructure (198)
$0
$7,000,000
$0
$0
$0
$0
$7,000,000
Recreation Fund Reserve (250)
$0
$250,000
$0
$0
$0
$0
$250,000
Equip/Vehicle Replacement (712)
$0
$750,000
$0
$0
$0
$0
$750,000
Total Costs:
$1,350,000
$13,200,000
$0
$0
$0
$0
$14,550,000
Impact on Operations: This project will ultimately require maintenance of a new facility, as well as new landscape and irrigation
C18
Project Number:
JL Key: 1894
Object: 5650
Victoria Gardens Cultural Center - Courtyard Redesign
Project Location:
12505 Cultural Center Drive
Est. Design Start/End:
TBD
Project Status:
Design
Department:
Community Services/Parks
Project Manager:
Nettie Nielsen
Description:
Justification
1` U_
ClILT11RAL..LNTFR D >
�'at ll VICTORIA��nA CI T RAL CENTER 1
PAU BIANE LIBRA
VI C:`I dRIAdA R6EN-�,-0N�PROJECT LOCATIO
J
m
Y
W
W
v a
� J
This project will be done in conjunction with Victoria Gardens to develop a design for the Cultural Center Courtyard.
Provide enhancements to the existing courtyard to make the space more inviting for the public and rental opportunities.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
Capital Reserve (025)
CFD 2003-01 Cultural Center (615)
Unknown
Total Costs:
Impact on Operations:
ANO$ I
01
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$25,060
$120,000
$0
$0
$0
$0
$145,060
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$400,000
$400,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$25,060
$120,000
$0
$0
$0
$400,000
$545,060
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$20,000
$120,000
$0
$0
$0
$0
$140,000
$5,060
$0
$0
$0
$0
$0
$5,060
$0
$0
$0
$0
$0
$400,000
$400,000
$25,060
$120,000
$0
$0
$0
$400,000
$545,060
This project will ultimately require additional maintenance as well as new landscape and irrigation
C19
P61
M
Project Number:
JL Key: 1890
Object: 5650
Victoria Gardens Cultural Center - Exterior Joint Replacement, Roofing and Painting
Project Location:
Cultural Arts Center
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
PWS/Eng/CSD
Project Manager:
T. Quaintance/1 Dyer/C Mitchell
U u
Lo
CHURCHST
CULTU
El
,'= *EIC0��II Ali -I
Q
Description:
Remove and replace exterior building joints and make repairs to the existing roofing system at the Victoria Gardens Cultural
$500,000
Center. Paint entire exterior of building.
$0
$0
$0
$500,000
Justification:
Need for repairs is based on the recommendations from 2015 roofing
survey.
Exterior of building has
not been repainted since
facility opened in 2006. Exterior paint is showing signs of deterioration.
Funding Source
Prior Years
2016/17
Project Cost Estimate ($):
2018/19
2019/2
TBD
TOTAL
Expenditure/Category
Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
$0
Environmental/NPDES
$0 $0 $0
$0
$0
$0
$0
Design/Plan Review
$0 $0 $0
$0
$0
$0
$0
Right -of -Way
$0 $0 $0
$0
$0
$0
$0
Construction
$0 $500,000 $0
$0
$0
$0
$500,000
Inspection & Administration
$0 $0 $0
$0
$0
$0
$0
Contingency
$0 $0 $0
$0
$0
$0
$0
Total Costs:
$0
$500,000
$0
$0
$0
$0
$500,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Capital Reserve (025)
$0
$500,000
$0
$0
$0
$0
$500,000
Total Costs:
$0
$500,000
$0
$0
$0
$0
$500,000
Impact on Operations:
None
C 20
P63
Miscellaneous
Miscellaneous projects are the capital undertakings that do not qualify for classification into the other project categories.
These are often one-time projects that are prompted by factors such as:
- State or Federal Mandates
- Community Health and Safety Issues
- Council Goals and Priorities
- Regional Needs Assessments
- Interagency Agreements
- External Funding Arrangements
These projects may or may not have maintenance obligations and they are typically funded from a variety of special funding
sources; they are rarely funded via the General Fund.
Proiect List & FY 2016-17 Expenditures
1 ADA Ramps @ Various Locations
$
200,000 $4E
2 Arrow Rte from Bear Gulch- w/o
$
724,360
Archibald- Utility Underground
3 Base Line Rd from Carnelian to
$
559,570
Vineyard- Utility Underground
4 Bus Stop Pads (ab Various Locations
$
62,600
5 PE Trail above VPL Tunnel fencing
$
98,000
$ 1,644,530
11
Sources of Funding for FY 2016-17
$200,000 $16,000
j1,GUJ,Jor)
■ Underground Utilities ■ Ped Grant
Measure 1 ■ AB2766
Project Location:
Various locations City Wide
Est. Construction Start/End:
02/2017-04/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
Project Number: 800-2015-13
JI -Key: 1150
Object: 5650
ADA Ramps at Various Locations
Description: Construct ADA compliant ramps at various locations citywide. Locations for ramp installations come from the ADA Transition Plan,
which is updated annually. This capital project encompasses all ADA compliance issues that cannot be incorporated into other
improvement projects, but which must still be addressed in a timely fashion.
Justification: Meets the City's ongoing commitment to install ADA ramps where they are missing and required by law
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$o
$0
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$287,790
$180,000
$0
$0
$0
$0
$467,790
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$20,000
$0
$0
$0
$0
$20,000
Total Costs:
$287,790
$200,000
$0
$0
$0
$0
$487,790
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Measure I Fund (177)
$287,790
$200,000
$0
$0
$0
$0
$487,790
Total Costs:
$287,790
$200,000
$0
$0
$0
$0
$487,790
Impact on Operations: None
D1
2-d
P65
Project Number: 800-2010-12
JL Key: 1777
Object: 5650
Arrow Route from Bear Gulch to West of Archibald Avenue - Utility Underground
Project Location:
Arrow Route from Bear Gulch to
west of Archibald Avenue
Est. Construction Start/End:
04/2017 - 09/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Jerry Dyer
Description: This project will underground a stretch of existing overhead utilities along Arrow Route from Bear Gulch to west of Archibald
Avenue.
$724,360
$0
Justification: The removal of the overhead utilities, by placing them underground, improves the aesthetic appearance of the area.
This project
will be constructed by Edison with City oversight using Rule 20A funds and City Undergrounding funds
$724,360
Project Funding:
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20
TBD
TOTAL
Environmental/NPDES $0 $0 $0 $0 $0
$0
$0
Design/Plan Review $0 $20,000 $0 $0 $0
$0
$20,000
Right -of -Way $0 $0 $0 $0 $0
$0
$0
Construction $0 $626,690 $0 $0 $0
$0
$626,690
Inspection & Administration $0 $15,000 $0 $0 $0
$0
$15,000
Contingency $0 $62,670 $0 $0 $0
$0
$62,670
Total Costs:
$0
$724,360
$0
$0
$0
$0
$724,360
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Underground Utilities (129)
$0
$724,360
$0
$0
$0
$0
$724,360
Total Costs:
$0
$724,360
$0
$0
$0
$0
$724,360
Impact on Operations:
None
D2
'..
Project Number: 800-2010-13
JL Key: 1776
Object: 5650
Base Line Road from Carnelian Street to Archibald Avenue - Utility Underground
Project Location:
Base Line Road from Carnelian
Street to Vineyard Avenue
Est. Construction Start/End:
04/2017-09/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Jerry Dyer
\ .'`•y0 ZI�_�
N LA_V.INE ST
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•L W 1
CARNELIAN PROJECT I.00ATI
FAIx_ C ELEMENTARY I I-�,R,A�DE ,5(t ,
m
cLtiaefr OR N
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FW ALTA LOMA Q �,
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i z
r Z t rn
1
INYU
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'FL1C
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z.yJ9.N
a-.R9_A. 0S�- a
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1 Q D T rij=D�.H.ST
IA _
CAL'U6fA.CTj Z
n.
"D;ELpJ29D0' �S{� ^ L ANAD-ACCT C:ALLE.DEL.P_.AO. I2
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Description: This project will underground a stretch of existing overhead utilities along Base Line Road from Carnelian Street to Vineyard Avenue.
Justification: The removal of the overhead utilities, by placing them underground, improves the aesthetic appearance of the area. This project
will be constructed by Edison with City oversight using Rule 20A funds
and City Undergrounding
funds.
$0
$0
Project Cost Estimate ($):
$559,570
Project Funding:
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$o
$o
$o
$o
$o
$o
Design/Plan Review
$0
$5,000
$0
$0
$0
$0
$5,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$491,420
$0
$0
$0
$0
$491,420
Inspection & Administration
$0
$15,000
$0
$0
$0
$0
$15,000
Contingency
$0
$48,150
$0
$0
$0
$0
$48,150
Total Costs:
$0
$559,570
$0
$0
$0
$0
$559,570
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Underground Utilities (129)
$0
$559,570
$0
$0
$0
$0
$559,570
Total Costs:
$0
$559,570
$0
$0
$0
$0
$559,570
Impact on Operations:
None
D3
P67
Project Number: 800-2014-07
JI -Key: 1823
Object: 5650
Bus Stop Pads at Various Locations
Project Location:
Various locations throughout the ✓[dp
i Ciro I ��
City including stops on Arrow �# #� -+ "Mu_,' � 'tl �• �" L�
Route, Hellman Avenue, 9th
Street, Haven Avenue, Foothill
Boulevard, and Day Creek'
�j r� .0 me «{�T� W er�»'M i wry
Boulevard }�cscm F�Rti3E L` -1 .0
d
]F.t sPtit`
Est. Construction Start/End: 1 5'p"i z I �tlf n'rc-'i l t�j i
09/2016 - 11/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
Description:
Constructs 9 bus pads at various locations throughout the City.
Justification: Provides ADA improvements to existing public transportation stops that are currently used by over 300 riders each day. The
improvements may increase ADA ridership, resulting in less vehicle trips and reduced CO2 emissions.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$o
Design/Plan Review
$0
So
So
$0
$o
$0
$0
Right-of-way
$0
$0
So
$0
$0
$0
$o
Construction
$93,240
$52,400
$o
$0
$0
$0
$145,640
Inspection & Administration
$0
$5,000
$0
$0
$0
$0
$5,000
Contingency
$0
$5,200
$0
$0
$0
$0
$5,200
Total Costs:
$93,240
$62,600
$0
$0
$0
$o
$155,840
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
$18,640
$0
$0
$0
$0
$0
$18,640
AB 2766 Air Quai impry Fund (105)
$0
$16,000
$0
$0
$0
$0
$16,000
Ped Grant/Art3 Fund (214)
$74,600
$46,600
$0
$0
$0
$0
$121,200
Total Costs:
$93,240
$62,600
$0
$0
$0
$0
$155,840
Impact on Operations:
None
D4
'.;
Project Number:
JL Key:
Object: 5607
Pacific Electric Trail above Victoria Park Lane Tunnel - Fencing
Project Location:
Pacific Electric Trail at Victoria
Park Lane
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
YINDROWS PARI `v
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PACIFIC ELLCTRICTRAIL
FIRE STATION (�
173
PR61
JE T L , C
BASE LINE RD I ��
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Description: Replace the dilapidated chain link fence that runs along the north side and south side of the PE Trail above the Victoria Park Lane
Tunnel.
Justification: This fence is needed to keep the public from accessing or falling onto the road surface below.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$0
$0
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$98,000
$0
$0
$0
$0
$98,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$o
$o
Total Costs:
$0
$98,000
$0
$0
$0
$0
$98,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
LIVID 2 (131)
$0
$98,000
$0
$0
$0
$0
$98,000
Total Costs:
$0
$98,000
$0
$0
$0
$0
$98,000
Impact on Operations:
None
D5
Municipal Utility
.-.
The Rancho Cucamonga Municipal Utility (RC1v1U) was formed by the City Council in 2001. RCIviU served its first customers in
2003 and finished construction of the Victoria Arbors substation in 2004. Currently, RCMU services over 900 customers in its
service area. Annually, more than 78,000 megawatt -hours of electricity are
distributed to our customers via 20 circuit miles of wire spread across the roughly 4 -square miles of service territory. RCMU's
historical peak demand is 17.5 megawatts, set in August 2011.
RCMU capital projects are related to the maintenance, expansion and improvement of the RCMU distribution system. RCMU's
distribution system was designed to minimize maintenance and operating costs and ensure maximum reliability of service.
Project List & FY 2016-17 Expenditures
1 Arrow Rte: Bear Gulch to Arrow-
$
88,500
Fiber Conduit
2 City Fiber Optics Improvements
$
100,000
3 Commercial Smart Meter
$
375,000
Replacement
4 Day Creek Blvd and Base Line Rd-
$
200,000
Line Extension
5 Foothill Blvd at Spruce Ave -Line
$
153,000
Extension
6 Haven Ave at 6th St - St light
$
25,000
installation
$
941,500
E
Sources of Funding for FY 2016-17
$941,500
A Municipal Utility
P70
Project Number:
1L Key: 1947
Object: 5650
Arrow Route from Bear Gulch to West of Archibald Avenue - Fiber Optic Conduit
Project Location:
Arrow Route from Bear Gulch
Place to West of Archibald Avenue
Est. Construction Start/End:
07/2017 - 01/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Fred Lyn
TIO
((I
Description: In conjunction with Engineering's undergrounding of existing overhead utilitites along Arrow Route from Bear Gulch Place to west
of Archibald Avenue, RCMU will place fiber conduit to tie into the existing fiber interconnection on Archibald Avenue and Arrow
Route.
Justification: The removal of the overhead utilities by placing them underground through Edison Rule 20A program and City undergrounding
funds will allow for RCMU to place new fiber conduit when the trench is open so that the City does not have to spend money on
the excavation and trench cost.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 2020/21 TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0 $0
Design/Plan Review $0 $2,500 $0 $0 $0 $0 $2,500
Right -of -Way $0 $0 $0 $0 $0 $0 $0
Construction $0 $86,000 $0 $0 $0 $0 $86,000
Inspection & Administration $0 $0 $0 $0 $0 $0 $0
Contingency $0 $0 $0 $0 $0 $0 $0
Total Costs: $0 $88,500 $0 $0 $0 $0 $88,500
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 2020/21 TOTAL
Municipal Utility (Fund 705) $0 $88,500 $0 $0 $0 $0 $88,500
Total Costs: $0 $88,500 $0 $0 $0 $0 $88,500
Impact on Operations: The potential to bring high speed broadband as a commodity will provide additional revenue opportunity to RCMU.
Having an existing underground utility project to piggyback on would save the City a lot of money....
E1
P71
Project Number:
JI -Key: 1910
Object: 5650
City Fiber Optic Improvements
Project Location:
Various locations throughout the
City where existing fiber optics
conduits are located
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Fred Lyn
Description:
Completion of the Fiber Optic master plan by Magellan Advisors by July 2016 will evaluate and recommend the City's next steps in
utilizing the existing fiber optics system towards providing municipal broadband to commercial and industrial areas.
Justification: Now is the time to consider laying the groundwork regarding Broadband opportunities and RCMU. Providing fiber optics
broadband to commercial customers is a business opportunity that we are missing because we have not been systemic enough in
our approach over the past few years. Completing a report on all our dark fiber so we can start looking at how we could monetize
that asset and selling broadband as a commodity would fit well with the Smart City initiative, as well as promote a high tech
economy and economic development within the City.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $o $0 $0 $0 $0 $0
Design/Plan Review $85,000 $0 $0 $0 $0 $0 $85,000
Right -of -Way $0 $0 $0 $0 $0 So $0
Construction $0 $50,000 $0 $0 $0 $0 $50,000
Inspection & Administration $0 $50,000 $0 $0 $0 $0 $50,000
Contingency $0 $0 $0 $0 $0 $0 $0
Total Costs:
$85,000
$100,000
$0
$0
$0
$0
$185,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Municipal Utility (Fund 705)
$85,000
$100,000
$0
$0
$0
$0
$185,000
Total Costs:
$85,000
$100,000
$0
$0
$0
$0
$185,000
Impact on Operations:
The potential to bring in high speed broadband as a commodity will provide
additional revenue to RCMU.
iy:
Project Number:
JL Key: 1938
Object: 5650
Commercial Smart Meter Replacement
Project Location:
Various locations throughout the
RCMU Service Area where electric
meters are located
Est. Construction Start/End:
7/1/16-6/30/16
Project Status:
Design
Department:
Engineering
Project Manager:
Fred Lyn
-
il WE
Emu
1-,
V
jl
Description: Approximately 600 old commercial electric meters will be replaced with new 2 way ERT "smart" meters in which RCMU has the
ability to pick up reads via a handheld mobile collector radio pack.
Justification: The meter technology that is being currently used is over 10 years old. Though there is nothing wrong with the existing meters, it
still requires a that a meter technician go out and probe the meter to download the data. A significant amount of time and labor is
involved in this effort. A lot of utilities are switching over to this new AMI (2 way meter) for the ease of meter reading. Utilizing this
new method could potentially save RCMU money in metering reading expenditures.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$0
$0
Right -of -Way
$0
$0
$o
$0
$0
$0
$0
Construction
$0
$375,000
$0
$0
$0
$0
$375,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0
$375,000
$0
$0
$0
$0
$375,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Municipal Utility (Fund 705)
$0
$375,000
$0
$0
$0
$0
$375,000
Total Costs: $0 $375,000 $0 $0 $0 $0 $375,000
Impact on Operations: The potential to bring meter reading in house will reduce expenditures on existing contract meter reading services.
E3
P73
Project Number:
A Key: 1917
Object: 5650
Day Creek Boulevard and Base Line Road - Line Extension
Project Location:
RCMU Electric Line Extension - Day
Creek Boulevard and Base Line
Road
Est. Construction Start/End:
01/2016 - 03/2016
Project Status:
Construction
Department:
Engineering
Project Manager:
Fred Lyn
Description:
PACIFIC ELECTRIC TR
LOCATION
BASE LINE RD
UL--!�
ME 'FIQ LU
Distribution Line Extension to service a new planned commercial development on the NWC of Day Creek Boulevard and Baseline
Road with RCMU electricity.
Justification: Line extension is needed to extend power service to a new commercial development shopping center. The City paid SCE exit fees
for the right to service any load associated with a newly constructed facility that has
never been interconnected with Edison; this
falls under that category.
$0
$0
$0
$210,000
Project Funding:
Project Cost Estimate ($):
Funding Source
Expenditure/Category Prior Years
2016/17
2017118
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0
$0
$0
$0
$0
$0
$0
Design/Plan Review $10,000
$0
$0
$0
$0
$0
$10,000
Right -of -Way $0
$0
$0
$0
$0
$0
$0
Construction $0
$200,000
$0
$0
$0
$0
$200,000
Inspection & Administration $0
$0
$0
$0
$0
$0
$0
Contingency $0
$0
$0
$0
$0
$0
$0
Total Costs:
$10,000
$200,000
$0
$0
$0
$0
$210,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Municipal Utility (Fund 705)
$10,000
$200,000
$0
$0
$0
$0
$210,000
Total Costs:
$10,000
$200,000
$0
$0
$0
$0
$210,000
Impact on Operations:
The increased electricity load will provide additional revenue to RCMU.
E4
P74
Project Number:
JL Key: 1946
Object: 5650
Foothill Blvd at Spruce Avenue - Line Extension
Project Location:
Foothill Boulevard and Spruce
Avenue
Est. Construction Start/End:
07/2016 - 08/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Fred Lyn
Description:
tco[v
JTFR OR /
N
Y
Q.
C�
W
i
CT LOCATION
Distribution Line Extension to service two new commercial developments on Foothill Boulevard just southwest of Spruce Avenue.
Justification: Line extension is needed to extend power service to this new commercial development. The City paid SCE exit fees for the right to
service any load associated with a
newly constructed facility that has never been interconnected
with Edison; this falls
under that
category.
$0
$153,000
Project Funding:
Project Cost Estimate ($):
Funding Source
Prior Years
2016/17
2017/18
2018/19
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$3,000
$0
$0
$0
$0
$3,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$150,000
$0
$0
$0
$0
$150,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0
$153,000
$0
$0
$0
$0
$153,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Municipal Utility (Fund 705)
$0
$153,000
$0
$0
$0
$0
$153,000
Total Costs:
$0
$153,000
$0
$0
$0
$0
$153,000
Impact on Operations:
The increased electricity
load will provide additional revenue
to RCMU.
E5
P75
Project Number:
1L Key: 1948
Object: 5650
Haven Avenue at Sixth Street - Street Light Installation
Project Location:
Haven Avenue at Sixth Street
Est. Construction Start/End:
07/2016 - 08/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Fred Lyn
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I
N
a
b S
EMPIRE L
PROJ CT LOCAT N
as+.iss.z__v-...-��___._.._.._.._.._..—.._..�.._._.._�._._.._..___.._�.__._..___.._.._.._.._.._
Description: Installation of 3 new streetlights as part of the new planned Residence Inn's street improvements.
Justification: 3 new streetlights will need to be installed as part of the Street Improvements required for the planned Residence Inn on the corner
of Haven Ave and Sixth Street. RCMU is the electricity provider to this site.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$0
$0
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$25,000
$0
$0
$0
$0
$25,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0
$25,000
$0
$0
$0
$0
$25,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Municipal Utility (Fund 705)
$0
$25,000
$0
$0
$0
$0
$25,000
Total Costs:
$0
$25,000
$0
$0
$0
$0
$25,000
Impact on Operations:
The increased electricity
load will provide additional revenue
to RCMU.
i
Parks
Any capital project that is located in, on, or adjacent to a park or community center facility is classified as a Park Project. These
include the construction of new park facilities, as well as the
expansion or rehabilitation of existing park facilities. Improvements include playing fields, play ground equipment, park
landscaping, other miscellaneous recreational amenities, restroom facilities and parking lot improvements.
Many of these projects require ongoing maintenance, and all field rehabilitation projects and renovations are
performed on an annual or bi-annual basis due to extensive wear from local league play.
The majority of Park Projects are funded via the Park Development Fund (120), which is collected via residential development fees
(i.e. new single family, town home, condo and senior housing). Some projects qualify for grants and Special District funds.
Project List & FY 2016-17 Expenditures
1 Central Park- Phase II Design Study $ 250,000
2 Central Park- Replace Rubberized
$
80,000
Surface
3 Central Park -Trail Head Improv.
$
25,000
4 Etiwanda Creek Park- Ph II
$
300,000
5 LMD 4R Parks- Lighting Retrofits
$
135,000
6 Victoria Arbors Park- Replace
$
140,000
Rubberized Playground Surface
$
930,000
F
Sources of Funding for FY 2016-17
$140,000
$135,000
.�V.,.,,J00
Park Development ■LMD 2 LMD 4R
Project Location:
11200 Base Line Road
Est. Design Start/End:
07/2016-02/2017
Project Status:
Design
Department:
Community Services
Project Manager:
Nettie Nielsen
Description:
itl
Project Number:
JL Key: 1660
Object: 5650
Central Park Phase II Design Studv
This project will include the design of phase II of Central Park.
Justification: There is approximately 70 acres of undeveloped parkland at Central Park.
The prior Master Plan needs to be updated taking into
consideration the loss of the Redevelopment Agency, construction costs and ongoing
maintenance and programming
costs of any
future improvements.
Funding Source
Prior Years 2016/17 2017/18 2018/19
Project Cost Estimate ($):
TBD
TOTAL
Park Development (120)
$0 $250,000 $0 $0
$0
$0
Expenditure/Category Prior Years
2016/17
2017/18 2018/19
$0
2019/20
TBD
TOTAL
Environmental/NPDES $0
$0
$0
$0
$0
$0
$0
Design/Plan Review $0
$250,000
$0
$0
$0
$0
$250,000
Right -of -Way $0
$0
$0
$0
$0
$0
$0
Construction $0
$0
$0
$0
$0
$0
$0
Inspection & Administration $0
$0
$0
$0
$0
$0
$0
Contingency $0
$0
$0
$0
$0
$0
$0
Total Costs:
$0 $250,000 $0 $0
$0
$0
$250,000
Project Funding:
Funding Source
Prior Years 2016/17 2017/18 2018/19
2019/2
TBD
TOTAL
Park Development (120)
$0 $250,000 $0 $0
$0
$0
$250,000
Total Costs:
$0 $250,000 $0 $0
$0
$0
$250,000
Impact on Operations:
Completion of this project could possibly add new amenities to the City's inventory which
will require operational
expenditures for maintenance, staffing, overhead and utilities.
F1
."
Project Number:
1L Key:
Object: 5607
Central Park - Replace Rubberized Playground Surface
Project Location:
NWC Base Line Road and Milliken
Avenue
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
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U uCM7.-
�L
�
ENTRAL PARK
BASE LINO RD
Fropc
ROJEC LOCATION
N
iA%H"KWPY �V CSS /��
Description: Replace the entire rubberized playground surface.
Justification: Due to constant use, the existing playground surface needs to be replaced. Also the existing playground surface is not in
compliance with NPRA and State requirements.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$0
$0
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$80,000
$0
$0
$0
$0
$80,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$0 $80,000 $0
$0
$0
$0
$80,000
Project Funding:
Funding Source
Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Park Development (120)
$0 $80,000 $0
$0
$0
$0
$80,000
Total Costs:
$0 $80,000 $0
$0
$0
$0
$80,000
Impact on Operations:
New rubberized surface will require less maintenance.
F2
P79
Project Number:
JL Key: 1871
Object: 5650
Central Park - Trail Head Improvements
Project Location:
11200 Base Line Road
Est. Construction Start/End:
08/2016 - 01/2017
Project Status:
Construction
Department:
Community Services
Project Manager:
Nettie Nielsen
Description:
Justification:
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, RZRKrA T 1� A.
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UARI:DIt:
PROJECT—L-OCA. 10W P^CtPIC ELECTRIC TRAIL
l N,ORTH41EW:DR1 j � /
b \ RANCHO CUCAMONGA CENTRAL PARK
ow
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MUIRF_IE 1"D OR
4 rG� 1 �– in g1K Cil AS II<ARKLII�R Z,,,r-6 C S"
• JAM�T:CD R B t P o
This project will provide the next phase of development for Central Park, which will include the design for a less than five acre area
north of the interior road, between the PE Trail and the Community Center. Included will be an area for outdoor fitness equipment
for trail and resident's use at the park site, as well as potential parking and restroom facilities for both park and trail users.
Responds to requests from residents for further improvements to Central Park and provides ADA accessibility between the
Community Center and the PE Trail.
Project Cost Estimate ($):
Exoenditure/Cateeory
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$35,000
$25,000
$0
$0
$0
$0
$60,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$2,200,500
$0
$0
$0
$2,200,500
$0
$0
$37,500
$0
$0
$0
$37,500
$0
$0
$250,000
$0
$0
$0
$250,000
Total Costs:
$35,000 $25,000 $2,488,000 $0 $0
$0
$2,548,000
Project Funding:
Funding Source
Prior Years 2016/17 2017/18 2018/19 2019/2
TBD
TOTAL
Park Development (120)
$35,000 $25,000 $2,488,000 $0 $0
$0
$2,548,000
Total Costs:
$35,000 $25,000 $2,488,000 $0 $0
$0
$2,548,000
Impact on Operations:
This project, will require maintenance such as cleaning and replacing any damaged portions of the equipment, as
well as landscape irrigation and maintenance as needed.
F3
1
Project Number:
JL Key: 1664
Object: 5650
Etiwanda Creek Park - Phase II
Project Location:
5939 East Avenue
Est. Design Start/End:
10/2016-01/2016
Project Status:
Design
Department:
Community Services/Parks
Project Manager:
Nettie Nielsen
U!_�.
Y
i ETIWANDA COLONY
ELEMENTARY
CA EARLY n SUMMIT NTERM _DIATE
JVNIOR H'.311
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PROJECTS LOCATION ISYGS�M UR
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Description: This project involves the initial design of park expansion, which may include additional athletic/recreation multi -use fields, tennis
courts, a 10,000 -15,000 square foot community building, storage/maintenance
facility and additional
parking.
Justification: The City Council identified this project as a goal for FY2007-08.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $50,000 $0
$0
$o
$0
$50,000
Design/Plan Review $159,230 $250,000 $0
$0
$0
$0
$409,230
Right -of -Way $0 $0 $0
$0
$0
$0
$0
Construction $0 $0 $0
$0
$0
$5,380,000
$5,380,000
Inspection & Administration $0 $0 $0
$0
$0
$0
$0
Contingency $0 $0 $0
$0
$0
$0
$0
Total Costs: $159,230 $300,000 $0 $0 $0 $5,380,000 $5,839,230
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Park Development (120) $159,230 $300,000 $0 $0 $0 $5,380,000 $5,839,230
Total Costs: $159,230 $300,000 $0 $0 $0 $5,380,000 $5,839,230
Impact on Operations: Completion of this project will possibly add a new facility to the City's inventory which will require operational
extenditures for maintenance, staffing, overhead and utilities. Initial estimates place the cost of maintaining two
addional fields at $300,000 - $450,000 per year.
F4
Project Number:
JL Key: 1858
Object: 5650
LMD 4R Parks - Lighting Retrofits Phase III
Project Location: [ "� � IU�jw — ��= — y c
LMD 4R ? � IIL"II 4 o I( I� ., _ _ v I
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
IF
--Tl
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.
Description: Retrofitting the current Vandalia Pumpkin style walkway lights with an induction kit.
Phase I replaced the lighting in Spruce Park,
Coyote Park and part of Milliken Park plus replaced the lighting in most of the paseos. Phase 11 replaced the lighting in paseeo
TV14 and part of Milliken Park.
$0 $0
Justification: This is phase 3 of the 3 phase Induction Lighting Replacement Project in LMD #4. This
will complete the project with about a 30%-
40% reduction in electricity use and reduced maintenance costs. Phase III will replace
the lighting at Mountain View Park and
Ralph Lewis Park along with finishing the replacement of lighting at Milliken Park.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19
2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0
$0 $0 $0
Design/Plan Review $0 $0 $0 $0
$0 $0 $0
Right -of -Way $0 $0 $0 $0
$0 $0 $0
Construction $300,000 $135,000 $0 $0
$0 $0 $435,000
Inspection & Administration $0 $0 $0 $0
$0 $0 $0
Contingency $0 $0 $0 $0
$0 $0 $0
Total Costs:
$300,000
$135,000
$0
$0 $0
$0
$435,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19 2019/20
TBD
TOTAL
LMD #4 (134)
$300,000
$135,000
$0
$0 $0
$0
$435,000
Total Costs:
$300,000
$135,000
$0
$0 $0
$0
$435,000
Impact on Operations:
30% to 40% reduction in electricity usage
and reduced
maintenance costs.
F5
Project Number:
JL Key:
Object: 5607
Victoria Arbors Park - Replace Rubberized Playground Surface
Project Location:
Victoria Arbors Park (LIVID 2)
Est. Construction Start/End:
07/2016 - 06/2017
Project Status:
Design/Construction
Department:
Public Works Services
Project Manager:
Dean Rodia
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Y (
L
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V1 T
—VICT RIAARBORS PARK
Ec-
CtILIRCH
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Description: Replace the entire rubberized playground surface.
Justification: Due to constant use, the existing playground surface needs to be replaced. Also, the existing playground surface is not in
compliance with NPRA and State requirements.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
LIVID #2 (131)
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$140,000
$0
$0
$0
$0
$140,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$140,000
$0
$0
$0
$0
$140,000
Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
$0 $140,000 $0 $0 $0 $0 $140,000
Total Costs: $0 $140,000 $0 $0
Impact on Operations: New rubberized surface will require less maintenance.
F6
$0 $0 $140,000
M
Railroad Crossing
00,
Railroad Crossings are extremely expensive and infrequent projects, requiring large funding commitments, lengthy construction
schedules and inevitably causing some inconvenience to the local community during the construction period. They are, however,
also one of the best ways to ensure the safety of drivers, pedestrians and rail users by providing two separate crossings, thereby
minimizing the possibility of train versus automobile, or train versus pedestrian accidents.
Railroad Crossings are identified in the City's General Plan document, and they are also frequently illustrated in regional planning
documents held by the County of San Bernardino, SANBAG and Caltrans.
Project List & FY 2016-17 Expenditures
1 Arrow Rte @ Railroad Spur- New $ 75,000
Concrete Panels
2 Hellman Ave @ Metrolink Tracks- $ 1,050,000
Widen Crossing
$ 1,125,000
G
Sources of Funding for FY 2016-17
$75,000
$1,050,000
■ Transportation ■ Gas Tax R & T 7360
WMA,
Project Number: 800-2016-11
JL Key: 1819
Object: 5650
Arrow Route at Railroad Spur - New Concrete Panels
Project Location:
Arrow Route at Railroad Spur west
of Milliken Avenue
Est. Construction Start/End:
01/2017 - 02/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
a
W
J Q
W J W
N ' V -_
Q ���-- Z F0o7n)11X-BLyD=
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J) n
'Q
� r EMIL=trENN1UM.C.T
ENT E :DR� PR Cy ECT LOCAT106N
0
�-J 'CK:
J -J ,
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T
�� ABQOW RT.EZ
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s
PUt. I"MAN CT+.�_�-'7 rQ '
Y
��TACd�AA".nR � W
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r _ O
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7
Description: Replace existing uneven rubber panels to concrete panels.
Justification: The existing rubber panels are uneven and damaged due to heavy traffic used.
Replacing with concrete panels will give a smoother
and safer for vehicles.
$0
$0
$0
$75,000
Project Funding:
Project Cost Estimate ($):
Funding Source
Prior Years 2016/17
Expend iture/Category Prior Years
2016/17
2017/18 2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0
$0
$0
$o
$0
$0
$0
Design/Plan Review $0
$o
$0
$o
$o
$o
$o
Right -of -Way $0
$0
$0
$o
$0
$0
$0
Construction $0
$50,000
$0
$o
$0
$0
$60,000
Inspection & Administration $o
$9,000
$0
$0
$o
$0
$9,000
Contingency $0
$6,000
$0
$0
$o
$0
$6,000
Total Costs:
$0 $75,000
$0
$0
$0
$0
$75,000
Project Funding:
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Gas Tax RT7360 Fund (174)
$0 $75,000
$0
$0
$0
$0
$75,000
Total Costs:
$0 $75,000
$o
$0
$0
$o
$75,000
Impact on Operations:
Uneven rubber creates damage along
the edges
of the existing
asphalt pavement.
This project
will reduce
maintenance for asphalt replacement.
G1
Project Location:
Hellman Avenue at Metrolink
Tracks (8th Street)
Est. Construction Start/End:
09/2016 - 05/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
WS
Project Number: 800-2016-06
X Key: 1847
Object: 5650
Hellman Avenue at Metrolink Tracks - Widen Crossing
Description: Construction of traffic signal and widen the road at the Metrolink tracks.
Justification: This project will improve the traffic flows, circulation and pedestrian safety due to a new traffic signal, wider road and sidewalks. In
addition to the below costs for the street right-of-way improvements the Railroad and SANBAG are contributing an estimated $2.5
million towards the necessary railroad improvements required with the widening at the tracks.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$50,000
$0
$0
$0
$0
$50,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$800,000
$0
$0
$0
$0
$800,000
Inspection & Administration
$0
$120,000
$0
$0
$0
$0
$120,000
Contingency
$0
$80,000
$0
$0
$0
$0
$80,000
Total Costs: $0 $1,050,000 $0 $0 $0 $0 $1,050,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Transportation Fund (124) $0 $1,050,000 $0 $0 $0 $0 $1,050,000
Total costs: $0 $1,050,000 $0 $0 $o
$o $1,050,000
Impact on Operations: The City will be responsible to pay for the cost of electricity and maintenance. The estimated cost of electricity and
maintenance for a traffic signal is $2,500 per year. In addition, the street widening, sidewalks and new pavement
will mean less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing up
maintenance crews to attend to other needed areas.
G2
Streets
4
'::
Streets projects are the most common type of project undertaken by the City. The City receives annual funding from gasoline sales
taxes for use on resurfacing projects for local arterial and residential streets in order to extend pavement life and improve driving
conditions. Besides street rehabilitation projects, the City also undertakes many widening and extension projects as need dictates
via new development, community needs and the City's General Plan.
Project List & FY 2016-17 Expenditures
1 6th St: Milliken to Charles Smith- $ 35,000
Pavement Rehab
2 9th St: Grove to Hellman- Pavement Rehab $ 300,000
3 Arrow Rte along the s/s 500' to 1,300' e/o I- $ 5,000
15 freeway- Widening
4 Base Line Rd @ I-15 Interchange $ 5,210,920
5 Base Line Rd: Milliken to w/o Day Creek $
Blvd- Pavement Rehab
6 Carnelian St: Lemon Ave to Wilson Ave- $
Pavement Rehabilitation
7 Church St from Pepper to Hellman- $
Pavement Rehab
8 East Ave: Chickasaw, west side, north 370'- $
Widen and Sidewalk
9 Etiwanda Ave: 6th St to Arrow Rte- Street $
Widening Improvement
10 Foothill Blvd across SCE Corridor West of $
Day Crk Channel- Sidewalk Improvements
11 Foothill Blvd: Haven to Milliken- Pavement $
Rehab
12 Haven Ave: Foothill to Base Line- $
Pavement Rehab
13 Hellman Ave: San Bernardino Rd to Base $
Line Rd- Pavement Rehab
14 Hermosa Ave: Arrow to Foothill- Pavement $
Rehab
15 Hillside Rd: Archibald to Haven- Pavement $
Rehab
900,000
468,000
200,000
110,000
450,000
145,000
50,000
50,000
Project List & FY 2016-17 Expenditures
16 Jersey Blvd: Haven to Rochester- Pavement
$
50,000
Rehab
17 Local Street Pavement Rehabilitation @
$
900,000
Various Locations
18 Rochester Ave: Base Line to Banyan-
$
50,000
Pavement Rehab
19 Rochester Ave: Foothill Blvd -Base Line Rd - $
610,000
Pavement Rehabilitation
20 San Bernardino Rd: Carnelian to Archibald-
$
400,000
Pavement Rehab
21 San Bernardino Rd: Grove to Foothill-
$
104,000
Pavement Rehab
22 Youngs Canyon Rd: Koch Place to Cherry
$
50,000
Ave- Street Extension
$ 11,329,920
Sources of Funding for FY 2016-17
55.091.000
357,000 $19,920
35,000
$50,01
$200,000
$550,000
$1,299.000
850,000 ■ Transportation
m Measure I
■ Fire Protection Capital
■ SAFETEA (Federal)
H
$250,000
$3,870,000
■ Gas Tax R & T 7360
■ Citywide Infrastructure
■ AD 88-2
■ Prop 1B-SLPP (state)
Project Number: 800-2016-15 P87
JL Key: 1930
Object: 5650
6th St from Milliken Ave to Charles Smith Ave - Pavement Rehabilitation
Project Location:
6th Steet from Milliken Avenue to
Charles Smith Avenue
Est. Construction Start/End:
08/2017 - 10/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
OJECT (EVOCATION
Description: This project involves localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, video detection
signal upgrades, ADA ramp upgrades, utility adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. The
project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
So
$0
$0
$0
$0
Design/Plan Review
$0
$35,000
$0
$0
$0
$o
$35,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$270,000
$0
$0
$0
$270,000
Inspection & Administration
$0
$0
$5,000
$0
$0
$0
$5,000
Contingency
$0
$0
$25,000
$0
$0
$0
$25,000
Total Costs:
$0
$35,000
$300,000
$0
$0
$0
$335,000
Project Funding:
Funding Source Prior Year 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Gas Tax R&T 7360 Fund (174) $0 $35,000 $300,000 $0 $0 $0 $335,000
Total Costs: $0 $35,000 $300,000 $0 $0 $0 $335,000
Impact on Operations: Reduction of routine maintenance activities for pothole repair, weed abatement and crack seal, thus freeing up
maintenance crews for other needed areas.
H1
Project Number: 800-2015-09
JL Key: 1904
Object: 5650
9th Street from Grove Avenue to Hellman Avenue - Pavement Rehabilitation
Project Location:
9th Street from Grove Avenue tc
Hellman Avenue
Est. Construction Start/End:
06/2017 - 08/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
otaI Costs:
Project Funding:
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
$0
$0
$0
So
$0
$0
$0
$25,000
$0
$0
$0
$0
$0
$25,000
$0
$0
$0
$0
$0
$0
$0
$0
$266,000
$0
$0
$0
$0
$266,000
$0
$7,500
$0
$0
$0
$0
$7,500
$0
$26,500
$0
$0
$0
$0
$26,500
$25,000 $300,000 $0 $0 $0 $0 $325,000
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
Measure I Fund (177)
$25,000 $0
$0 $300,000
$0
$0
$0
$0
$0
$0
$0
$0
$25,000
$300,000
Total Costs:
$25,000 $300,000
$0
$0
$0
$0
$325,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement
attend to other needed areas.
and crack
seal, thus freeing up maintenance
crews to
H2
Project Number: 800-2015-14 P89
JL Key: 1907
Object: 5650
Arrow Route along the South side 500' to 1300' east of the Interstate 1-15 freeway - widening
Project Location:
Arrow Route along the South side
500' to 1300' east of the 1-15
freeway
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
11 � Ih«se.r_sr
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Description: This project involves 800 feet of asphalt pavement widening and striping.
ROJECT LOCATION
Justification: This project will improve traffic circulation and safety with the addition of a second lane and paved shoulders.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$5,000
$0
$0
$0
$0
$5,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$265,000
$0
$0
$268,000
$533,000
Inspection & Administration
$0
$0
$10,000
$0
$0
$5,000
$15,000
Contingency
$0
$0
$25,000
$0
$0
$27,000
$52,000
Total Costs:
$0
$5,000
$300,000
$0
$0
$300,000
$605,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
$0
$5,000
$0
$0
$0
$0
$5,000
Unknown
$0
$0
$300,000
$0
$0
$300,000
$600,000
Total Costs:
$0
$5,000
$300,000
$0
$0
$300,000
$605,000
Impact on Operations:
None.
H3
Project Location:
Base Line Road at the 1-1�
Freeway
Est. Construction Start/End:
10/2014 - 08/2016
Project Status:
Construction
Department:
Engineering
Project Manager:
Jason Welday
Project Number: 800-2007-21 P90
JL Key: 1361
Object: 5650
Base Line Road at 1-15 Interchange
Description: Construction of a modification to the on and off ramps for the 1-15 Freeway at Base Line Road.
Justification: Due to the current and projected congestion of the streets around the interchange, it is necessary to improve access to and
from the 1-15 freeway at Base Line Road. Up to 50 percent of the project costs are eligible for reimbursement through Federal
funds.
Project Cost Estimate ($);
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $1,089,550 $0 $0 $0 $0 $o $1,089,550
Design/Plan Review $5,687,151 $0 $0 $0 So $0 $5,687,151
Right -of -Way $7,135,962 $0 $0 $0 $0 $o $7,135,962
Construction $32,930,047 $5,210,920 $0 $0 $0 $0 $38,140,967
Iotas Costs:
$46,842,710
$5,210,920
$0
$0
$0
$0
$52,053,630
Project Funding:
Funding Source
Prior Years
2016/1
2017/18
2018/19
2019/20
TBD
TOTAL
Transportation (124)
$2,860,207
$100,000
$0
$0
$0
$o
$2,960,207
RDA (660)
$10,137,690
$0
$0
$0
$0
$0
$10,137,690
Tax Allocation Bonds
$29,851,545
$0
$0
$0
$0
$o
$29,851,545
City Infrastructure (198)
$299,774
$0
$0
$0
$0
$0
$299,774
General Fund (001)
$18,996
$0
$0
$0
$0
$0
$18,996
RDA (650)
$3,771
$0
$0
$0
$0
$0
$3,771
Subtotal City Budget Costs:
$43,171,983
$100,000
$0
$0
$0
$0
$43,271,983
IMD / BDP (Federal)
$1,179,835
$0
$0
$0
$0
50
$1,179,835
SAFETEA-LU (Federal) (209)
$1,510,809
$5,091,000
$0
$0
$o
$0
$6,601,809
Prop -113 - SLPP (State) (211)
$980,083
$19,920
$0
$0
$0
$0
$1,000,003
Subtotal Other Costs:
$3,670,727
$5,110,920
$0
$0
$0
$0
$8,781,647
Grand Total Costs:
$46,842,710
$5,210,920
$0
$0
$0
$0
$52,053,630
Impact on Operations: City is expected to take over maintenance of the landscaping within the interchange. Area of landscaping has not
yet been determined.
H4
Project Number: 800-2015-07 P91
J L Key: 1880
Object: 5650
Base Line Road from Milliken Avenue to w/o Day Creek Boulevard - Pavement Rehabilitation
Project Location:
Base Line Road from Milliken
Avenue to w/o Day Creek
Boulevard
Est. Construction Start/End:
09 /2016 -10/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
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Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a Cal Recycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$o
$0
Design/Plan Review
$30,000
$0
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$805,000
$0
$0
$0
$0
$805,000
Inspection & Administration
$0
$15,000
$0
$0
$0
$0
$15,000
Contingency
$0
$80,000
$0
$0
$o
$0
$80,000
Total Costs:
$30,000
$900,000
$0
$0
$0
$0
$930,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Measure I Fund (177) $30,000 $900,000 $0 $0 $0
$0 $930,000
Total Costs: $30,000 $900,000 $0 $0 $0
$0 $930,000
Impact on Operations: Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing up maintenance crews to
attend to other needed areas.
H5
VON
Project Number: 800-2016-14
1L Key: 1722
Object: 5650
Carnelian Street from Lemon Avenue to Wilson Avenue - Pavement Rehabilitation
Project Location:
Carnelian Street from Lemon
Avenue to Wilson Avenue
Est. Construction Start/End:
09/2016 —10/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
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Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project was re -budget due to Traffic Signal installation at Banyan Street and will pave after signal is finished. This project will
restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In addition, the
project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/2 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0 $0 $0 $0
Design/Plan Review $0 $0 $0 $0 $0 $0 $0
Right -of -Way $0 $0 $0 $0 $0 $0 $0
Construction $0 $400,000 $0 $0 $0 $0 $400,000
Inspection & Administration $0 $28,000 $0 $0 $0 $0 $28,000
Contingency $0 $40,000 $0 $0 $0 $0 $40,000
Total Costs:
$o $468,000
$0
$0
$0
$0
$468,000
Project Funding:
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Measure I Fund (177)
$0 $468,000
$0
$o
$0
$0
$468,000
Total Costs:
$0 $468,000
$0
$0
$0
$0
$468,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing
up maintenance
crews to
attend to other needed areas.
H6
P93
Project Number: 800-2015-10
JL Key: 1906
Object: 5650
Church Street from Pepper Street to Hellman Avenue - Pavement Rehabilitation
Project Location:
Chruch Street from Pepper Stree
to Hellman Avenue
Est. Construction Start/End:
06/2017 - 08/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
$0
$25,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$O
$0
$25,000
Right -of -Way
$0
$0
$0
$0
$0
$o
$0
Construction
$0
$175,000
$0
$0
$0
$O
$175,000
Inspection & Administration
$0
$7,500
$0
$0
$0
$0
$7,500
Contingency
$0
$17,500
$0
$0
$0
$0
$17,500
Total Costs:
$25,000
$200,000
$0
$0
$0
$0
$225,000
Project Funding:
Funding Source
Gas Tax R&T 7360 Fund (174)
Measure I Fund (177)
Prior Years 2016/17
$25,000 $0
$0 $200,000
2017/18
$0
$0
2018/19
$0
$0
2019/20
$o
$0
TBD
$0
$0
TOTAL
$25,000
$200,000
Total Costs:
$25,000 $200,000
$0
$0
$0
$0
$225,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing
attend to other needed areas.
up maintenance crews to
H7
Project Number: 800-2016-16
1L Key: 1931
Object: 5650
East Ave from Chickasaw Rd to 370 ft north - Street Widening and Sidewalk Improvements
Project Location:
East Avenue from Chickasaw Road
to 370 feet north, along the west
side.
Est. Construction Start/End:
05/2017 - 06/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
Description:
Justification
PROJEI
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FIRE S TATI ONA9_ j ( =
176 LLQ z
23RDsba
ETIWANDA 1OLUNY RANG
ELEMENTARYDA 4 CIO,. h1UNIT ( PARK
LY I I
SUvMITINTERMED
ATE
JJI JUNIOR HIGH
J
STA=DR w�~I tE:FtR r� T �c a
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c
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`� �' �y J
'.ASSIA ST 0'r
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A
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This project will install 310 feet of sidewalk and street widening improvements along the west side to close a gap between two
existing sections of sidewalk.
The sidewalk and widening improvements will improve pedestrian and vehicle circulation.
Project Cost Estimate ($}:
Expenditure/Cateeory
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
Gas Tax R&T 7360 Fund (174)
City Wide Infastructure Fund (198)
Total Costs:
Impact on Operations:
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$o
$0
$o
$0
$0
$0
$0
$0
$5,000
$0
$0
$0
$0
$5,000
$0
$0
$0
$0
$0
$0
$0
$0
$93,000
$0
$0
$0
$0
$93,000
$0
$3,000
$0
$0
$0
$0
$3,000
$0
$9,000
$0
$0
$0
$0
$9,000
$0
$110,000
$0
$0
$0
$0
$110,000
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
$o
$55,000
$0
$0
$0
$0
$55,000
$0
$55,000
$0
$0
$0
$0
$55,000
$0
$110,000
$0
$0
$0
$0
$110,000
This project will reduce maintenance and weed abatement costs
ME
P95
Project Number: 800-2010-15
JL Key: 1076
Object: 5650
Etiwanda Avenue from 6th Street to Arrow Route - Street Widening improvements
Project Location:
Etiwanda Avenue from 6th Street
to Arrow Route
Est. Construction Start/End:
04/2017-06/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
Description:
Justification:
K:8ENh4Y_0k
6R80�5! �
r4` PROJECT LOCATION
r I
A75F R ILR A -
i
i
1
ySr 6TH 5T
h
�,:nNxagrz�Nirwr�� m
Widen Etiwanda Avenue to two lanes in each direction, from 6th Street to Whittram Avenue including bike lanes from 6th Street to
Arrow Route.
Widening Etiwanda Avenue will improve traffic circulation.
Project Cost Estimate ($):
Expenditure/Category
Prior Year
2016/17
2017/18
2018/19
2019120
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$0
$0
$0
$0
$0
$0
$0
$20,000
$0
$390,000
$10,000
$30,000
$0
$0
$0
$0
$o
$0
$0
$0
$0
$0
$0
$0
$o
$0
$O
$0
$0
$0
$0
$O
$0
$0
$O
$0
$0
$20,000
$0
$390,000
$10,000
$30,000
Total Costs:
$0
$450,000
$0
$0
$0
$O
$450,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Transportation Fund (124) $0 $450,000 $0 $0
$o $o $450,000
Total Costs: $0 $450,000 $0 $0
$0 $0 $450,000
Impact on Operations: Reduction of routine maintenance activities for pothole repair, weed abatement and crack seal, thus freeing up
maintenance crews for other needed areas.
Project Number: 800-2016-10
JL Key: 1826
Object: 5650
Foothill Boulevard across SCE Corridor West of Day Creek Channel - Sidewalk Improvements
Project Location:
Foothill Boulevard across SC
Corridor west of Day CreE
Channel
Est. Construction Start/End:
01/2017 - 02/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
Description: This project will install 600 feet of sidewalk to close the gap between two sections of existing sidewalk.
Justification: This project was requested by handicap residents using this route everyday. The improvements will improve pedestrian circulation
as well as bring the area into ADA compliance.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
City Wide Infastructure Fund (198)
Total Costs:
Impact on Operations
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$0
$10,000
$0
$0
$0
$0
$10,000
$0
$0
$0
$0
$0
$0
$0
$0
$110,000
$0
$0
$0
$0
$110,000
$0
$14,000
$0
$0
$0
$0
$14,000
$0
$11,000
$0
$0
$0
$0
$11,000
$0
$145,000
$0
$0
$0
$0
$145,000
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$145,000
$0
$0
$0
$0
$145,000
$0
$145,000
$0
$0
$0
$0
$145,000
This project will reduce
maintenance and weed abatement
costs from General Fund and
LIVID 3B.
H10
4
P97
Project Number: 800-2016-09
1L Key: 1932
Object: 5650
Foothill Boulevard from Haven Avenue to Milliken Avenue - Pavement Rehabilitation
Project location:
Foothill Boulevard - From Haven
Avenue to Milliken Avenue
Est. Construction Start/End:
05/2018 - 06/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
1
I of
ROJECT\ LOCATION
CIN HALL '� ,
RCI�OLICE STATION
OR
ARROW RrE
I
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. in
addition, the project is using asphalt rubber and is therefore eligible and will be submitted for a CalRecycle rebate.
Project Cost Estimate ($):
EAgenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TED
TOTAL
Environmental/NPDES
Design/Plan Review
$0
$0
$0
$50,000
$0
$0
$0
$0
$0
$0
$0
$o
$0
$50,000
Right -of -Way
Construction
$0
$0
$0
$0
$0
$805,000
$0
$0
$0
$o
$o
$o
$o
$805,000
Inspection & Administration
$0
$0
$15,000
$0
$o
So
$15,000
Contingency
$0
$0
$80,000
$0
$0
$O
$80,000
Total Costs:
$0
$50,000
$900,000
$0
$0
$0
$950,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Measure I Fund (177) $0 $50,000 $900,000 $0 $0
$o $950,000
Total Costs: $0 $50,000 $900,000 $0 $o
$0 $950,000
Impact on Operations: Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing up maintenance crews to
attend to other needed areas.
H11
Project Number: 800-2016-07 P98
JL Key: 1933
Object: 5650
Haven Avenue from Foothill Boulevard to Base Line Road - Pavement Rehabilitation
Project Location:
Haven Avenue - From Foothill
Boulevard to Base Line Road
Est. Construction Start/End:
05/2018 - 06/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
JOU UU U I�U1 �_U UAS'E LINE -RDW UU
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U'ti �/.ISSA-Q p`RKW A �� i J C
pJLJU �� �SEFZR � ;g C
cewrtccrs:r
PRQJECT LOCATION
PE
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Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is therefore eligible and will be submitted for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$50,000
$0
$0
$0
$O
$50,000
Right-of-way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$805,000
$0
$0
$0
$805,000
Inspection & Administration
$0
$0
$15,000
$0
$0
$0
$15,000
Contingency
$0
$0
$80,000
$0
$0
$0
$80,000
Total Costs:
$0
$50,000
$900,000
$0
$0
$0
$950,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Measure I Fund (177)
$0
$50,000
$900,000
$0
$0
$0
$950,000
Total Costs:
$0
$50,000
$900,000
$0
$0
$0
$950,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing
up maintenance crews to
attend to other needed areas.
H12
04rJ
Project Number: 800-2015-11
JL Key: 1905
Object: 5650
Hellman Avenue from San Bernardino Road to Base Line Road - Pavement Rehabilitation
Project Location:
Hellman Avenue from &
Bernardino Road to Base Line Roz
Est. Construction Start/End:
06/2017 - 08/2017
Project Status:
Construction
Department:
Engineering
Project Manager:
Romeo David
Description:
Justification:
This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$25,000
$0
$0
$0
$0
$0
$25,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$300,000
$0
$0
$0
$0
$300,000
Inspection & Administration
$0
$27,000
$0
$0
$0
$0
$27,000
Contingency
$0
$30,000
$0
$0
$0
$0
$30,000
Total Costs:
$25,000
$357,000
$0
$0
$0
$0
$382,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
$25,000
$0
$0
$0
$0
$0
$25,000
Measure I Fund (177)
$0
$357,000
$0
$0
$0
$0
$357,000
Total Costs:
$25,000
$357,000
$0
$0
$0
$0
$382,000
Impact on Operations:
Less routine maintenance
like pothole repairs, weed abatement and crack seal, thus freeing
up maintenance crews to
attend to other needed
areas.
H13
Project Number: 800-2016-05 P100
J L Key: 1934
Object: 5650
Hermosa Avenue from Arrow Route to Foothill Boulevard - Pavement Rehabilitation
Project Location:
Hermosa Avenue - From Arrow
Route to Foothill Boulevard
Est. Construction Start/End:
08/2017 - 09/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
y
a'
z
ll
C
--EP-QTHILL BLVD
L
CITY HALL
ROJECT LOCATI
FAMILN'ftE TE, -�-� � OW ROUTE
E.
CVCAFA G
ONA
=
ELEFAENTARY
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$35,000
$0
$0
$0
$0
$35,000
Right-of-way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$265,000
$0
$0
$0
$265,000
Inspection & Administration
50
$0
$10,000
$0
$0
$0
$10,000
Contingency
$0
$0
$25,000
$0
$0
$0
$25,000
Total Costs:
$0
$35,000
$300,000
$0
$0
$0
$335,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Measure I Fund (177)
$0
$35,000
$300,000
$0
$0
$0
$335,000
Total Costs:
$0
$35,000
$300,000
$0
$0
$0
$335,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing up
maintenance crews to
attend to other needed
areas.
H14
P101
Project Number: 800-2015-06
1L Key: 1879
Object: 5650
Hillside Road from Archibald Avenue to Haven Avenue - Pavement Rehabilitation
Project Location:
Hillside Road from Archibald
Avenue to Haven Avenue
Est. Construction Start/End:
06/2017 - 08/2017
Project Status:
Construction
Department:
Engineering
Project Manager:
Romeo David
UU� l�
> r
F9
E _
a � WIISON:AVE-z
G^�
w
RO-J CT LOCATION
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is approved for a Cal Recycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$25,000
$0
$0
$0
$0
$0
$25,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$760,000
$0
$0
$0
$0
$760,000
Inspection & Administration
$0
$15,000
$0
$0
$0
$0
$15,000
Contingency
$0
$75,000
$0
$0
$0
$0
$75,000
Total Costs:
$25,000
$850,000
$0
$0
$0
$0
$875,000
Project Funding:
Funding Source
Prior Years 2016/17
2017/18 2018/19
2019/20
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
Measure I Fund (177)
$25,000 $0
$0 $850,000
$0
$0
$0
$0
$0
$0
$0
$0
$25,000
$850,000
Total Costs:
$25,000 $850,000
$0
$0
$0
$0
$875,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement
attend to other needed areas.
and crack seal, thus freeing
up maintenance
crews to
H15
Project Number: 800-2016-04 P102
JL Key: 1929
Object: 5650
Jersey Boulevard from Haven Avenue to Rochester Avenue - Pavement Rehabilitation
Project Location:
Jersey Boulevard - From Haven
Avenue to Rochester Avenue
Est. Construction Start/End:
08/2017 - 09/2017
Project Status:
Design
LAKES GOLF C
Department:
Engineering
Project Manager:
Romeo David
I
L-4-FNNIU M],T
EPICENTIIIFZS ORT5/CS�
RANCHO CUCAMONGA A T
L—�
LRC ANIMAL CARE` I
ECT LOCATIO
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
$550,000
$0
$0
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement
life, use and rideability.
In
addition, the project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Funding Source
Prior Years 2016/17
Expenditure/Category Prior Years 2016/17 2017/18 2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $0 $0 $0
$0
$0
$0
Design/Plan Review $0 $50,000 $0 $0
$0
$0
$50,000
Right -of -Way $0 $0 $0 $0
$0
$0
$0
Construction $0 $0 $490,000 $0
$0
$0
$490,000
Inspection & Administration $0 $0 $10,000 $0
$0
$0
$10,000
Contingency $0 $0 $50,000 $0
$0
$0
$50,000
Total Costs:
$0 $50,000
$550,000
$0
$0
$0
$600,000
Project Funding:
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Gas Tax R&T 7360 Fund (174)
$0 $50,000
$0
$0
$0
$0
$50,000
Unknown
$0 $0
$550,000
$0
$0
$0
$550,000
Total Costs:
$0 $50,000
$550,000
$0
$0
$0
$600,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack
attend to other needed areas.
seal, thus freeing up maintenance crews to
H16
Project Location:
Various Locations
Est. Construction Start/End:
5/2017 — 7/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Romeo David
UL1Z1'.
Project Number: 800-2016-03
JL Key: 1022
Object: 5650
Local Street Pavement Rehabilitation at Various Locations
Description: This project involves slurry seals and overlays.
Justification: This project if a slurry seal will seal the street thus extending the pavement life and if a pavement overlay will restore the existing
road surface to a substantially new condition, extending pavement life, use and rideability.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
$0
$30,000
$0
$50,000
$0
$0
$0
$0
$o
$o
$p
$0
$0
$80,000
Right -of -Way
Construction
$0
$1,060,000
$0
$727,000
$0
$0
$0
$0
$p
$0
$0
$0
$0
$1,787,000
Inspection & Administration
$50,000
$50,000
$0
$0
$o
$0
$100,000
Contingency
$110,000
$73,000
$0
$0
$p
$0
$183,000
Total Costs:
$1,250,000
$900,000
$0
$0
$0
$0
$2,150,000
Project Funding:
Funding Source
General Fund (001)
Gas Tax R&T 7360 Fund (174)
Infrastructure Fund (198)
Prior Years
$400,000
$850,000
$175,000
2016/17
$0
$850,000
$50,000
2017/18
$0
$0
$0
2018/19
$o
$0
$0
2019/2
$0
$0
$0
TBD
$0
$0
$0
TOTAL
$400,000
$1,700,000
$225,000
Total Costs:
$1,425,000
$900,000
$0
$0
$0
$0
$2,325,000
Impact on Operations:
Less routine maintenance like pothole
attend to other needed areas.
repairs, weed abatement
and crack
seal, thus freeing up
maintenance
crews to
H17
Est. Construction Start/End:
08/2017 - 09/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
sp 'A'
EttTA
P104
7 1 01 AR
L
Project Number: 800-2016-02
iHt7ANO-AVE
.41
Eli,
OW b'
�t RK
JL Key: 1935
TBD
Object: 5650
Rochester Avenue from Base Line Road to Banyan Street - Pavement Rehabilitation
GA --Q�DRO'W'
ED MEN K�
1�&SfAR
V' r,.7c5FaA-PARKX.-,?�
A
�n TIM3
Project Location: AFIRE STAfIbN
175
N,Sl
Rochester Avenue - From Base Line
Road to Banyan Street
�F��A I RCEKJP,AR.
L. GU'. SP'CIA I'
JOq T�DFN
V MENT
Est. Construction Start/End:
08/2017 - 09/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
sp 'A'
EttTA
r Al; I-Api
—R1
7 1 01 AR
L
2017/18
iHt7ANO-AVE
.41
Eli,
OW b'
�t RK
jo
Ir
)r IL—
PROJEC
r. L 6C W
TBD
TOTAL
CHO CVCAIA
R?� P HIGH
J
I -C —TONT U�A�717 T
rr"'E�V,',�T.&GE A
GA --Q�DRO'W'
ED MEN K�
1�&SfAR
V' r,.7c5FaA-PARKX.-,?�
A
�n TIM3
KIR ��E�K
I I I
C13-1;17—
S '—
PXCIFIU--L'CF R11C-7 I
'�j7'W
E.X'E.A
T .�C' J, I
FIRE STATIC, APEt
22
LkA
173 MEN
�CINF RD
Cf
$50,000
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. In
addition, the project is using asphalt rubber and is therefore eligible and will be submitted for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
So
$0
$0
$0
$0
$0
Design/Plan Review
$0
$50,000
$0
$0
$0
$0
$50,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$805,000
$0
$0
$0
$805,000
Inspection & Administration
$0
$0
$15,000
$0
$0
$0
$15,000
Contingency
$0
$0
$80,000
$0
so
$0
$80,000
Total Costs:
$0
$50,000
$900,000
$0
$0
$0
$950,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Measure I Fund (177)
$0
$50,000
$900,000
$0
$0
$0
$950,000
Total Costs:
$0
$50,000
$900,000
So
$0
$0
$950,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack
seal, thus freeing
up maintenance crews to
attend to other needed
areas.
H 18
Project Number: 800-2012-26 P105
1L Key: 1821
Object: 5650
Rochester Avenue from Foothill Boulevard to Base Line Road - Pavement Rehabilitation
Project Location:
Rochester Avenue from Foothill
Boulevad to Base Line Road
Est. Construction Start/End:
08/2016-10/2016
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
--_-1r
RA'SF'L-IN
�j 'RD
U Q
00
I
COYOTE ANY NPARK V
C C,A,UN AIN VIE I PARK a U u U�
SS�� UU W
jam,., 54
:EAVENUE�PARK' EST,�REE K LEE =11
'^
MILLIKE� K
,l � RALPH„ M� LE WI J PARK
PROD CT LOCATION
VICT.QBIA=CARD
'J Q
—FCOT HIL'L'.B.L'VD
w
r
Description:
This project involves cold planning and localized asphalt removal and replacement, crack sealing, asphalt pavement overlay, traffic
signal video detection, ADA ramp reconstruction, utility valve and manhole cover adjustments and pavement striping.
Justification:
This project will restore the existing road surface to a substantially new condition, extending
pavement life,
use and rideability.
The
project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES $0 $o $0
$0
$o
$0
$0
Design/Plan Review
$8,605 $0 $0
$0
$0
$0
$8,605
Right -of -Way
$0 $0 $0
$0
$0
$0
$0
Construction
$0 $540,000 $0
$0
$0
$0
$540,000
Inspection & Administration $0 $10,000 $0
$0
$0
$0
$10,000
Contingency
$0 $60,000 $0
$0
$0
$0
$60,000
Total Costs:
$8,605 $610,000 $0
$0
$0
$0
$618,605
Project Funding:
Funding Source
Prior Years 2016/17 2017/18
2018/19
2019/20
TBD
TOTAL
Measure I Fund (177)
$8,605 $610,000 $0
$0
$0
$0
$618,605
Total Costs: $8,605 $610,000 $0 $o
$0 $0 $618,605
Impact on Operations: Reduced street maintenance costs for pothole repairs and crack seal, thus freeing up maintenance crews to attend to
other needed areas.
HE
Project Number: 800-2014-09 P106
JL Key: 1877
Object: 5650
San Bernardino Road from Carnelian Street to Archibald Avenue - Pavement Rehabilitation
Project Location:
San Bernardino Road from
Carnelian Street to Archibald
Avenue
Est. Construction Start/End:
06/2017 - 08/2017
Project Status:
Construction
Department:
Engineering
Project Manager:
Romeo David
_=,I7Vit�n3r--'.r
N�3
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H
k
'� X04
T t
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INA
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a
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z
y�-eStAL�a-rr
�}cx:xAuoiv��
PROJECT LOCATI`O"N y�
� � CONIFER IN
1>tEY$EAtCT
Description: This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments, and pavement striping.
Justification: This project will restore the existing road surface to a substantially new condition, extending
pavement life, use and rideability. The
project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($j:
Expenditure/Category Prior Years 2016/17 2017/18
2018/19
2019/20
2020/21
TOTAL
Environmental/NPDES $0 $0 $0
$o
$0
$0
$0
Design/Plan Review $20,000 $0 $o
$0
$0
$0
$20,000
Right -of -Way $o $o $o
$0
$o
$o
$0
Construction $0 $350,000 $0
$0
$0
$0
$350,000
Inspection & Administration $0 $15,000 $0
$0
$0
$0
$15,000
Contingency $0 $35,000 $0
$0
$0
$0
$35,000
Total Costs: $20,000 $400,000 $0
$0
$0
$0
$420,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18
2018/19
2019/20
2020/21
TOTAL
Gas Tax R&T 7360 Fund (174) $20,000 $200,000 $o
$0
$0
$0
$220,000
Fire Protection Capital Fund (288) $0 $200,000 $0
$0
$0
$0
$200,000
Total Costs: $20,000 $400,000 $0 $0 $0 $o $420,000
Impact on Operations: Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing up maintenance crews to
attend to other needed areas.
Zwo
Project Number: 800-2015-08 P107
1L Key: 1903
Object: 5650
San Bernardino Road from Grove Avenue to Foothill Boulevard - Pavement Rehabilitation
Project Location:
San Bernardino Road from Grove
Avenue to Foothill Boulevard
Est. Construction Start/End:
06/2017-08/2017
Project Status:
Construction
Department:
Engineering
Project Manager:
Romeo David
Description:
Justification:
PROJECT LOCATION
0
FOOTHILL BLVD
=� SAN BERNARDINO RD
c
PN4c
NICHELiNI UR
STONEY HILL OR
A.IEL UR
V
O
This project involves cold planing, localized asphalt removal and replacement, crack sealing, asphalt rubber hot mix overlay, traffic
signal loop replacement, utility valves and manhole adjustments, and pavement striping.
This project will restore the existing road surface to a substantially new condition, extending pavement life, use and rideability. The
project is using asphalt rubber and is approved for a CalRecycle rebate.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
2020/21
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$0
$0
$0
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$80,000
$0
$0
$0
$0
$80,000
Inspection & Administration
$0
$16,000
$0
$0
$0
$0
$16,000
Contingency
$0
$8,000
$0
$0
$0
$0
$8,000
Total Costs:
$0
$104,000
$0
$0
$0
$0
$104,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
2020/21
TOTAL
Gas Tax R&T 7360 Fund (174)
$0
$104,000
$0
$0
$0
$0
$104,000
Total Costs:
$0
$104,000
$0
$0
$0
$0
$104,000
Impact on Operations:
Less routine maintenance like pothole repairs, weed abatement and crack seal, thus freeing
up maintenance crews to
attend to other needed
areas.
H21
Project Number: 800-2012-22 P108
JL Key: 1601
Object: 5650
Youngs Canyon Road - Extension from Koch Place to Cherry Avenue
Project Location:
Youngs Canyon Road - Koch Place
to Cherry Avenue
Est. Construction Start/End:
To be determined
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
REEK
RANC
PARK
J d [o
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VR w a
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J
C4ASSIA ST O
GYPSUM OR
PROJECT LOCATIO
0
Description: The extension of Youngs Canyon Road between Koch Place and Cherry Avenue will construct a 4lane road across a flood control
basin and master plan its extension to Cherry Avenue.
Justification: This extension of Youngs Canyon Road will construct 1,100 foot segment across an existing flood control basin enabling future
development east of the the basin to complete the remaining 400 foot extension to Cherry Avenue. When
completed the new road
will relieve traffic congestion on Wilson Avenue to the north.
Project Cost Estimate ($}:
Expenditure/Category Prior Years 2016/17 2017/18
2018/19 2019/2020
TBD
TOTAL
Environmental/NPDES $0 $0 $100,000
$0 $0
$0
$100,000
Design/Plan Review $249,166 $50,000 $70,000
$0 $0
$0
$369,166
Right -of -Way $0 $0 $50,000
$0 $0
$0
$50,000
Construction $0 $0 $2,600,000
$0 $0
$0
$2,600,000
Inspection & Administration $0 $0 $50,000
$0 $0
$0
$50,000
Contingency $0 $0 $280,000
$0 $0
$0
$280,000
rota) Costs:
Project Funding:
Funding Source
AD 88-2 Etiw/Highlnd Impry (813)
Total Costs:
Impact on Operations:
$249,166 $50,000 $3,150,000 $0 $0 $0 $3,449,166
Prior Years 2016/17 2017/18 2018/19 2019 2020 TBD TOTAL
$249,166 $50,000 $3,150,000 $0 $0 $0 $3,449,166
$249,166 $50,000 $3,150,000 $0 $0 $0 $3,449,166
Adds 1,100 feet of roadway to the City's street maintenance program. A more detailed cost estimate will be available
after the preliminary design phase is complete.
H 22
Traffic
P109
t �-
I
Projects included in this section are typically those that will promote safe and efficient traffic circulation per State and local
design standards. Planned projects include two new signals, and upgrades at three intersections, synchronization at three
freeway interchanges, and preparation of an ITS master plan.
Traffic Projects are typically funded via Transportation Development Funds (124), Measure 1 (177), Gas Tax Funds (170, 172,
and 174), Street Lighting Districts and some grant funding.
Prosect List & FY 2016-17 Expenditures
1 6th @ Rochester- Traffic Signal
$ 513,000
Installation
2 Archibald Ave @ Victoria- Traffic
$ 551,500
Signal Installation
3 Base Line Rd @ Lion St- Pedestrian
$ 80,000
Hybrid Beacon
4 East @ Miller- Traffic Signal
$ 524,000
Installation
5 Freeway & Arterial Signal
$ 320,000
Synchronization @ Various
Intersections
6 Intelligent Transportation System
$ 250,000
Upgrade- Citywide
7 Milliken @ 5th- Traffic Signal
$ 469,000
Installation
8 Milliken Ave Traffic Signals @
$ 54,000
Millenium Ct & Vintage Dr -
Upgrade Lft Turn Phases
9 Rochester @ Jersey- Traffic Signal
$ 315,000
Installation
10 Terra Vista Parkway @ Spruce- Sfty
$ 20,000
Lghtg Installation
$ 3,096,500
Sources of Funding for FY 2016-17
$20,000 $80,000 $112,810
AB2766 Air Quality
SLD 4
Transportation
Infrastructure
$2,883,690
Pilo
Project Number:
JL Key: 1939
6th Street at Rochester Avenue - Traffic Si nal Installation Object: 5650
Project Location:
Sixth Street and Rochester Avenue )I
Est. Construction Start/End:
3/2017 — 6/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Jason Welday
Description: The scope of work to be performed in general consists of, but is not limited to, installation of traffic signals, fiberoptic interconnect
and related equipment at Sixth Street and Rochester Avenue.
Justification: The installation of traffic signals will improve traffic safety and reduce traffic congestion.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$0
$0
$0
$0
$0
$0
$0
$30,000
50
$430,000
$10,000
$43,000
$0
$0
$0
$0
$0
$0
$0
$0
$o
$0
$0
$0
$O
$0
$0
$0
$0
$0
$0
$0
$o
$0
$0
$0
$O
$30,000
$o
$430,000
$10,000
$43,000
Total Costs:
$0
$513,000
$0
$0
$O
$0
$513,000
Project Funding:
Funding Source
Transportation (124)
Total Costs:
Prior Years 2016/17 2017/18
$0 $513,000 $0
$0 $513,000 $o
2018/19 2019/2 TBD
$0 $0 $0
$0 $0 $0
TOTAL
$513,000
$513,000
Impact on Operations:
The City will be responsible to pay for the cost of
maintenance for a traffic signal is $2,500 per year.
electricity and maintenance. The estimated cost of
electricity and
11
P111
Project Number:
JL Key: 1510
Object: 5650
Archibald Avenue at Victoria Street - Traffic Signal Installation
Project Location:
Archibald Avenue at Victoria
Street
Est. Construction Start/End:
3/2017 — 6/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Jason Welday
19TH STREET
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s
PACIFIC ELECTRIC TRAIL
Description: The scope of work to be performed in general consists of, but is not limited to, installation of traffic signals, fiberoptic interconnect
and related equipment at Archibald Avenue at Victoria Street.
Justification: The installation of traffic signals will improve traffic safety and reduce traffic congestion.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$30,000
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$o
$o
$o
$o
Construction
$0
$465,000
$0
$0
$0
$0
$465,000
Inspection & Administration
$0
$10,000
$0
$0
$0
$0
$10,000
Contingency
$0
$46,500
$0
$0
$0
$0
$46,500
Total Costs:
$0
$551,500
$0
$0
$0
$0
$551,500
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Transportation (124)
$0
$551,500
$0
$0
$0
$0
$551,500
Total Costs:
$0
$551,500
$0
$0
so
$0
$551,500
Impact on Operations:
The City will be responsible to pay for the cost of electricity and maintenance.
The estimated cost of electricity and
maintenance for a traffic
signal is $2,500 per year.
Project Number: 800-2015-24
1L Key: 1921
Object: 5650
Base Line Road at Lion Street - Pedestrian Hybrid Beacon (HAWK) Installation
Project Location:
Base Line Road at Lion Street
Est. Construction Start/End:
10/2016 — 11/2016
Project Status:
Construction
Department:
Engineering
Project Manager:
Jason Welday
WVJ
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Description: The scope of work to be performed in general consists of, but is not limited to, installation of a pedestrian hybrid beacon (HAWK)
and related equipment at Base Line Road and Lion Street.
Justification: The project will improve pedestrian safety.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
SO
$0
$0
Design/Plan Review
$20,000
$0
$0
$0
$0
$o
$20,000
Right -of -Way
Construction
$0
$0
$0
$80,000
$0
$0
$0
$0
$0
$0
$0
$O
$0
$80,000
Inspection & Administration
Contingency
SO
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$O
$o
$O
Total Costs:
$20,000
$80,000
50
$0
$O
$0
$100,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Citywide Infrastructure Impry (198) $20,000 $80,000 $0 $o $0 50
$100,000
Total Costs: $20,000 $80,000 $0 $0 $o
$0 $100,000
Impact on Operations: The City will be responsible for the cost of electricity and maintenance. The estimated cost of electricty and
maintenance for a pedestrian hybrid beacon is $1,500 per year.
13
P113
Project Number:
JL Key: 1888
Object: 5650
East Avenue at Miller Avenue - Traffic Signal Installation
Project Location:
East Avenue at Miller Avenue
Est. Construction Start/End:
3/2017 - 6/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Jason Welday
/�ItIVFR.OAK.OR i
PROJECT LOCATION
MALVASIA WAY FIRFS ONF OR
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Description: The scope of work to be performed in general consists of, but is not limited to, installation of traffic signals, fiber optic interconnect
and related equipment at East Avenue at Miller Avenue.
Justification: The installation of traffic signals will improve traffic safety and reduce traffic congestion.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$30,000
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$o
$o
$0
$o
Construction
$0
$440,000
$0
$0
$0
$0
$440,000
Inspection & Administration
$0
$10,000
$0
$0
$0
$0
$10,000
Contingency
$0
$44,000
$0
$0
$0
$0
$44,000
Total Costs:
$0
$524,000
$0
$0
$0
$0
$524,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Transportation (124) $0 $524,000 $0 $0 $0 $0 $524,000
Total Costs: $0 $524,000 $0 $0 $0 $0
$524,000
Impact on Operations: The City will be responsible to pay for the cost of electricity and maintenance. The estimated cost of electricity and
maintenance for a traffic signal is $2,500 per year.
14
Project Location:
SR -210 at Haven Avenue; 1-15 at
Base Line Road; and 1-15 at
Foothill Boulevard
Est. Construction Start/End:
1/2017-6/2017
Project Status:
Construction
Department:
Engineering
Project Manager:
Jason Welday
21E!
Project Number: 800-2015-16
JL Key: 1900
Freeway and Arterial Signal Synchronization - Phase I Object: 5650
Description: The scope of work to be performed in general consists of, but is not limited to, installation of traffic signal communication systems on
City local arterials and State Route, Interstate on -ramps and off -ramps and updated coordination timing along the local arterials.
Justification: The project will provide communication and coordination to enable monitoring, re -timing and coordination of the City's traffic signals
with the State Route and Interstate for improved traffic flow and safety. These improvements equate to reduced fuel consumption and
vehicle emissions.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0
So $o $o $o
Design/Plan Review $85,000 $0 $o
$o $o $o $85,000
Right -of -Way $o $0 $o
$O $o SO SO
Construction $0 $290,000 $0
$0 $O $O $290,000
Inspection & Administration $0 $0
$o $O $O $o $o
Contingency $0 $30,000 $0
$0 $O $0 $30,000
Total Costs: $85,000 $320,000 $o
$O $0 $0 $405,000
Project Funding:
FundingSource Prior Years 2016/17 2017/18 2018/19 2019/2 TBD TOTAL
AB 2766 Air Quality Imprvmnt Fund (105) $12,000 $112,810 $o
$0 $0 $0 $124,810
Transportation (124) $73,000 $207,190 $o
$0 $o $0 $280,190
Total Costs: $85,000 $320,000 50
$0 $O $o $405,000
Impact on Operations: Communication and coordination with the State Route and Interstate with City Streets will improve maintenance staff
efficiencies and reduce related costs. These systems will also provide substantial improvements in system -wide signal
timing and coordination, improving operational efficiencies, while also resulting in fewer citizen complaints.
up
P115
Project Location:
City -Wide
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Jason Welday
Description: Construct conduit, fiberoptic cable, and networking devices to connect the City's traffic signals into the City's Intelligent
Transportation System.
Project Number: 800-2012-17
JL Key: 1831
Object: 5650
Intelligent Transportation System Upgrade - Citywide
Justification: Implementation of this project will improve monitoring, retiming and coordination of the City's traffic signal system.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Consultant Services
$20,652
$150,000
$0
$0
$0
$0
$170,652
Staff Training
$595
$0
$0
$0
$0
$0
$595
Design/Equipment Specifications
$0
$0
$0
$0
$0
$0
$0
Procurement/Construction
$351,534
$100,000
$500,000
$500,000
$500,000
$5,433,350
$7,384,884
System Testing and Integration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$0
$0
$0
$0
$0
Total Costs:
$372,781
$250,000
$500,000
$500,000
$500,000
$5,433,350
$7,556,131
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Transportation (124)
$372,781
$250,000
$500,000
$500,000
$500,000
$5,433,350
$7,556,131
Total Costs:
$372,781
$250,000
$500,000
$500,000
$500,000
$5,433,350
$7,556,131
Impact on Operations:
Development of the City's ITS will improve maintenance,
staff efficiencies
and reduce related costs.
These system
upgrades will also
provide substantial improvements in system -wide
signal timing
and coordination,
improving
operational efficiencies, while also resulting in fewer
citizen complaints.
Project Location:
Milliken Avenue at 5th Street
Est. Construction Start/End:
3/2017 - 6/2017
Project Status:
Design/Construction
Department:
Engineering
Project Number: P116
J L Key: 1940
Object: 5650
Milliken Avenue at 5th Street - Traffic Signal Installation
EMPIRE LAKES GOLF COURSE
yI
I
I
EMPIRE LAKES GOLF COURSE
PROJECT LOCATION
Project Manager:
Jason Welday 4:"srt.• _ _ ..j _ _ (` -
Description: The scope of work to be performed in general consists of, but is not limited to, installation of traffic signals, fiber optic interconnect
and related equipment at Milliken Avenue at 5th Street.
Justification: The installation of traffic signals will improve traffic safety and reduce traffic congestion.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$30,000
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$390,000
$0
$0
$0
$0
$390,000
Inspection & Administration
$0
$10,000
$0
$0
$0
$0
$10,000
Contingency
$0
$39,000
$0
$0
$0
$0
$39,000
Total Costs:
$0
$469,000
$0
$0
$0
$0
$469,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Transportation (124)
$0
$469,000
$0
$0
$0
$0
$469,000
Total Costs:
$0
$469,000
$0
$0
$0
$0
$469,000
Impact on Operations:
The City will be responsible to pay for
the cost of electricity and maintenance. The
estimated cost of electricity and
maintenance for a traffic
signal is $2,500 per year.
17
y`VA
Project Number: 800-2014-06
JL Key: 1875
Object: 5650
Milliken Avenue Upgrade Left Turn Phases
Project Location:
Milliken Avenue at Millenium
Court; and Milliken Avenue at
Vintage Drive.
®�
Est. Construction Start/End:
12/2016 — 2/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Jason Welday
Description: The scope of work to be performed in general consists of, but is not limited to, removing protected -permissive left turn phasing and
replacing with flashing yellow arrow left turn phasing for the traffic signals on Milliken Avenue.
Justification: The project will improve safety and efficiency for vehicles and pedestrians by providing flashing yellow arrow left turn vehicle
movements.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$25,000
$5,000
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$86,000
$40,000
$0
$0
$0
$0
$126,000
Inspection & Administration
$5,000
$5,000
$0
$0
$0
$0
$10,000
Contingency
$9,000
$4,000
$0
$0
$0
$0
$13,000
Total Costs:
$125,000
$54,000
$0
$0
$0
$0
$179,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Transportation (124)
$125,000
$54,000
$0
$0
$0
$0
$179,000
Total Costs:
$125,000
$54,000
$0
$0
$0
$0
$179,000
Impact on Operations:
After installation and
configuration
of the protected left turn traffic
signal equipment,
no additional
impacts on
operations will be present.
01
Project Number:
JL Key: 1941
Object: 5650
Rochester Avenue at Jersey Boulevard - Traffic Signal Installation
Project Location:
Rochester Avenue at Jersey
Boulevard
Est. Construction Start/End:
3/2017 — 6/2017
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Jason Welday
Description:
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The scope of work to be performed in general consists of, but is not limited to, installation of traffic signals, fiber optic interconnect
and related equipment at Rochester Avenue at Jersey Boulevard.
Justification: The installation of traffic signals will reduce traffic congestion.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
So
$0
$0
$0
$0
Design/Plan Review
$0
$30,000
$0
$0
$0
$0
$30,000
Right -of -Way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$250,000
$0
$0
$0
$0
$250,000
Inspection & Administration
$0
$10,000
$0
$0
$0
$0
$10,000
Contingency
$0
$25,000
$0
$0
$0
$0
$25,000
Total Costs:
$0
$315,000
$0
$0
$0
$0
$315,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Transportation (124) $0 $315,000 $0 $0 $0 $0 $315,000
Total Costs: $0 $315,000 $0 $0 $0 $0 $315,000
Impact on Operations: The City will be responsible to pay for the cost of electricity and maintenance. The estimated cost of electricity and
maintenance for a traffic signal is $2,500 per year.
Wo
Project Location:
Terra Vista Parkway at Spruce
Avenue
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Jason Welday
Project Number: 800-2015-17
JL Key: 1902
Terra Vista at Spruce - Safety Lighting Installation Object: 5650
l
J U U1f7
OEM'
/ COYOTE CANVO PARK
WICST GR\CENWAY PP -K
tis3
PROJECT LOCATION
Description: The scope of work to be performed in general consists of, but is not limited to, installing
controlled intersection.
safety lighting at the existing all -way stop -
Justification: The project will upgrade the lighting for vehicles
and pedestrians by
enhancing the visibility
at the intersection.
Project Cost Estimate ($):
Expenditure/Category Prior Years
Environmental/NPDES $0
Design/Plan Review $0
Right -of -Way $0
Construction $0
Inspection & Administration $0
Contingency $0
2016/17
$0
$20,000
$o
$0
$0
$0
2017/18
$0
So
So
$100,000
$p
$10,000
2018/19
$o
$o
So
$0
50
$O
$O
2019/20
So
$o
$0
$0
$O
50
TBD
$o
$o
5o
$0
$0
$0
TOTAL
$o
$20,000
SO
$100,000
$0
$10,000
Total Costs: $0
$20,000
$110,000
$0
$0
$130,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
SLD 4 (154) $0 $20,000 $110,000
$0 $0 $0 $130,000
Total Costs: $0 $20,000 $110,000
$0 50 $0 $130,000
Impact on Operations: The project will increase the cost for electrical service, and maintenance to replace lamps will occur approximately
every 5 years.
1 10
Future & Unfunded
P120
Projects included in this section are those that have been identified as being a priority project, but lack dedicated funding for the
upcoming fiscal year. Projects designated as 'Unfunded' could be waiting on grant approval, or perhaps until new special fund
monies become available. Projects showing dedicated funding sources, but which are slated to occur in future fiscal years have
mostly likely been delayed due to issues with the future funding of operating expenses.
We have included this section to illustrate those priority projects that did not make it into the FY 2016/17 budget for either of
these reasons. Staff is actively pursuing grant or other fundraising opportunities for several of the projects in this section.
Project List & FY 2016-17 Expenditures
1 6th St @ BNSF Spur Crossing W/O
Etiwanda Ave
2 9th St along north side w/o Vineyard Ave -
Grade Separation
3 Archibald Ave from Church to Palo Alto -
Storm Drain
4 Distribution System Automation -Switch to
RCMU Service Area
5 Epicenter- Hardscape Prkg Lots B & C
Planter Islands
Project List & FY 2016-17 Expenditures
$ 16,953,000
17 LMD 2- Paseo Lighting Repair and
40,000,000
Replace
$ 115,800
18 Paul A. Biane Library- Second Floor
Rancho KIDS Project
$ 1,215,000
19 Rochester Ave & Arrow Rte n/e corner -
7 Etiwanda Ave Line Extension from Arrow-
Street Widening
$ 250,000
20 Victoria Gardens Cultural Center -Loading
Bay
$ 66,000
$ 150,000
$ 4,250,000
$ 414,000
$ 200,000
$ 83,325,300
6 Etiwanda Ave Grade Separation a
$
40,000,000
Metrolink Tracks
7 Etiwanda Ave Line Extension from Arrow-
$
602,500
Sources of Funding
for FY 2016-17
Foothill
8 Fire District -Central Station 178
$
9,000,000
$9,000,000
9 Foothill Blvd: Grove Ave -San Bernardino
$
4,630,000
$150000 $90,800
$189,000
Rd- Widening
,
$25,000
10 Foothill Blvd: San Bernardino Rd -Vineyard
$
300,000
$25,000
Ave- Median Landscape
$852,500
11 Haven Ave from Banyan to Wilson- Sidwalk
$
264,000
$895,000
Improvements
12 Haven Ave from Wilson to Vivienda-
$
150,000
Community Trail
$72,098,000
13 Hermosa Ave: Banyan -Wilson- Pavement
$
260,000
■ Unknown
■ LIVID 2
Rehab
Municipal Utility
■ Gas Tax R & T 7360
14 Hermosa Ave: Alta Loma Basin to Wilson-
$
2,245,000
■ Citywide Infrastructure
■ Safe Rte to School
Storm Drain
-4 Fire Capital Projects
■ Capital Reserve
■ TDA Article 3
15 Lemon Ave: Archibald to Haven- Pavement
$
560,000
Rehab
16 Lemon Ave: Haven to 1,300" west- Storm
$
1,700,000
Drain
J
Project Number: 800-2015-18 P121
JL Key: 1839
6th Street at BNSF Spur Crossing west of Etiwanda Avenue Object: 5650
Project Location:
6th Street at the BNSF spur track,
west of Etiwanda Avenue.
Est. Construction Start/End:
To be determined
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
PROJECT bOCATION
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W
ti
6TH ST
6'TH-ST
i
4TH ST
Description: Prepare preliminary design drawings and cost estimates for a grade crossing at 6th Street and the BNSF Railroad Spur.
Justification: This project, if constructed, would complete 6th Street, between Santa Anita Avenue and Etiwanda Avenue, and provide better
traffic circulation
for the area.
$0
$0
$0
$16,953,000
$17,027,360
Project Funding:
Project Cost Estimate ($):
Funding Source
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$o
$o
$0
$0
$0
$0
$0
Design/Plan Review
$74,360
$0
$0
$0
$0
$960,000
$1,034,360
Right -of -Way
$0
$0
$0
$o
$0
$893,000
$893,000
Construction
$0
$0
$0
$0
$0
$12,100,000
$12,100,000
Inspection & Administration
$0
$0
$0
$0
$0
$1,200,000
$1,200,000
Contingency
$0
$0
$0
$0
$0
$1,800,000
$1,800,000
Total Costs:
$74,360
$0
$0
$0
$0
$16,953,000
$17,027,360
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Unknown
$0
$0
$0
$0
$0
$16,953,000
$16,953,000
Transportation Fund (124)
$74,360
$0
$0
$0
$0
$0
$74,360
Total Costs:
$74,360
$0
$0
$0
$0
$16,953,000
$17,027,360
Impact on Operations:
None at this time.
11
Project Number: 800-2012-20
1L Key: 1808
9th St, North side, West of Vineyard Ave - Sidewalk improvements Object: 5650
Project Location:
9th St, North side, From 100 ft.
west of Vineyard Ave. to 800 ft.
west of Vineyard Ave.
Est. Construction Start/End:
01/2018 - 02/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
Description:
PROJECT LOCATIO
Project to construct 700' of sidewalk on the north side of 9th St.
BEAR GU
EL MENI
BEAR G L
0
TH:S T:
I'
Justification: To provide students a safe and direct route walking to school. The poject goal is to reduce the need for bus services and its
benefits are measured by student surveys taken before and after the project. The City was awarded a federal Safe Routes To
School grant to fund 75% of the construction costs.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
Citywide Infrastructure (198)
Safe Route School Fund (234)
Total Costs:
Impact on Operations:
Prior Years
2016/17
2017/1
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$7,850
$0
$0
$0
$0
$0
$7,850
$0
$0
$0
$0
$0
$0
$0
$0
$0
$103,000
$0
$0
$0
$103,000
$0
$0
$2,300
$0
$0
$0
$2,300
$0
$0
$10,500
$0
$0
$0
$10,500
$7,850
$0
$115,800
$0
$0
$0
$123,650
Prior Years
2016/1
2017/18
2018/19
2019/20
TBD
TOTAL
$7,850
$0
$25,000
$0
$0
$0
$32,850
$0
$0
$90,800
$0
$0
$0
$90,800
$7,850
$0
$115,800
$0
$0
$0
$123,650
Reduction in parkway maintenance costs
J2
UWIA
Project Number: 800-2012-14 P123
1L Key: 1805
Object: 5650
Archibald Avenue from Church Street to Palo Alto Street - Storm Drain
Project Location:
Archibald Avenue from Church
Street to Palo Alto Street
Est. Construction Start/End:
To be determined
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
i tt A<:NOLIA ST �' }
1
�1 YI
K
2
Qi
BALSA ST
PROJECT LOCATION (� =
f:t.FN WODU ST (I(\j � J
CANULLWUU f
4
W
a
4 _ 4 �q
Y E'N S TJ u
YLYl CT �
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a
...................
rt- msT s
4 IIu�( L
LAN(:S 1 UN ST
Description: Construct a Master Planned Storm Drain, install catch basins, manholes, and laterals.
Justification: This project will improve drainage within the area.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$o
$0
$0
$0
Design/Plan Review
$0
$0
$0
$0
$o
$35,000
$35,000
Right -of -Way
$o
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$0
$0
$0
$1,000,000
$1,000,000
Inspection & Administration
$0
$0
$0
$0
$0
$80,000
$80,000
Contingency
$0
$0
$0
$0
$0
$100,000
$100,000
Total Costs:
$0
$0
$0
$0
$o
$1,215,000
$1,215,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Unknown
$0
$0
$0
$0
$0
$1,215,000
$1,215,000
Total Costs:
$0
$0
$0
$0
$0
$1,215,000
$1,215,000
Impact on Operations:
Less routine maintenance, potholes,
sand bags for storm
water protection
and storm water cleanup, thus
freeing up
maintenance crews
to attend to other
needed areas.
J3
Project Location:
Various key RCMU Switch
locations in RCMU Service Area
Est. Construction Start/End:
TBD
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Fred Lyn
ON'!
Project Number:
1L Key: 1916
Object: 5650
Distribution System Automation
Description: Deployment of remotely and/or automatically controlled devices within RCMU's Distribution System.
Justification: Placement of automated equipment in key asset infrastructure within RCMU's distribution system would allow for improvement in
system reliability and efficiency in quickly identifying outages. The ability to remotely monitor distribution system conditions and
and possibly control switches would reduce customer outage duration and improve restoration time. A SCADA system with a
communication network such as wireless or existing fiber optic will be required.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/2
TBD
TOTAL
Environmental/NPDES
$0
$0
$0
$0
$0
$0
$0
Design/Plan Review
$0
$0
$50,000
$0
$0
$0
$50,000
Right-of-way
$0
$0
$0
$0
$0
$0
$0
Construction
$0
$0
$100,000
$0
$0
$0
$100,000
Inspection & Administration
$0
$0
$0
$0
$0
$0
$0
Contingency
$0
$0
$100,000
$0
$0
$0
$100,000
Total Costs:
$0
$0
$250,000
$0
$0
$0
$250,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Municipal Utility (Fund 705) $0 $0 $250,000 $0 $0 $0 $250,000
Total Costs: $0 $0 $250,000 $0 $0 $0 $250,000
Impact on Operations: The increased reliability will provide better customer service in identifying potential outages and restoring power as
quickly as possibly in RCMU's service area.
J4
Project Number: 800-2016-22
1L Key:
Epicenter - Hardscape Parking Lot B and C Planter Islands Object: 5650
Project Location: iiF gvit s� v C Vil .ARDENS IN
Epicenter Parking Lots B and C e _ ) i� t1
Est. Construction Start/End:
TBD
Project Status:
Design/Constructioi
Department:
Engineering
Project Manager:
Curt Billings
Description:
P125
Replace landscaping at the planter islands parking lot with 60% decomposed granite and 40% rockscape in Lots B and C.
Justification: Solar Photovoltaic Sytems were installed at Parking Lots B and C in FY 15/16. This project will replace
parking lots with hardscaping that is compatible with the solar canopies.
landscaped planter islands in
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Prior Years
$0
$0
$o
$0
$0
$0
2016/17
so
$0
$0
$0
$0
$0
2017/18
$0
$0
$0
$0
$o
$o
2018/19
$0
$0
$0
$0
$o
$0
2019/20
$0
$O
$0
$0
$o
$O
TBD
$0
S5,000
$0
$56,000
$o
$5,000
TOTAL
$0
$5,000
$0
$60,000
$O
$5,000
Total Costs:
$0
$0
$0
$0
$0
$66,000
$70,000
Project Funding:
Funding Source
To be determined
Prior Years
$0
2016/17
$0
2017/18
$0
2018/19
$o
2019/20
$0
TBD
$66,000
TOTAL
$66,000
Total Costs:
$0
$0
$0
$o
$O
$66,000
$66,000
Impact on Operations:
None
J5
P126
Project Number: 800-2015-25
JL Key: 1922
Etiwanda Avenue - Grade Separation at Metrolink Tracks Object: 5650
Project Location: —----/
Etiwanda Avenue from 6th Street—'-------ARRo.YV-R_rE
to Arrow Route I 1 --1(—�
Est. Construction Start/End:
To be determined
Project status:
Design
Department:
Engineering
Project Manager:
Curt Billings
PROJECT LOCATION-,,,,,
ATSF RAILROAD
GrM=
.� I
Description: Prepare preliminary design drawings for a future grade separation on Etiwanda Avenue at the Metrolink Railroad Crossing south of
Whitram Avenue.
Justification: This project will improve safety and traffic circulation
on Etiwanda Avenue.
2016/17
$0
$0
$0
$0
2017/18
$0
$0
$0
$0
2018 19
�_
$0
$0
$o
$0
Project Cost Estimate ($):
TBD
$0
$0
$40,000,000
$40,000,000
TOTAL
$337,000
$1,335,000
$40,000,000
$41,672,000
Impact on Operations:
Added maintenance
costs for a new bridge
will be determined
during design phase.
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$0
$337,000
$1,335,000
$0
$0
So
$o
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
SO
$0
$0
$p
Sp
$o
$0
$0
$0
$0
$O
$0
$0
$1,000,000
$3,500,000
$32,000,000
$500,000
$3,000,000
$0
$1,337,000
$4,835,000
$32,000,000
$500,000
$3,000,000
Total Costs:
$1,672,000
$0
$0
$0
$0
$40,000,000
$41,672,000
Project Funding:
Funding Source
Transportation Fund (124)
Infrastructure Fund (198)
Unknown
Total Costs:
Prior Years
$337,000
$1,335,000
$0
$1,672,000
2016/17
$0
$0
$0
$0
2017/18
$0
$0
$0
$0
2018 19
�_
$0
$0
$o
$0
2019/20
$0
$0
$0
$0
TBD
$0
$0
$40,000,000
$40,000,000
TOTAL
$337,000
$1,335,000
$40,000,000
$41,672,000
Impact on Operations:
Added maintenance
costs for a new bridge
will be determined
during design phase.
J6
IaMA
Project Number:
JL Key: 1885
Etiwanda Avenue - Line Extension Object: 5650
Project Location:
Etiwanda Avenue Electric Line
Extension - from Arrow Route to
Foothill Boulevard
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Fred Lyn
Description:
PROJECT LOCATION
Distribution Line Extension east of the 1-15 freeway to service vacant parcels on the corner of Foothill Boulevard and Etiwanda
Avenue with RCMU electricity.
Justification: Line extension is needed to extend power service on Etiwanda Avenue to service vacant parcels on the corner Etiwanda Avenue and
Foothill Boulevard. The City paid SCE exit fees for the right to service any load associated with a newly constructed facility or
undeveloped parcels that has never been interconnected with Edison; this falls under that category.
Project Cost Estimate ($j:
Expenditure/Category
Prior Years
2016/17
2017/18
2018 19
_�_
2019/2
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
50
$0
$0
$0
$0
$0
$0
$0
$0
$p
$0
$o
$0
$o
$0
$0
$O
$o
$0
$o
$0
$0
52,500
$o
$500,000
$0
$100,000
$602,500
$0
$2,500
So
$500,000
$0
$100,000
$602,500
Project Funding:
Funding Source
Municipal Utility (Fund 705)
Total Costs:
Prior Years
$0
$0
2016/17
$0
$0
2017/18
$0
$0
2018/19
$0
$0
2019/2
$0
$o
TBD
$602,500
$602,500
TOTAL
$602,500
$602,500
Impact on Operations:
The increased electricity
load will provide additional revenue
to RCMU.
J7
P128
Project Number:
1L Key: 1645
Fire District - Central Station (178) Object: 5650
Project Location:
South Side of Town Drive, E/O
Haven Avenue
Est. Construction Start/End:
Unknown
Project Status:
Negotiating Purchase and Sale
of Property
Department:
Fire Protection District
Project Manager:
Chief Mike Costello/Pamela Pane
<—? 4 BASE LINE -RD ,� w
i (—"� t4 ( r5Ef2WdCX Ut2 :Z'
"�Tf�fi�L• AIS `(?tST'.ni
NA MERCED—:-. (DOM
TEFt � r----•,.a���l�`.```.
EMENTAtRY �r l
�=
rtANGROVE ST � RUTH MUSS R q
�I MIDDLE
Z�'��y' A:AIATP: DR
LL
�W—'a = �� COYOTE CANYON
:S'T=Q \ AFI AWNTARY
PR ECT L Q_�)AUri s-�__.--
fiLGISZT
W �f a
a FOC�THIL'L_t3LVD u.l�
T �Lu-
Description: Acquisition of property for a future fire station.
Justification: This station will serve the center of the Rancho Cucamonga community. It will provide the area with emergency services for fire suppression
and life safety. The project will be proposed to begin when the population and call volume trigger the need.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Land Acquisition
Construction
Inspection & Administration
Contingency
Total Costs:
$p
$o
$3,320,000
$0
$o
$50,000
$3,370,000
$o
$0
$0
$0
$0
$p
$0
$0
$o
$o
$0
$o
$0
$0
$0
$o
$0
$o
$o
$0
$p
$o
$0
$0
$0
$o
$0
$0
$o
$1,000,000
$0
$s,000,000
$o
$0
$9,000,000
So
$1,000,000
$3,320,000
$8,000,000
$o
$50,000
$12,370,000
Project Funding:
Funding Source
Fire Capital Projects (288)
Total Costs:
Prior Years
$3,370,000
$3,370,000
2016/17
$0
$0
2017/18
$0
$0
2018/19
$0
$0
2019/20
$0
$0
TBD
$9,000,000
$9,000,000
TOTAL
$12,370,000
$12,370,000
Impact on Operations:
Annual station operations and maintenance
construction. Designs with greater
operate. Capital equipment purchase
costs will depend on the
active/passive energy conservation
of an engine.
station size and staffing costs at
and greater xeriscape will
the time of
cost less to
J8
P129
Project Number:
1L Key: 1189
Foothill Boulevard from Grove Avenue to San Bernardino Road - Widening with MOedian5island
including Landscaped Median to Vineyard Avenue
Project Location:
Foothill Boulevard from Grove
Avenue to San Bernardino Road,
including landscaped median to
Vineyard Avenue
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
' I uRF():MILL�DR t �1P' / �'—SaN UE12tJ
(j\ ...JJJ
e
Aa
PROJECT LOCATION
rS CAtt-, gRABE'
-�riN ULRrvriRrilN2SRn "'--- � .I a x
1 t tp P Z
N
41CkELl I UR
GjR�G c' ST()NLY HILL nR
. 4�x ESE n
P6 I I KNOLLWODU nR
/%AtSftltL V!i
> C,
\ APPLEWOOD DR
Oi � r —
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_VENIEA:GPIAk��
a � s
�C-- AfiR'C5W'R7EF-75:7 F7
Description: This project is the last phase of the multi phased Foothill Boulevard street and bridge improvements and includes right-of-way
acquisition, utility relocation, street widening, storm drain and landscape improvements.
Justification: This project will provide increased traffic and pedestrian circulation including safety and visual enhancements. The project is
identified in the City's General Plan and the Foothill Boulevard Specific Plan.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0 $0
$0 $0 $0
Design/Plan Review $3,096,000 $0 $0 $0
$0 $30,000 $3,126,000
Right -of -Way $713,000 $0 $0 $0
$o 5141,000 $854,000
Construction $9,884,000 $0 $0 $0
$0 $4,059,000 $13,943,000
Inspection & Administration $613,000 $0 So $0
$0 $0 $613,000
Contingency $1,289,000 $0 $0
$0 $0 $400,000 $1,689,000
Total Costs: $15,595,000 $0 $0 $0
$0 $4,630,000 $20,225,000
Project Funding:
Funding Source
RDA - 2001 TAB (650)
RDA - 2004 TAB (660)
Transportation Fund (124)
Unknown
Total Costs:
Prior Years 2016/17
$3,504,000 $0
$11,684,000 $0
$407,000 $0
$0 $o
$15,595,000 $0
2017/18
$0
$0
$0
$p
$0
2018/19
$o
$p
$0
$0
$0
2019/20
$0
$0
$0
$0
$0
TBD
$O
$0
$0
$4,630,000
$4,630,000
TOTAL
$3,504,000
$11,684,000
$407,000
$4,630,000
$20,225,000
Impact on Operations:
This project adds one mile of additional landscape maintenance
additional street lights into SLD 1.
costs along
Foothill Boulevard,
as well as some
19
P130
Project Number: 800-2015-03
JL Key: 1908
Foothill Boulevard from San Bernardino Road to Vineyard Avenue • Median Object: 5650
Landsca e
Project Location:
Foothill Boulevard from San
Avenue Bernardino Road to Vineyard
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
Description: Install median landscape improvements consistant with the Foothill Boulevard Specific Plan,
Vineyard Avenue.
from San Bernardino Road to
Justification: Improvements to the unimproved
median will beautify
as well as reduce
weed abatement and dust
control.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$o
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$o
$0
$0
$0
$0
$0
$o
$0
$o
$o
$0
$0
$o
$0
$o
$o
$265,000
$10,000
$25,000
$0
$o
$o
$265,000
$10,000
$25,000
Total Costs:
$0
$0
$0
$0
$0
$300,000
$300,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Unknown $0 $0 $0 $0
$0 $300,000 $300,000
Total Costs: $0 $0 $0 $0
$0 $300,000 $300,000
Impact on Operations: Cost savings from reduced weed abatement, however, this stretch will add water costs, along with routine
maintenance of the median.
1 10
P131
Project Number: 800-2013-32
JL Key: 1864
Object: 5650
Haven Avenue from Banyan Street to Wilson Avenue along the East side - Sidewalk
IIEasProject Location: I K-Tz:==1i
t side of Haven Avenue from JoBanyan Street to Wilson Avenue l
Est. Construction Start/End:
01/2017-03/2017
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
Description:
Justification:
The proposed sidewalk along east side of Haven Avenue will fill a gap where sidewalks are missing and provide improved ADA access
to Chaffey College.
This project is part of the City Master Plan. The improvements will improve pedestrian circulation and ADA compliance.
Project Cost Estimate ($):
Ex2enditure/Cateeory
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Total Costs:
Project Funding:
Funding Source
Gas Tax R&T 7360 Fund (174)
Ped Grant/Art3 Fund (214)
Total Costs:
Impact on Operations:
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$0
$0
$0
$0
$0
$0
$0
$3,950
$0
$0
$0
$0
$0
$3,950
$0
$0
$0
$0
$0
$0
$0
$0
$0
$230,000
$0
$0
$0
$230,000
$0
$0
$11,000
$0
$0
$0
$11,000
$0
$0
$23,000
$0
$0
$0
$23,000
$3,950
$0
$264,000
$0
$0
$0
$267,950
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
$3,950
$0
$75,000
$0
$0
$p
$78,950
$0
$0
$189,000
$0
$0
$0
$189,000
$3,950
$0
$264,000
$0
50
$0
$267,950
None.
111
P132
Project Number: 800-2016-08
1L Key: 1829
Haven Avenue from Wilson Avenue to Vivienda Street - Comm
unit Trail Object: 5650
West side
Project Location:
Haven Avenue - From Wilson
Avenue to Vivienda Street, west
side
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Romeo David
PROJECT
LOCATIO
C -FEY
Description: Construction of an equestrian trail on Haven Avenue, west side. Project includes installation of 2 rail PVC fence, installation of
decomposed granite and installation of mow curbs.
Justification: This stretch will complete and connect missing sections of the existing community trail on the west side
of the trail master plan. It will also improve the appearance of the west side of Haven Avenue.
of Haven Avenue as part
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Prior Years
$0
$0
$0
$0
$0
$0
2016/17
$0
$0
$o
$0
$0
$o
2017/18
$0
$0
$0
$0
$0
$0
2018/19 2019/20
$0 $0
$0 $0
$o $o
$0 $0
$0 $0
$o $o
$0 $0
TBD
$0
$10,000
$o
$100,000
$30,000
$10,000
TOTAL
$O
$10,000
$o
$100,000
$30,000
$10,000
Total Costs:
$0
$0
$0
$150,000
$150,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/2 TBD TOTAL
Unknown $0 $0 $0 $0
S0 $150,000 $150,000
Total Costs: $0 $0 $0 $0
$0 $150,000 $150,000
Impact on Operations: This stretch will add an additional quarter mile to the City's trail inventory, requiring trash removal, weed
abatement, and routine maintenance.
J12
P133
Project Number: 800-2012-29
JL Key: 1815
Object: 5650
Hermosa Avenue from Banyan Street to Wilson Avenue - Pavement Rehabilitation
Project Location:
Hermosa Avenue from Banyan
Street to Wilson Avenue
Est. Construction Start/End:
08/2018 - 10/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
N U
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Description: This project involves cold planning and localized asphalt removal and replacement, crack sealing, asphalt pavement overlay, traffic
signal loop replacement, utility valve and manhole cover adjustments, and pavement striping.
Justification: This project will restore the existing road surface to
a substantially new condition, extending pavement life, use and rideability.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$0
$10,000
$0
$0
$0
$0
$o
$0
$0
$0
$0
$0
$0
$10,000
$0
$220,000
$10,000
$20,000
$0
$0
$0
$0
$0
$0
$o
$o
$o
$0
$o
$o
$o
$O
$o
$0
$0
$O
$o
$20,000
$o
$220,000
$10,000
$20,000
Total Costs:
$10,000
$0
$260,000
$0
$0
$O
$270,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018 19
_�_ 2019/20 TBD TOTAL
Gas Tax RT7360 (174) $10,000 $0 $260,000 $p
$o $o $270,000
Total Costs: $10,000 $0 $260,000 $p
So $o $270,000
Impact on Operations: Reduced street maintenance costs for pothole repairs and crack seal, thus freeing up maintenance crews to attend to
other needed areas.
J13
P134
Project Number: 800-2012-28
1L Key: 1810
Object: 5650
Hermosa Avenue from the Alta Loma Basin to Wilson Avenue - Storm Drain Im rovements
Project Location:
Hermosa Avenue from the Alta
Loma Basin to Wilson Avenue
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
Description: Construct a master planned storm drain, install mainline, catch basins and manholes. The entire street from the Alta Basin to
Wilson Avenue will be resurfaced upon completion (see Hermosa rehabilitation project JL 1815).
Justification: This project will improve drainage and extend pavement life, use, and rideability. Also, during rain events it will provide improved
Pedestrian access to the Hermosa Intermediate School at Wilson Avenue and Hermosa Avenue.
Project Cost Estimate ($):
Expenditure/Category
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
Prior Years
$0
$10,000
$0
$0
$o
$0
2016/17
$0
$0
$0
S0
$o
$0
2017/18
$0
$0
$0
$0
$0
$0
2018/19
$0
$0
$0
$o
$0
2019/2
$O
$o
$0
$0
$0
TBD
$o
$o
$2,000,000
$45,000
$200,000
TOTAL
$10,000
$o
$2,000,000
$45,000
$200,000
Total Costs:
$10,000
$0
$0
$0
$0
$2,245,000
$2,255,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Drainage General Fund (112) $10,000 $0 $o
$o $o $o $10,000
Unknown $0 $o $0
$0 $0 $2,245,000 $2,245,000
Total Costs: $10,000 $0 $0
$0 $0 $2,245,000 $2,255,000
Impact on Operations: Elimination of storm water protection costs for placing sand bags and cleanup, and a reduction of street repair
maintenace costs for pothole and crack repairs, thus freeing up maintenance crews for other areas.
J14
P135
Project Number: 800-2012-24
JL Key: 1793
Lemon Avenue from Archibald Avenue to Haven Avenue - Pavement Rehab litationD
Project Location:
Lemon Avenue from Archibald
Avenue to Haven Avenue
Est. Construction Start/End:
08/2018 - 10/2018
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
Description: This project involves cold planning and localized
signal loop replacement, utility valve and manhole
asphalt removal and replacement, crack sealing, asphalt pavement overlay, traffic
cover adjustments, and pavement striping.
Justification: This project will restore the existing road surface
to a substantially new condition, extending pavement life,
use and rideability.
2019/20
SO
$0
$0
Project Cost Estimate ($):
TOTAL
$10,000
$560,000
$570,000
Impact on Operations:
Reduced street maintenance costs for pothole repairs
other needed areas.
Expenditure/Category Prior Years 2016/17
Environmental/NPDES $0 $o
Design/Plan Review $10,000 $0
Right -of -Way $0 $0
Construction $0 $0
Inspection & Administration $0 $0
Contingency $0 $°
2017/18 .2018/19 2019/20
$0 $o $0
$0 $0 $0
$0 $o $o
$500,000 $0 $0
$10,000 $0 $°
$50,000 SO $o
$560,000 $0 $0
TBD
$O
$°
$o
$0
$0
$o
TOTAL
$o
$10,000
$o
$500,000
$10,000
$50,000
Total Costs: $10,000 $0
$O
$570,000
Project Funding:
Funding Source
Prop 42 Fund (190)
Gas Tax R&T 7360 Fund (174)
Total Costs:
Prior Years
$10,000
$0
$10,000
2016/17
$0
$0
$0
2017/18
$0
$560,000
$560,000
2018/19
$0
$0
$0
2019/20
SO
$0
$0
TBD
$O
SO
SO
TOTAL
$10,000
$560,000
$570,000
Impact on Operations:
Reduced street maintenance costs for pothole repairs
other needed areas.
and crack seal, thus freeing up maintenance
crews
to attend to
J15
P136
Project Number: 800-2011-08
JL Key: 1791
Lemon Avenue from Haven Avenue to 1,300 feet west - Storm Drain impObject: 5650
rovements
Project Location:
Lemon Avenue from Haven
Avenue to 1300 feet west.
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Engineering
Project Manager:
Curt Billings
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Description: Construct a master planned storm drain, install mainline, catch basins and manholes. The entire street from Archibald Avenue to
Haven Avenue will be resurfaced upon completion (see Lemon rehabilitation project JL 1793).
Justification: This project will improve drainage and extend pavement
pedestrian access.
life, use and rideability. Also, during rain events it will provide improved
Project Cost Estimate ($):
TOTAL
Drainage General Fund (112)
$2,000 SD $0
Unknown
Expenditure/Category
Prior Years
2016/17
2017/18
2018/19
2019/20
TBD
TOTAL
Environmental/NPDES
Design/Plan Review
Right -of -Way
Construction
Inspection & Administration
Contingency
$0
$2,000
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
$0
So
So
$0
$0
$0
$0
$0
$p
$p
$0
$0
$0
$o
$0
$0
$0
$0
$0
$o
$0
$1,520,000
$10,000
$170,000
$0
$2,000
SO
$1,520,000
$10,000
$170,000
Total Costs:
$2,000
$0
$0
$0
$0
$1,700,000
$1,702,000
Project Funding:
Funding Source
Prior Years 2016/17 2017/18
2018/19 2019/20 TBD
TOTAL
Drainage General Fund (112)
$2,000 SD $0
Unknown
$0 $0 $O
$2,000
$0 $0 $0
$0 $0 $1,700,000
$1,700,000
Total Costs:
$2,000 $0 $0
$0 $0 $1,700,000
$1,702,000
Impact on Operations:
Elimination of storm water protection costs for
placing sand bags and cleanup, and
a reduction of
maintenace costs for pothole and crack repairs, thus freeing up maintenance crews for other areas.
street repair
J16
Project Number:
JL Key: 1716
LMD Paseo Lig Er Reoair- Reolace Object: 5650
Project Location:
LMD 2 (Victoria) Area
Est. Construction Start/End:
TBD
Project Status:
Design
Department:
Public Works Services
Project Manager:
Dean Rodia
P137
Description: This project will repair, replace and upgrade paseo
lighting within LMD 2. The project will be sites VW2, VW6 and VW7.
Justification: The decline of Paseo lighting is a hazard to public
safety.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17
Environmental/NPDES $0 $0
Design/Plan Review $10,000 $0
Right -of -Way $0 $0
Construction $0 $0
Inspection & Administration $0 $0
Contingency $0 $0
Total Costs: $10,000 $0
2017/18
$o
$0
$0
$0
$0
$0
$0
2018/19
$0
$0
$0
$0
$0
$0
$0
2019/20
$0
$0
$O
$0
$0
$O
TBD
50
$0
$0
$135,000
$0
$15,000
TOTAL
$o
$10,000
$0
$135,000
$0
$15,000
$O
$150,000
$160,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
LMD 2 Victoria (131) $10,000 $0 $0
$o $0 $150,000 $160,000
Total Costs: $10,000 $0 $o
$0 So $150,000 $160,000
Impact on Operations: When completed, this project will have a positive impact upon ongoing operations by lessening the failure rate of
light poles thereby increasing the maintenance intervals and allowing staff time to be utilized elsewhere. The use of
LEDs will cut current electric consumption by half.
J17
Project Location:
12505 Cultural Center Drive
Est. Construction Start/End:
11/2015-10/2016
Project Status:
construction in progress
Department:
Library
Project Manager:
Brian Sternberg
Project Number:
1L Key: 1867
Paul A. Biane Library- Second Floor Rancho KIDS Project Object: 5650
Description: Rancho KIDS is a project that will build out the second floor of the Paul A. Biane Library at Victoria Gardens. Rancho KIDS is
envisioned as an interactive children's museum combined with traditional library services to create a new type of learning
experience. Design and cost estimates of the second floor has been established as a City Council goal for FY 2014-15.
Justification: Demand for library services in the community continues to increase, particularly for the ages 0-7. Rancho KIDS is being designed
to provide a new, unique service model that will combine the features of interactive children's museum exhibits with traditional
library services. Rancho KIDS should also be a regional draw that will provide additional visitors to both the Victoria Gardens
Shopping District and the Lewis Family Playhouse.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17 2017/18 2018/19 2019/20 TBD TOTAL
Environmental/NPDES $0 $0 $0
$O $o $O $O
Design/Plan Review $250,000 $o $0
$O $O $750,000 $1,000,000
Right -of -Way $0 $0 $0
$O $0 $0 $0
Construction $2,400,000 $o $0
$0 $0 $3,500,000 $5,900,000
Inspection & Administration $0 So $0
$o $o So $o
Contingency $0 $0 $0
$0 $0 $O $0
Total Costs: $2,650,000 $0 $0
$0 SO $4,250,000 $6,900,000
Project Funding:
Funding Source
Prior Years 2016/17
2017/18
2018/19
2019/2
TBD
Library Capital Fund (329)
$2,650,000 $0
TOTAL
Unknown
$0
$0
$O
$0
$2,650,000
Total Costs:
$o $o
$o
$0
$0
$4,250,000
$4,250,000
$2,650,000 $0
$0
$0
$0
$4,250,000
$6,900,000
Impact on Operations:
Feasibility study projects an approximate $300,000
per year cost for
operations and
maintenance.
designed to be revenue -generating.)
(The
project is
J18
P139
Project Number: 800-2016-18
1L Key:
Object: 5650
Rochester Avenue and Arrow Route, North East Corner - Street Widening and Sidewalk
Project Location:
Rochester Ave and Arrow Rte,
North East Corner - Street
Widening and Sidewalk
Improvements
Est. Construction Start/End:
TBD
Project Status:
Design/Construction
Department:
Engineering
Project Manager:
Curt Billings
I RE-:
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PROJECT LOCATION
Description: This project will install 500 linear feet of street widening
lighting, and upgrade a traffic signal with video detection.
aimprovements, relocate 2 utility poles, underground utilites, install street
Justification: The sidewalk and widening improvements will improve pedestrian and vehicle circulation.
Project Cost Estimate ($):
Expenditure/Category Prior Years 2016/17
Environmental/NPDES $0 $0
Design/Plan Review $o $o
Right -of -Way $o $0
Construction $0 $0
Inspection & Administration $0 $0
Contingency $0 $0
2017/18
$o
$0
$0
$0
$0
$o
2018/19
$0
$0
$o
$0
$0
$0
2019/20
$0
$o
$0
$0
$0
$0
TBD
$2,000
$o
$0
$238,000
$150,000
$24,000
TOTAL
$2,000
$o
$o
$238,000
$150,000
$24,000
Total Costs: $0 $0
so
$0
$0
$414,000
$414,000
Project Funding:
Funding Source Prior Years 2016/17 2017/18 _� 2018/19 2019/20 TBD TOTAL
Unknown $o $0 $o $0
$o $414,000 $414,000
Total Costs: $0 $0 $0 $0
$0 $414,000 $414,000
Impact on Operations: This project will reduce maintenance and weed abatement costs and increase lighting costs
1 19
Project Location:
12505 Cultural Center Drive
Est. Construction Start/End:
TBD
Project Status:
Design/Construction
Department:
Community Services/Parks
Project Manager:
Nettie Nielsen
Description:
Justification:
ai KA ff
Project Number:
JL Key: 1895
Victoria Gardens Cultural Center - Loading Bav
Object: 5650
This project involves the design to cover a portion of the Service/Loading Bay at the Victoria Gardens Cultural Center.
Project will provide covered area for theater construction projects.
Project Cost Estimate ($):
Expenditure/Category
Prior Years
2016/17
2017 18
�_
2018/19
2019/20
Environmental/NPDES
$o
TBD
TOTAL
Design/Plan Review
$o
$O
$O
$O
$o
$o
Right -of -Way
$0
$0
$25,000
$0
$0
$0
$25,000
$0
$o
$O
$0
$0
$0
$0
Construction
$o
$o
$150,000
$0
Inspection & Administration
$0
$0
$0
$150,000
Contingency
$0
SO
SO
$O
$O
$0
$o
$o
SO
$O
$O
$0
$0
Total Costs:
$0
$0
$175,000
$O
$o
$O
$175,000
Project Funding:
Funding Source
Prior Years
2016/17
2017/18
2018/19
201 20
TBDTOTAL
Capital Reserve (025)
$o
-—
Unknown
$0
$25,000
$0
$0
$0
$25,000
Total Costs;
$0
$0
$175,000
$0
$0
$0
$175,000
$0
$0
$200,000
$0
$0
$0
$200,000
Impact on Operations:
Improvements will require maintenance
of the structure and added light
fixtures,
light useage.
as well as
minimal electric
cost for
J 20
EXHIBIT C
General
Policies
2016%201]
Improvement Program
MEN
IV
ON
InEVA
P143
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-25
Action
k
Type
Z
fu
General Plan Policy
m
wy
w
y
tT :5
O
>,
v
O O
Implementation Action(s)
E
a w
o
a.
a`
u)
a-in
W
ti
a`
CM-
Continue to provide pedestrian amenities on sidewalks on major
3.11
O
streets that are key pedestrian routes, including the provision of
benches, shade trees, and trash cans.
Identify key pedestrian travel corridors citywide, and prepare a Citywide
Pedestrian Circulation Study to determine pedestrian amenity needs,
capital and operating funding sources, and a phased implementation
program. Develop a program for gradually installing public amenities
A B
such as streetlights, benches, trash containers, art, drinking fountains,
ENG
PL
C D
5
landscaping, etc. that will enhance the pedestrian environment and
encourage increased use of transit. Use both the CIP process and other
funding sources, including a program whereby businesses or residents
may sponsor street furniture and/or landscaped areas.
CM
Continue to require that the siting and architectural design of new
312
O
development promote safety, pedestrian -friendly design, and
access to transit facilities.
Develop standards to be applied to development projects along transit
PL
ENG
1
4
corridors that require transit and pedestrian accessibility.
Establish a number of bike hubs in the City (centralized locations
CM-
O
with convenient bike parking for trip destinations or transfer to
3.13
other transportation modes), at key transit nodes, and at
commercial nodes.
Conduct a study to determine the best locations for bike hubs in the City,
and develop a plan, wayfinding program, and implementation process for
ENG
PL, RD
A' B'
4
providing bike hubs that provide secure bicycle lockers, bike racks, and
C, D
connections to transit at key locations in the City.
CM-
O
Enhance pedestrian and bicycle access to local and regional
3.14
transit, including facilitating connections to transit.
Same action as identified for CM -3.7.
ENG
PL
1
4
CM-
Coordinate the provision of the non -motorized networks (bicycle
3.15
O
and pedestrian) with adjacent jurisdictions to maximize sub -
regional connectivity.
Same action as identified for CM -3.7.
ENG
PL
A, E, F
4
CM-
O
Establish fixed -route local circulator bus service connecting major
3.16
activity centers..
Explore development of a fixed -route local circulator bus system, station
ENG
PL
A, E, H
5
location, and funding mechanisms.
Continue to Implement traffic management and traffic signal
CM -4.1
O
operations measures along the arterial roadway to minimize delay
and congestion for all modes, without adversely impacting transit,
bicycles, and pedestrians.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-25
120!
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-57
Action
Ty
pe
3
General Plan Policy
U
m
c
Of
c °
in
>+
v
7a
N
O O
tm
�
Implementation Action(s)
CL a
o w
:6'c
c
o
ao
a`
vai
a`
in E
ii
a`
PL, AS,
A B
Same actions as identified for RC -4.1 to RC -4.5.
ENG
ENG,
C, E,
3
CM, BS,
G, I
PW, FIN
Encourage development of transit -oriented and infill development,
PS -12.3
O
and encourage a mix of uses that foster walking and alternative
transportation.
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide enhanced bicycling and walking infrastructure, and support
PS -12.4
O
public transit, including public bus service, the Metrolink, and the
potential for Bus Rapid Transit (BRT).
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide green building incentives, assess green building
techniques as a formal stage of project review, and develop a green
PS -12.5
0
building ordinance or program that addresses both new and
existing buildings. Adaptation strategies will also Include Increased
water efficiency In buildings.
Same actions as identified for RC -6.1 to RC -6.4
PL
BS
A, I, K
4
ENG
Encourage efforts to reduce waste generation and re -use and
PS -12.6
O
support increased recycling and composting opportunities with a
focus on large commercial and industrial waste producers.
Same action as identified for PF -7.1.
ENG
PL
A
3
PS -12.7
0
0
Support tree planting, planting more vegetation (including native
and drought -resistant planting), and preservation of open space.
Same actions as identified for RC -1.1, RC -8.1 to RC -8.7.
PL
FW '
A, 1
4
PS -12.8
O
Develop green procurement plans and ensure energy savings In
City operations and maintenance.
Same actions as identified for RC -5.1 to RC -5.3.
AS
CM, FIN,
A,B, C,
4
PW
E, K
Develop energy- or climate change -themed publications and
workshops, facilitating energy audits for residents, and establishing
PS -12.9
0
partnerships to reduce greenhouse gas emissions. Increase public
awareness about climate change, and encourage residents and
businesses to become involved in activities and lifestyle changes
that help reduce greenhouse gas emissions.
Same action as identified for RC -5.1.
CM
ENG
A, K
4
Consider the compatibility of proposed land uses with the noise
environment when preparing or revising community and/or specific
PS -13.1
O
plans and when reviewing development proposals. The contour
map depicting future noise levels (Figure PS -10) should be used by
the City as a guide to land use/noise compatibility.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-57
P145
DRAINACTE
amolilL J
�ANCHO
CUCAMONGA
k:
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
Z
3
m
>
General Plan Policy
aci
m
c.
22
m
R
c
c •-
to
T
V
N
O O
Implementation Action(s)CL
a C =
o
no.
a`
Cl)
0.
'
°'
rn �
LL
0.
a
Complete intersection capacity improvements, coordinate traffic signals
utilizing Intelligent Transportation Systems (ITS), and improve striping
and signage. Striping shall maximize room for bike lanes where feasible
and consistent with the Bicycle Plan. Modernize traffic signal equipment
as necessary, and continue to update traffic signal timing and
ENG
PW
A, D
3
synchronization plans to optimize traffic flow along the key arterial
corridors, taking into account the needs of transit, bicyclists, and
pedestrians as well. Invest in the communications infrastructure
necessary to operate a Citywide traffic signal control system.
Continue to design and operate arterials and intersections for the
CM -4.2
O
safe operation of all modes, including transit, bicyclists, and
pedestrians.
Same action as identified for CM -4.1.
ENG
A, D
3
CM -4,3
O
Continue to implement Intelligent Transportation System Measures
and advanced traffic management technologies where appropriate.
Same action as identified for CM -4.1.
ENG
PW
A, �,
3
Maintain the City's transportation Infrastructure in good condition;
CM -4.4
O
O
develop and maintain adequate funding sources for it's ongoing
maintenance and upkeep.
Continue to implement and follow the schedule for resurfacing streets
ENG
A, D,
4
and streets improvements per the Cl P.
E F
Continue to require that new development participates in the cost of
CM -5.1
O
transportation mitigation and Improvements necessitated by new
development, including non -automobile solutions.
Require payment of Traffic Impact Fees as approved by the City Council,
used to finance specific improvements made necessary by new
development. The relationship between the fees, the cost of the
ENG
PL
D
4
improvements, and new development has been established in fee
analyses approved by the City Council. These fees shall be reviewed
from time to time and adjusted as needed.
Require evaluation of potential traffic and transportation impacts
CM -5.2
O
associated with new development prior to project approval, and
require adequate mitigation measures, including non -automobile
solutions, prior to, or concurrent with, project development.
Require applicants to prepare traffic and transportation impact
assessments consistent with adopted City guidelines and standards.
Continue to require sidewalks, pedestrian paths, and connections to be
provided as part of new development projects to improve and enhance
ENG
D
4
access between neighborhoods, and from neighborhoods to schools,
parks, trails, commercial centers, and other activity centers.
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
is«
Appendix A: Implementation Plan
A-23
RANCHO CUCAMONGA GENERAL PLAN
Action
Type
General Plan Policy
c
d
m
dN
>
O
2
v
`y
N
W
a
N
O
V
jp
a
O O
0
o
a
Implementation Action(s)
E
3 m
r_o
a
a
rn
a
cn W
U.
a
Explore the Feasibility of Extending Local Transit Service
Explore the possibility of extending to adjacent jurisdictions in
cooperation with such jurisdictions who could also participate in funding,
if beneficial to the City.
Work with Regional Transit Operators (Omnitrans)
Develop the optimum coordination and integration of bus transit services
between the local City circulator system and the regional service.
Consult with Omnitrans to establish and maintain transit hubs at
victoria Gardens, Chaffey College, the Metrolink Station, and other
CM -3.4
0
locations as appropriate to facilitate use of transit and transfers
between transit services.
Same action as identified for CM -3.1.
ENG
PL
A
4
Consider and evaluate the possible relocation of the Metrolink
Station to Haven Avenue to provide improved connections to transit
CM -3.5
0
and to support planned transit -oriented land uses along Haven
Avenue.
Work with Metrolink and Southern California Regional Rail Authority
(SCRRA) to study the feasibility of moving the Metrolink Station from its
ENG,
current location to Haven Avenue. Explore options for alternative funding
PL
RD
E, F
6
from sources other than the General Fund, such as grants, and
specifically grants that promote transit -oriented development.
In addition to requiring private development to provide transit
amenities, consult with regional transit operators to provide
CM -3.6
0
attractive and convenient bus stops, including shadetweather
protection, seats, transit information, and bus shelters as
appropriate.
Same action as identified for CM -3.1. Also, develop a program, with
identified funding sources, for providing amenities at bus stops in the
ENG
PL
D
4
City.
Continue to develop and maintain a citywide bicycle network of off-
street bike paths, on -street bike lanes, and bike streets to provide
CM -3.7
0
0
connections between neighborhoods, schools, parks, civic
center/facilities, recreational facilities, and major commercial
centers.
Appendix A: Implementation Plan
A-23
RANCHO CUCAMONGA GENERAL PLAN
ai A i
Appendix A: Implementation Plan
A-24 RANCHO CUCAMONGA GENERAL PLAN
Action
T
pe
Z
3
a,
'
General Plan Palley
a�
d
Q
L
Ix
?,
t�
O O
0
Q
Implementation Action(s)
E
a w
o
0(L
cnn
to rr
ti
a.
Implement the Bicycle Plan pursuant to Figure CM -6. Update the City's
Bicycle Circulation Plan in a format suitable for obtaining public funding.
Develop the planning, implementation, and design details of the bicycle
facility and amenity elements of the Community Mobility Chapter,
including the setting of implementation priorities and the identification of
both capital and operating funding sources. Implementation should
focus on adding a north -south trail along either Deer Creek or
Cucamonga Creek as a first priority.
Update the City's Trails Implementation Plan to maintain consistency
with the General Plan.
ENG
PL
A, D,
4
E F 1
Review City ordinances to ensure that an adequate mechanism exists to
manage the use of trails only by authorized categories of users.
Implementation of the Bicycle Plan may require traffic signalization at the
crossing of bike paths with arterial roadways to facilitate the safe
crossing of those arterials by bicyclists and pedestrians. Signals should
be convenient to bicyclists with accessible push -buttons to activate the
signal. Provide traffic control push button devices at convenient
locations for bicyclists at signalized intersections on the identified Bicycle
Network.
CM -3.8
p
p
Continue to encourage the provision of bicycle facilities, such as
bicycle lockers and secure bike parking,, throughout the City.
Identify existing locations where bicycle lockers and secure bicycle
parking could be provided at key locations throughout put the City, and
develop a funding and implementation plan.
Encouragelrequire the provision of bicycle lockers and secure bike
parking for major development projects, as defined in the Development
A, D,
Code.
PL
ENG
E, F, H
4
Modify the Development Code to require provision of bicycle parking
spaces, bicycle lockers, and, as appropriate, showers for bicycle riders at
new buildings providing significant employment, at transit stations, in the
commercial districts, and at recreational destinations in the City.
Identify and Implement 4 dedicated funding "source , for
CM -3.9
! 0,
implementation and cotnpl'etiort,af the Bicycle Network as identified
In the Bicycle Plan.
Same action as identified for CM -3.7.
ENG
E, F
4
CM-
®
Continue to' complete the installation of sidewalks and require new
3.10
development to provide sidewalks.,
Use the CIP to identify a schedule for installing new and replacement
sidewalks throughout the City, placing priority on installing missing
ENG
B' C,
4
sidewalks near schools and activity centers, and replacing sidewalks that
D,
have been identified as hazardous to public safety.
Appendix A: Implementation Plan
A-24 RANCHO CUCAMONGA GENERAL PLAN
.•
FACILITIES
RANCHO
CUCAMONGA
P150
Appendix A: Implementation Plan
A-30 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
3
d
>
General Plan Policy
ami
°1
a
Z'
o
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Implementation Action(s)CL
a C
o
a-
a`
co
a`
in �
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Expand recreation and cultural attractions to enhance
ED -2.3
O
tourismlvisitor potential and to boost sales and transient
occupancy tax.
Develop brochures or links from the City's web site to showcase the
various recreational and cultural venues to attract visitors to the City.
Enhancement of cultural amenities, including regional entertainment
RD
CS
A
7
options, recreation, and historic preservation, will help to embellish the
City's reputation as a destination for a wide range of visitors.
Expand lodging choices in the City through the recruitment and
ED -2.4
O
placement of full-service hotels that will complement the existing
select -service hotel portfolio.
Review and update marketing strategies (land surveys, infrastructure
availability, and modes of transportation) to solicit the development of a
RD
PL
A, G
4
full-service lodging facility. Make sure that zoning regulations can
accommodate a full-service hotel at desired locations.
ED -3.1
O
O
Continue to make public safety a priority.
Use the annual budgeting process to allocate funding for public safety
services, equipment, and facilities commensurate with the City's service
CM
PD, FD
A
6
objectives.
ED -3.2
O
Provide community and cultural amenities.
Same action as identified for ED -2.3.
CS
CM, RD
A
4
ED -3.3
O
Maintain a healthy fiscal balance.
Use the annual budgeting process to check that revenues from all
CM
AS, FIN
A, G
1
sources continue to more than match projected spending.
ED -3,4
O
O
Improve internal circulation for all modes of transportation,
consistent with the concept of "Complete Streets".
Same action as identified for LU -3.1 to 3.8.
ENG
PL
K' G'
4
ED -3.5
O
Facilitate development of additional local and regional
entertainment venues.
Focus a special economic development team on the task of working
towards attracting developers and investors interested in responding to
RD
PL
A, G
6
local and regional demand for new entertainment options.
ED -3.6
O
Leverage the City's quality of life amenities to attract more
knowledge-based workers.
Expand the Economic Development Strategy to market Rancho
Cucamonga's civic assets, including parks, recreation and community
RD
PL, CS
A, G
4
enrichment facilities and programs, trails, and quality school districts.
Appendix A: Implementation Plan
A-30 RANCHO CUCAMONGA GENERAL PLAN
P151
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
Action
Ty
pe
Z
3
d
d
General Plan Policy
Qi
ci
a+
Q
L
tm
°1
Implementation Action(s)
E
a y
a°
o
0-
vat
a`
v) W
Li
a`
RG -8.7
O
O
Support protection of natural habitat areas for ecological,
educational, and other scientific study purposes.
Same action as identified for RC -8.3.
PL
ENG
A, 1
4
PF -1.1
O
Continue to implement high-quality standards for new public
facilities and improvements to existing buildings.
Design and build all City buildings to serve as a model for quality
architectural treatment and green building design in all new and
PL
ENG
A, B, C
5
remodeled civic facilities.
PF -1.2
O
Promote community facilities as focal points for gatherings, events,
and celebrations.
Maintain all public facilities and buildings to address the needs of the
various neighborhoods within the City. Advertise the availability of civic
PW
CS, LIB
A, B, C
3
facilities to community groups.
PF -1.3
O
Locate new community facilities in neighborhoods and centers
where they will serve populations with the greatest needs.
Review and assess the needs for the location of community facilities as
CS
ENG, PL
A
6
neighborhoods evolve.
PF -1.4
O
O
Maintain public facilities and optimize their usefulness during their
lifespan.
Continue with proper maintenance programming and funding levels for
PW
CS, LIB,
A, B, C
4
existing public facilities.
AC
PF -1.5
O
O
Continue to Incorporate low -maintenance features into public
facilities consistent with the City's sustainability plan.
Replace features of public facilities with lower maintenance types as part
PW
PL, CS,
A, B, C
3
of the on-going maintenance program.
BS
PF -1.6
O
Maintain multi -functional, flexible, and complementary space at
community facilities.
Same action as identified for PF -1.2.
CS
PW
A, B, C
3
Maximize public facility use by sharing with nonprofit
organizations, school districts, and community organizations. Look
PF -1.7
O
for opportunities to create joint -use community space at facilities
owned by private organizations such as faith -based groups and
service clubs.
Same action as identified for CS -2.5.
CS
A
4
Consult with local school districts to enhance the development of
PF -2.1
O
O
joint -use agreements, allowing for optimum use of school facilities,
to provide broad community benefits such as public safety and
education.
Continue and expand joint use of facilities to achieve even greater
CS
SD
A, K
5
optimization of school facilities to service the entire community.
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
P152
MISCELLANLOUS
it,NCHO
CUCAMONGA
P153
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
Action
Ty pe
3
General Plan Policy
a
ayi
a�
o
2
c
a�
o
a
Implementation Actions)
E
a w
o
0
a
a
cn
0-
Cl) W
ii
m
Continue to provide a safe and efficient street system In the City, to
CM -1.1
O
support mobility goals, all transportation modes, and the goals of
Managing the hand Use, Community Design, and Historic
Resources Chapter.
Add the intersection improvements listed below to the Capital
Improvement Program (CIP) or appropriate equivalents identified and
approved by the City Engineer in the future that would offset the
identified impacts; implement the improvements as funding becomes
available. Prepare a report on the need for the improvements and their
relationship to the impacts caused by new development in Rancho
Cucamonga.
■ Work with Caltrans and SANBAG to implement a new freeway
interchange at 1-15 and Arrow Highway.
■ Complete Wilson Avenue between Milliken Avenue and Day
Creek Boulevard.
ENG
A, D, 1
7
■ Complete Rochester Avenue between Banyan Street and
Wilson Avenue.
■ Pursue Federal funds for a grade separation of the SPRR at
Etiwanda Avenue.
■ Complete storm drain and widening of Hellman Avenue from
Foothill Boulevard to Cucamonga Creek.
■ Complete Wilson Avenue from East Avenue to Wardman
Bullock.
■ Improve the Base Line Road at 1-15 Freeway Interchange.
■ Complete Youngs Canyon from Cherry Avenue to Banyan
Street.
Provide an integrated network of roadways that provides for
CM -1.2
O
convenient automobile, transit, bicycle, and pedestrian circulation
movement around the City.
Same actions as identified for CM -2.1 and CM -3.7.
ENG
PL
A, D, 1
4
Complete the circulation system by constructing new roadway
CM -1.3
O
facilities and freeway interchanges pursuant to the Circulation Plan
(Figure CM -2).
Identify in the CIP future projects and new roadways based on available
funding.
ENG
PL
A, D, I
4
CM -1.4
O
O
Provide access for seniors and those with physical disabilities in all
elements of the transportation system.
Continue to operate the Silver Fox Express. Consult with Omnitrans
regarding providing ACCESS transportation services.
A, E.
Require that all new future transportation facilities have appropriate and
ENG
CS
F, H, I
4
adequate access for seniors and people with physical disabilities.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
P154
Appendix A: Implementation Plan
A-20 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
3
General Plan Policy
U)
Q:Q.
i
i +
O
Q
%s
!'
—
L
3
d
C
y
C •y
o
co
>,
V
O O
=
�'
4)
Implementation Action(s)
E
a N
o
a°
a
a`
cn W
Li
a`
Implement street design standards per this General Plan, except
that modified standards may be applied where appropriate on
CM -1.5
O
arterial corridors relating to transit, bicycle facilities, sidewalks, and
on -street parking to be context sensitive to adjacent land uses and
districts, and to all roadway users, including transit, bicycles, and
pedestrians.
Integrate into the CIP process the planning of modified standards for
Foothill Boulevard to accommodate BRT and for other arterials as
ENG
PL
A, D, 1
4
appropriate to reflect the bikeway plan and pedestrian improvements
necessary to support Mixed Use districts.
CM -1.6
O
Pursue a railroad grade separation at Etiwanda Avenue and the
BNSF Railway line.
Grade separations currently exist at Haven and Milliken Avenues. Due to
truck traffic associated with the southeast industrial area, the City
ENG
PL
A, E, 1
4
supports creating a railroad grade separation at Etiwanda Avenue and
the BNSF Railway line.
CM -2.1
O
O
Facilitate bicycling and walking citywide.
Implement the Bicycle Master Plan included in the Community Mobility
Chapter.
Require that pedestrian facilities and connections be provided as part of
all development projects, with an emphasis on connections within Mixed
Use districts. Implement all bicycling and walking policies and Mobility
ENG
PL, RD
A, D, 1
4
Element components.
Preparation and distribute bike route maps and bike facilities information.
Publish and make readily available pedestrian route maps and
pedestrian facilities information.
Encourage all feasible measures to reduce total vehicle miles
CM -2.2
O
traveled by automobiles, including enhanced transit access and
land use approaches that provide compact and focused
development along major transit corridors.
Same actions as identified for LU -2.1, LU -5.4, LU -5.6, and CM -2.1.
ENG
PL
A, D, 1
4
CM -2.3
O
Support the use of hybrid, electric, and lowlzero emission vehicles.
Continue to maintain the Green Team Sustainability Action Matrix that
identifies current and proposed efforts that procure vehicles that includes
providing gas -efficient vehicles.
CM
A, E, F
7
PW
Amend the Development Code as appropriate to accommodate
alternative fuel service stations and charging facilities.
CM -2.4
O
Replace City vehicles with energy-efficient and alternative fuel
source models when replacing vehicles or adding to the City's fleet.
Appendix A: Implementation Plan
A-20 RANCHO CUCAMONGA GENERAL PLAN
P155
Appendix A: Implementation Plan
A-23
RANCHO CUCAMONGA GENERAL PLAN
Action
k
Type
B
d
General Plan Policy
c
d
d
W
C
C .y
O
V)
w
C
d
Implementation Action(s)
E
CL
a 0
�
`o
a-
(L
<n
CL
CO W
LL
a`
Explore the Feasibility of Extending Local Transit Service
Explore the possibility of extending to adjacent jurisdictions in
cooperation with such jurisdictions who could also participate in funding,
if beneficial to the City.
Work with Regional Transit Operators (Omnitrans)
Develop the optimum coordination and integration of bus transit services
between the local City circulator system and the regional service.
Consult with Omnitrans to establish and maintain transit hubs at
O
Victoria Gardens, Chaffey College, the Metrolink Station, and other
CM -3.4
locations as appropriate to facilitate use of transit and transfers
between transit services.
Same action as identified for CM -3.1.
ENG
PL
A
4
Consider and evaluate the possible relocation of the Metrolink
O
Station to Haven Avenue to provide improved connections to transit
CM -3.5
and to support planned transit -oriented land uses along Haven
Avenue.
Work with Metrolink and Southern California Regional Rail Authority
(SCRRA) to study the feasibility of moving the Metrolink Station from its
ENG,
current location to Haven Avenue. Explore options for alternative funding
PL
RD
E, F
6
from sources other than the General Fund, such as grants, and
specifically grants that promote transit -oriented development.
In addition to requiring private development to provide transit
amenities, consult with regional transit operators to provide
CM -3.6
O
attractive and convenient bus stops, including shadetweather
protection, seats, transit information, and bus shelters as
appropriate.
Same action as identified for CM -3.1. Also, develop a program, with
identified funding sources, for providing amenities at bus stops in the
ENG
PL
D
4
City.
Continue to develop and maintain a citywide bicycle network of off-
street bike paths, on -street bike lanes, and bike streets to provide
CM -3.7
O
O
connections between neighborhoods, schools, parks, civic
center/facilities, recreational facilities, and major commercial
centers.
Appendix A: Implementation Plan
A-23
RANCHO CUCAMONGA GENERAL PLAN
P156
Appendix A: Implementation Plan
A-24 RANCHO CUCAMONGA GENERAL PLAN
Action
,,
T
e
Klan Polic.
y
3
RS
,General
o
L
N
cod
VI
o
Q
Implementation Action(s)
a C
`
o
a°
a
cn
a`
in
uo
I a.
Implement the Bicycle Plan pursuant to Figure CM -6. Update the City's
Bicycle Circulation Plan in a format suitable for obtaining public funding.
Develop the planning, implementation, and design details of the bicycle
facility and amenity elements of the Community Mobility Chapter,
including the setting of implementation priorities and the identification of
both capital and operating funding sources. Implementation should
focus on adding a north -south trail along either Deer Creek or
Cucamonga Creek as a first priority.
Update the City's Trails Implementation Plan to maintain consistency
with the General Plan.
ENG
PL
A, D,
4
E F I
Review City ordinances to ensure that an adequate mechanism exists to
manage the use of trails only by authorized categories of users.
Implementation of the Bicycle Plan may require traffic signalization at the
crossing of bike paths with arterial roadways to facilitate the safe
crossing of those arterials by bicyclists and pedestrians. Signals should
be convenient to bicyclists with accessible push -buttons to activate the
signal. Provide traffic control push button devices at convenient
locations for bicyclists at signalized intersections on the identified Bicycle
Network.
CM -3.8 I
O
p
Continue to encourage the provision of bicycle facilities, such as
bicycle lockers and secure bike parking,jtliroaghout the City.
Identify existing locations where bicycle lockers and secure bicycle
parking could be provided at key locations throughout put the City, and
develop a funding and implementation plan.
Encourage/require the provision of bicycle lockers and secure bike
parking for major development projects, as defined in the Development
A, D,
Code.
PL
ENG
E, F, H
4
Modify the Development Code to require provision of bicycle parking
spaces, bicycle lockers, and, as appropriate, showers for bicycle riders at
new buildings providing significant employment, at transit stations, in the
commercial districts, and at recreational destinations in the City.
Identify and . implement a dedicated funding `,,' source for
CM -3.9 ;
O
implementation and completion of the Bicycle Network as identified
in the Bicycle Plan.
Same action as identified for CM -3.7.
ENG
E, F
4
CM-
Continue to�coniplete the,instaliat�on of s�dewaiks grid new`
3.10
Q.
-
,require
deve, lopineht,to:provide sidevualks ..
Use the CIP to identify a schedule for installing new and replacement
sidewalks throughout the City, placing priority on installing missing
ENG
B, C,
4
sidewalks near schools and activity centers, and replacing sidewalks that
D
have been identified as hazardous to public safety.
Appendix A: Implementation Plan
A-24 RANCHO CUCAMONGA GENERAL PLAN
P157
Appendix A: Implementation Plan
A-36 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
a)
General Plan Policy
>
a
L
S
W
r�
to
A
V
N
O O
m
Implementation Action(s)
E
a w
c
`o
a.
`
a
cn
`
a
Un W
ti
a --
Strategize with Foundation members to increase the range of
CS
A, H
involvement in Foundation events.
Provide a comprehensive, interconnected off-road trail system that
CS -6.1
O
provides alternative mobility choices throughout the entire City and
increases connectivity.
Continue to implement the principles of the Trails Implementation Plan.
PL
CS
A, 1
4
ENG
Connect trails in Rancho Cucamonga to trails in the San Bernardino
CS -6.2
O
National Forest and other hillside open space areas. These trails
shall include trailheads with vehicle parking and other amenities.
Coordinate with Federal and State agencies to facilitate funding and
acquisition of trail connections from the City to the San Bernardino
PL
CS
A
5
National Forest. Connect new trails with the North Etiwanda Preserve.
ENG
CS -6.3
O
Continue to incorporate, where feasible, regional and community
trails along utility corridors and drainage channels.
Continue to make trail connections within the City on existing public-
CS,
agency owned properties.
PL
ENG
A
5
Continue to maintain and pursue the development of planned trails
CS -6.4
O
and facilities for equestrian use within the Equestrian/Rural Area
designation.
Continue to ensure that trails accommodate equestrian users through
B
details outlined in the Trails Implementation Plan within north Alta Loma
PL
ENG
C,
4
and Etiwanda.
Improve existing trails by removing barriers, applying sustainability
CS -6.5
O
concepts, improving safety and function, and providing access to
adjacent trails.
Continue to program funding into the CIP for the improvements to
ENG
PL, BS
A
4
deficient equestrian trails, as outlined in the Trails Implementation Plan.
Require new development to provide access to adjacent trails and
CS -6.6
O
provide appropriate trail amenities (e.g., benches, drinking
fountains, hitching posts, bike stands, and other amenities) for all
new projects located adjacent to regional or community trails.
Require new development projects adjacent to Regional or Community
PL
ENG
A, K
4
Trails to provide access to and amenities for trails.
CS -6.7
O
Continue to credit pubiicaily accessible trailway acreage towards
meeting parkland dedication standards.
Continue to allow parkland credit for trails within development projects,
PL
ENG
A, K
4
subject to adopted criteria.
Appendix A: Implementation Plan
A-36 RANCHO CUCAMONGA GENERAL PLAN
P158
Appendix A: Implementation Plan
A-13
RANCHO CUCAMONGA GENERAL PLAN
Action
Z'
Ty
pe
General Plan Policy
c
m
d
d
•y
H
N
d
W
«.
a
d
C1�
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O
2'
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Implementation Action(s)
E
a uai
c
`O
°
a
a
ai
a
in W
ii
a`
Develop a listing of acceptable fire-resistant plant types to be
PL
PW'
ENG,
A
3
incorporated into new and rehabilitated development sites.
FD
Encourage streetscape design and landscaping programs for
LU -10.4
O
commercial frontages that create vibrant places which support
walking, bicycling, transit, and sustainable economic development.
Same action as identified for LU -3.4.
PL
Rp ,
A
4
Consult with and coordinate with the Santa Fe Railway to develop
LU -10.5
O
and install a landscape plan for the enhancement of the railroad
right-of-way.
Inventory and assess the landscaping needs of the rail corridor, and
PL
ENG,
A
6
consult with the rail agency to develop a plan.
RD
Continue to pursue strategies to reduce long-term operation and
LU -10.6
O
maintenance costs within the City's Landscape Maintenance
Districts and other publicly funded areas.
Inventory and prioritize the removal of turf areas within landscape
medians to be replaced with plantings that reduce long-term operations
PW
ENG
A
5
and maintenance costs.
Continue to Implement and update as necessary the City's Sign
LU -11.1
O
O
Ordinance in order to provide for a reasonable system of review
and incentives for well-designed signs throughout the City.
Establish a periodic review schedule of all City ordinances that govern
aesthetics to determine if industry standards have changed or if other
PL
RD
A, K
4
objectives are desirable that require amendments.
Continue to require the undergrounding of utility lines and facilities
LU -11.2
O
O
wherever feasible to minimize the unsightly appearance of
overhead utility lines and utility enclosures.
Require undergrounding of utilities for new development. Develop a
A B
strategy and prioritization list for the undergrounding utilities in developed
ENG
PL
C 1
4
areas.
O
O
Require communication towers to be located and designed to blend
LU -11.3
with the surrounding environment.
Review and update design guidelines for the siting and general
appearance of communication towers to facilitate the least amount of
PL
A
4
visual intrusion. Emphasize use of stealth and architecturally integrated
antenna.
Ensure that streetscape design along roadways creates a strong
LU -12.1
O
landscaped edge, provides a coherent high-quality appearance
along each route, and enhances the image of adjacent
development.
Appendix A: Implementation Plan
A-13
RANCHO CUCAMONGA GENERAL PLAN
P159
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN '4-57
Action
.'
Tv
De
B
3
>
General Plan Policy
c
ami
a.
a.
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2:
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Implementation Actions)
E
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:o
a
a.
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a
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LL
a.
PL, AS,
A B
Same actions as identified for RC -4.1 to RC -4.5.
ENG
ENG,
C, E,
3
CM, BS,
G, I
PW, FIN
Encourage development of transit -oriented and infill development,
PS -12.3
O
and encourage a mix of uses that foster walking and alternative
transportation.
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide enhanced bicycling and walking infrastructure, and support
PS -12.4
O
public transit, including public bus service, the Metrolink, and the
potential for Bus Rapid Transit (BRT).
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide green building incentives, assess green building
techniques as a formal stage of project review, and develop a green
PS -12.5
O
building ordinance or program that addresses both new and
existing buildings. Adaptation strategies will also include increased
water efficiency in buildings.
Same actions as identified for RC -6.1 to RC -6.4
PL
BS
A, I, K
4
ENG
Encourage efforts to reduce waste generation and re -use and
PS -12.6
O
support increased recycling and composting opportunities with a
focus on large commercial and industrial waste producers.
Same action as identified for PF -7.1.
ENG
PL
A
3
PS -12.7
O
O
Support tree planting, planting more vegetation (including native
and drought -resistant planting), and preservation of open space.
Same actions as identified for RC -1.1, RC -8.1 to RC -8.7.
PL
ENG,
N,
A, 1
4
PW
PS -12.8
O
Develop green procurement plans and ensure energy savings in
City operations and maintenance,
Same actions as identified for RC -5.1 to RC -5.3.
AS
CM, FIN,
A,B, C,
4
PW
E, K
Develop energy- or climate change -themed publications and
workshops, facilitating energy audits for residents, and establishing
PS -12.9
O
partnerships to reduce greenhouse gas emissions. Increase public
awareness about climate change, and encourage residents and
businesses to become involved in activities and lifestyle changes
that help reduce greenhouse gas emissions.
Same action as identified for RC -5.1.
CM
ENG
A, K
4
Consider the compatibility of proposed land uses with the noise
environment when preparing or revising community and/or specific
PS -13.1
O
plans and when reviewing development proposals. The contour
map depicting future noise levels (Figure PS -10) should be used by
the City as a guide to land use/noise compatibility.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN '4-57
ad f
MUNICIPAL UTILITY
i
IRK,ANCH
•
CUCAMONGA
P161
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
Action
k
Ty
pe
B
3
d
General Plan Policy
U
d
W'-
w
0):5
O
O O
Implementation Action(s)
E
a C
=
o
O
°
Q
c
7 d
RC -8.7
O
O
Support protection of natural habitat areas for ecological,
educational, and other scientific study purposes.
Same action as identified for RC -8.3.
PL
ENG
A, 1
4
PF -1.1
O
Continue to implement high-quality standards for new public
facilities and improvements to existing buildings.
Design and build all City buildings to serve as a model for quality
architectural treatment and green building design in all new and
PL
ENG
A, B, C
5
remodeled civic facilities.
PF -1.2
O
Promote community facilities as focal points for gatherings, events,
and celebrations.
Maintain all public facilities and buildings to address the needs of the
various neighborhoods within the City. Advertise the availability of civic
PW
CS, LIB
A, B, C
3
facilities to community groups.
PF -1.3
O
Locate new community facilities In neighborhoods and centers
where they will serve populations with the greatest needs.
Review and assess the needs for the location of community facilities as
CS
ENG, PL
A
6
neighborhoods evolve.
PF -1.4
O
O
Maintain public facilities and optimize their usefulness during their
lifespan.
Continue with proper maintenance programming and funding levels for
PW
CS, LIB,
A, B, C
4
existing public facilities.
AC
PF -1.5
O
O
Continue to incorporate low -maintenance features into public
facilities consistent with the City's sustainability plan.
Replace features of public facilities with lower maintenance types as part
PW
PL, CS,
A, B, C
3
of the on-going maintenance program.
BS
PF -1.6
O
Maintain multi -functional, flexible, and complementary space at
community facilities.
Same action as identified for PF -1.2.
CS
PW
A, B, C
3
Maximize public facility use by sharing with nonprofit
organizations, school districts, and community organizations. Look
PF -1.7
O
for opportunities to create joint -use community space at facilities
owned by private organizations such as faith -based groups and
service clubs.
Same action as identified for CS -2.5.
CS
A
4
Consult with local school districts to enhance the development of
PF -2.1
O
O
joint -use agreements, allowing for optimum use of school facilities,
to provide broad community benefits such as public safety and
education.
Continue and expand joint use of facilities to achieve even greater
CS
SD
A, K
5
optimization of school facilities to service the entire community.
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
P162
Appendix A: Implementation Plan
A-40 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
B
3
d
>_
Q
General Pian Policy
ami
m
'
CL
i
>
T
j
AR
O O
C
4)
Implementation Action(s)
B
a H
o
a°
a`
(n
a`
('n W
Li
a`
Pursue efforts to reduce energy consumption through appropriate
RC -4.1
O
energy conservation and efficiency measures throughout all
segments of the community.
As it becomes economically practical, identify sources and replace
A B
imported, non-renewable energy resources with domestic renewable
PL
ENG,
C, E,
5
energy sources such as solar and wind energy, recycled municipal solid
CM
G
waste, and green waste.
Promote the use of renewable energy and alternative energy
technology, and support efforts to develop small-scale, distributed
energy generation (e.g. solar, wind, cogeneration, and biomass) to
RC -4.2
O
reduce the amount of electricity drawn from the regional power grid
and reduce the use of natural gas, while providing Rancho
Cucamonga with a greater degree of energy and economic self-
sufficiency.
Provided that there would not be a decline in services to City residents or
A B
undue -tax burden, use of energy efficiency and renewable energy
ENG
AS, CM,
6
resources will be employed for approving capital and operational
PL
E, G, I
expenditures.
RC -4.3
O
Encourage the use of solar energy systems in homes and
commercial businesses.
Establish design criteria for active and passive solar applications within
PL
ENG,
A
5
development proposals.
BS
Reduce operational energy requirements through sustainable and
RC -4.4
O
O
complementary land use and circulation planning. Support
implementation of State mandates regarding energy consumption
and greenhouse gas reduction, including AB32 and SB375.
Promote land use and circulation patterns that result in multi-purpose
automobile trips and that facilitate the use of local and regional transit;
continue to advance land use patterns that provide employment and
PL
ENG
A, 1
3
housing opportunities for City residents in a manner that allows for
practical options for mobility other than by automobile.
Support the development of private sources of sustainable and
RC -4.5
O
O
environmentally friendly energy supplies, provided these are
consistent with City aesthetic and public safety goals.
Continue to make the recruitment and retention of "green" industries a
RD
CM,
A, G
4
priority in conjunction with economic development strategies.
PL
Serve as a role model by adopting recognizable standards and
Incorporating the use of sustainable strategies for new and existing
RC -5.1
O
public buildings that maximize occupant health and productivity,
minimize operating costs, and provide good environmental
stewardship.
Appendix A: Implementation Plan
A-40 RANCHO CUCAMONGA GENERAL PLAN
P163
PARKS
IRK,ANCH
•
CUCAMONGA
P164
Appendix A: Implementation Plan
A-32 RANCHO CUCAMONGA GENERAL PLAN
Action'
Type
B
General Plan Policy
N
c
m
C
3
m
:.
n.'
0
0
°'
Implementation Actions)
E
0
a vai
c
o
ao
a
uC
L
a
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LL
c
0 -
Continue to assess that the recreational needs of the City's residents are
consistent with the City's parkland standard, and determine possible re-
CS
PL, ENG
A
4
use or conversion of infill sites for recreational uses to serve areas within
the City with a disproportionate amount of parkland.
Develop parks that contribute to active and healthy lifestyles, and
CS -1.2
O
allow for a balanced commitment to both organized recreation
activities and passive park environments.
Move forward with plans to continue to develop Central Park, expand
Etiwanda Creek Park, add one new Community park, one new Special
CS
CM,
A
4
Use Facility, and two new Neighborhood parks. Incorporate active and
ENG
passive facilities into new parks.
O
Continue to develop Central Park as envisioned in the Central Park
CS -1.3
Master Plan.
Continue to prioritize implementation of the improvements for Central
CS
ENG, PL
A
4
Park as part of the City's CIP process.
O
Pursue developing an outdoor special use facility that includes a
CS -1.4
multi -field sports complex.
Continue to prioritize development of a sports complex and determine
CS
ENG,
A
4
funding mechanisms, including corporate sponsorships/partnerships.
RD, PL
Continue to require new development to provide needed park
CS -1.5
O
facilities through the various measures and tools available to the
City (e.g., in -lieu fees and/or land dedication).
Continue to make the provision of turn -key park and recreational facilities
PL
ENG,
A, D, I,
4
the first priority over in -lieu fees for new residential development.
CS
K
Pursue and expand joint -use of public lands that are available and
CS -1.6
O
suitable for recreational purposes, including school district
properties and flood control district, water district, and other utility
properties.
Continue to coordinate with other agencies holding public lands for
CS
possible joint -use, trail easements, or re -use to serve park/recreation
PL
ENG
A, K
4
particularly with school district properties.
Encourage public safety and compatibility with adjacent uses
CS -1.7
O
through park location and design, including the location of
buildings, lighting, parking, public transit, emergency access, and
pedestrianibicycle access.
Continue to utilize the Recreation Needs and System Recommendation
CS
PL, ENG
A, K
4
Study and the park master plan concept in park planning.
Continue to build, renovate, and maintain parks in a manner that is
CS -1.8
O
O
environmentally sustainable.
Appendix A: Implementation Plan
A-32 RANCHO CUCAMONGA GENERAL PLAN
P165
Continue to serve as a clearinghouse to coordinate among the various CS A, 1 4
sport leagues to make fields and facilities available.
Continue,to make community facilities and parkAmenities available,
CS -2:5' O for rental by community residents, non-profit groups, and
businesses to'meet their recreational and business needs.—
Continue to promote the City's various rental facility types by ensuring
that a complete summary of locations, facilities, services, fees, and CS A 4
applications are available.
Continue broad-based public outreach activities that inform
CS -2;6 @' residents of all available Community; Services programs and
services, and obtain input from the communityregardmg.program
and service needs.
Appendix A: Implementation Plan
A-33
RANCHO CUCAMONGA GENERAL PLAN
Action'
pevetop mtermemate sizea t1u-iz acre] parKs w,u�
CS -1.9
Type
O
fields and appropriate °parking to accommodate community sports
c
General Plan Policy.
programs.
Y
Update the City's Recreation Needs and Systems Recommendation
L
R
Study to determine the location for intermediate -sized park sites
U)
PL, ENG
A, B, C
7
specifically developed for athletic field use. This may include joint -use
C
=
°i
(D
t0
Implementation Action(s)
E
O O
0
u w
c
`o
°
n-
n`-
(
n
Integrate Healthy RC activities, classes, and 'programs with
n`.
cn W
LL
a`
CS -2:1
O
Continue to provide for maintenance, renovation and new construction of
City parks in compliance with City policies, upgrading wastewater
ENG
CS, PL,
A, B, C
4
systems as needed, and as technology evolves, substitute material that
CS
PW
A, 1
4
could reduce maintenance costs and is environmentally friendly.
Continue to serve as a clearinghouse to coordinate among the various CS A, 1 4
sport leagues to make fields and facilities available.
Continue,to make community facilities and parkAmenities available,
CS -2:5' O for rental by community residents, non-profit groups, and
businesses to'meet their recreational and business needs.—
Continue to promote the City's various rental facility types by ensuring
that a complete summary of locations, facilities, services, fees, and CS A 4
applications are available.
Continue broad-based public outreach activities that inform
CS -2;6 @' residents of all available Community; Services programs and
services, and obtain input from the communityregardmg.program
and service needs.
Appendix A: Implementation Plan
A-33
RANCHO CUCAMONGA GENERAL PLAN
pevetop mtermemate sizea t1u-iz acre] parKs w,u�
CS -1.9
O
fields and appropriate °parking to accommodate community sports
programs.
Update the City's Recreation Needs and Systems Recommendation
Study to determine the location for intermediate -sized park sites
CS
PL, ENG
A, B, C
7
specifically developed for athletic field use. This may include joint -use
facilities with a school district.
Integrate Healthy RC activities, classes, and 'programs with
CS -2:1
O
recreational services that contribute to the health, 'fitness, and
minds of participants. `..
Continue to provide City -sponsored recreational programs and classes at
CS
CM
A, 1
4
recreational centers/parks.
ehigh-quality Community Services programs that are flexible
CS -2.2
O ,
@
and responsive,,W the community's changing needs.'
Pg
Continue to provide active recreational opportunities through leagues
CS
CM
A, 1
4
and organized sports.
Pian and conduct community special events that bring residents
CS -2.3
O
together to, create an enhanced quality , of life. and promote"
economic development.
Plan for community events through the annual budgeting process.
CS
RD, CM
A, 1
4
Continueto consult with :non-profit sports organizations and
CS -2.4
O :
recreational,groups to support their offering of diverse recreational
programs that complement and supplement those of the City:
Continue to serve as a clearinghouse to coordinate among the various CS A, 1 4
sport leagues to make fields and facilities available.
Continue,to make community facilities and parkAmenities available,
CS -2:5' O for rental by community residents, non-profit groups, and
businesses to'meet their recreational and business needs.—
Continue to promote the City's various rental facility types by ensuring
that a complete summary of locations, facilities, services, fees, and CS A 4
applications are available.
Continue broad-based public outreach activities that inform
CS -2;6 @' residents of all available Community; Services programs and
services, and obtain input from the communityregardmg.program
and service needs.
Appendix A: Implementation Plan
A-33
RANCHO CUCAMONGA GENERAL PLAN
.:
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
Action
Ty
pe
3
d
>
d
General Plan Policy
U
2
t4
CL
7
,4?
4)
of
;+�
O
U)
d
Of
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0) Q
r
O
i
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N
O O
O)
°'
Implementation
aw
o
O
Cl-
°
a
CL
U)
L
a
M d
(na
U.
a`
RC -8.7
O
O
Support protection of natural habitat areas for ecological,
educational, and other scientific study purposes.
Same action as identified for RC -8.3.
PL
ENG
A, 1
4
PF -1.1
O
Continue to implement high-quality standards for new public
facilities and improvements to existing buildings.
Design and build all City buildings to serve as a model for quality
architectural treatment and green building design in all new and
PL
ENG
A, B, C
5
remodeled civic facilities.
PF -1.2
O
Promote community facilities as focal points for gatherings, events,
and celebrations.
Maintain all public facilities and buildings to address the needs of the
various neighborhoods within the City. Advertise the availability of civic
PW
CS, LIB
A, B, C
3
facilities to community groups.
PF -1.3
O
Locate new community facilities in neighborhoods and centers
where they will serve populations with the greatest needs.
Review and assess the needs for the location of community facilities as
CS
ENG, PL
A
6
neighborhoods evolve.
PF -1.4
O
O
Maintain public facilities and optimize their usefulness during their
lifespan.
Continue with proper maintenance programming and funding levels for
PW
CS, LIB,
A, B, C
4
existing public facilities.
AC
PF -1.5
O
O
Continue to incorporate low -maintenance features into public
facilities consistent with the City's sustainability plan.
Replace features of public facilities with lower maintenance types as part
PW
PL, CS,
A, B, C
3
of the on-going maintenance program.
BS
PF -1.6
O
Maintain multi -functional, flexible, and complementary space at
community facilities.
Same action as identified for PF -1.2.
CS
PW
A, B, C
3
Maximize public facility use by sharing with nonprofit
organizations, school districts, and community organizations. Look
PF -1,7
O
for opportunities to create joint -use community space at facilities
owned by private organizations such as faith -based groups and
service clubs.
Same action as identified for CS -2.5.
CS
A
4
Consult with local school districts to enhance the development of
PF -2.1
O
O
joint -use agreements, allowing for optimum use of school facilities,
to provide broad community benefits such as public safety and
education.
Continue and expand joint use of facilities to achieve even greater
CS
SD
A, K
5
optimization of school facilities to service the entire community.
Appendix A: Implementation Plan
A-44 RANCHO CUCAMONGA GENERAL PLAN
P167
RAILROAD CROSSINGS
RANCHO
UUCAMONGA
a R,
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
Action
Te
=
General Plan Policy
3
O
Rf
C
V
Implementation Action
Action(s)
o
a. CL
C1
-
a
a
cn
a
QN
m
co W
=
LL
O
a`
Continue to provide a safe and efficient street system in the City, to
CM -1.1
O
support mobility goals, all transportation modes, and the goals of
Managing the Land Use, Community Design, and Historic
Resources Chapter.
Add the intersection improvements listed below to the Capital
Improvement Program (CIP) or appropriate equivalents identified and
approved by the City Engineer in the future that would offset the
identified impacts', implement the improvements as funding becomes
available. Prepare a report on the need for the improvements and their
relationship to the impacts caused by new development in Rancho
Cucamonga.
■ Work with Caltrans and SANBAG to implement a new freeway
interchange at 1-15 and Arrow Highway.
■ Complete Wilson Avenue between Milliken Avenue and Day
Creek Boulevard.
ENG
A, D, 1
7
• Complete Rochester Avenue between Banyan Street and
Wilson Avenue.
■ Pursue Federal funds for a grade separation of the SPRR at
Etiwanda Avenue.
■ Complete storm drain and widening of Hellman Avenue from
Foothill Boulevard to Cucamonga Creek.
■ Complete Wilson Avenue from East Avenue to Wardman
Bullock.
■ Improve the Base Line Road at 1-15 Freeway Interchange.
■ Complete Youngs Canyon from Cherry Avenue to Banyan
Street.
Provide an integrated network of roadways that provides for
CM -1.2
O
convenient automobile, transit, bicycle, and pedestrian circulation
movement around the City.
Same actions as identified for CM -2.1 and CM -3.7.
ENG
PL
A, D, 1
4
Complete the circulation system by constructing new roadway
CM -1.3
O
facilities and freeway interchanges pursuant to the Circulation Plan
(Figure CM -2).
Identify in the CIP future projects and new roadways based on available
funding.
ENG
PL
A, D, I
4
CM -1.4
O
O
Provide access for seniors and those with physical disabilities in all
elements of the transportation system.
Continue to operate the Silver Fox Express. Consult with Omnitrans
regarding providing ACCESS transportation services.
A, E.
Require that all new future transportation facilities have appropriate and
ENG
CS
F, H, I
4
adequate access for seniors and people with physical disabilities.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
P169
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
Action
Type
3
General Plan Policy
L
4)0c
d
5
>
a'
C
N
O
V
t?'
N
°'
OG
Implementation Action(s)
f0
a rL
G N
O
a
a`
cn
a`
(n
C
ii
a`
Complete intersection capacity improvements, coordinate traffic signals
utilizing Intelligent Transportation Systems (ITS), and improve striping
and signage. Striping shall maximize room for bike lanes where feasible
and consistent with the Bicycle Plan. Modernize traffic signal equipment
as necessary, and continue to update traffic signal timing and
ENG
PW
A, D
3
synchronization plans to optimize traffic flow along the key arterial
corridors, taking into account the needs of transit, bicyclists, and
pedestrians as well. Invest in the communications infrastructure
necessary to operate a Citywide traffic signal control system.
Continue to design and operate arterials and intersections for the
CM -4.2
O
safe operation of all modes, including transit, bicyclists, and
pedestrians.
Same action as identified for CM -4.1.
ENG
A, D
3
CM -4.3
O
Continue to implement Intelligent Transportation System Measures
and advanced traffic management technologies where appropriate.
Same action as identified for CM -4.1.
ENG
PW
E; D,
3
Maintain the City's transportation Infrastructure in good condition;
CM -4.4
O
O
develop and maintain adequate funding sources for it's ongoing
maintenance and upkeep.
Continue to implement and follow the schedule for resurfacing streets
A' D,
and streets improvements per the CIP.
ENG
E, F
4
Continue to require that new development participates in the cost of
CM -5.1
O
transportation mitigation and improvements necessitated by new
development, including non -automobile solutions.
Require payment of Traffic Impact Fees as approved by the City Council,
used to finance specific improvements made necessary by new
development. The relationship between the fees, the cost of the
improvements, and new development has been established in fee
ENG
PL
D
4
analyses approved by the City Council. These fees shall be reviewed
from time to time and adjusted as needed.
Require evaluation of potential traffic and transportation impacts
CM -5.2
O
associated with new development prior to project approval, and
require adequate mitigation measures, including non -automobile
solutions, prior to, or concurrent with, project development.
Require applicants to prepare traffic and transportation impact
assessments consistent with adopted City guidelines and standards.
Continue to require sidewalks, pedestrian paths, and connections to be
provided as part of new development projects to improve and enhance
ENG
D
4
access between neighborhoods, and from neighborhoods to schools,
parks, trails, commercial centers, and other activity centers.
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
P170
STREETS
RANCHO
CUCAMONGA
P171
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
Action
Ty e
3
m
>_
General Plan Policy
�
�,
d
M
N
N
C
C
>,
V
O O
m
Implementation Action(s)
E
a w
c
`o_
a-0
Cl- `
co
a`
U) W
ii
a`
Continue to provide a safe and efficient street system in the City, to
CM -1.1
O
support mobility goals, all transportation modes, and the goals of
Managing the Land Use, Community Design, and Historic
Resources Chapter.
Add the intersection improvements listed below to the Capital
Improvement Program (CIP) or appropriate equivalents identified and
approved by the City Engineer in the future that would offset the
identified impacts; implement the improvements as funding becomes
available. Prepare a report on the need for the improvements and their
relationship to the impacts caused by new development in Rancho
Cucamonga.
■ Work with Caltrans and SANBAG to implement a new freeway
interchange at 1-15 and Arrow Highway.
■ Complete Wilson Avenue between Milliken Avenue and Day
Creek Boulevard.
ENG
A, D, 1
7
■ Complete Rochester Avenue between Banyan Street and
Wilson Avenue.
■ Pursue Federal funds for a grade separation of the SPRR at
Etiwanda Avenue.
■ Complete storm drain and widening of Hellman Avenue from
Foothill Boulevard to Cucamonga Creek.
■ Complete Wilson Avenue from East Avenue to Wardman
Bullock.
■ Improve the Base Line Road at 1-15 Freeway Interchange.
■ Complete Youngs Canyon from Cherry Avenue to Banyan
Street.
Provide an integrated network of roadways that provides for
CM -1.2
O
convenient automobile, transit, bicycle, and pedestrian circulation
movement around the City.
Same actions as identified for CM -2.1 and CM -3.7.
ENG
PL
A, D, 1
4
Complete the circulation system by constructing new roadway
CM -1.3
O
facilities and freeway interchanges pursuant to the Circulation Plan
(Figure CM -2).
Identify in the CIP future projects and new roadways based on available
ENG
PL
A, D, 1
4
funding.
CM -1.4
O
O
Provide access for seniors and those with physical disabilities in all
elements of the transportation system.
Continue to operate the Silver Fox Express. Consult with Omnitrans
regarding providing ACCESS transportation services.
A, E
Require that all new future transportation facilities have appropriate and
ENG
CS
F, H, I
4
adequate access for seniors and people with physical disabilities.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
P172
Appendix A: Implementation Plan
A-20 RANCHO CUCAMONGA GENERAL PLAN
Action
�.
T pe
=
:a
3General
Plan Policy
U
u
CL
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Implementation Action(s)
0
o
a
E
a c
CID
c
a
a
v�
a`
in of
ti
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a`
Implement street design standards per this General Plan, except
that modified standards may be applied where appropriate on
CM -1.5
O
arterial corridors relating to transit, bicycle facilities, sidewalks, and
on -street parking to be context sensitive to adjacent land uses and
districts, and to all roadway users, including transit, bicycles, and
pedestrians.
Integrate into the CIP process the planning of modified standards for
Foothill Boulevard to accommodate BRT and for other arterials as
appropriate to reflect the bikeway plan and pedestrian improvements
ENG
PL
A, D, 1
4
necessary to support Mixed Use districts.
CM -1.6
O
Pursue a railroad grade separation at Etiwanda Avenue and the
BNSF Railway Zine.
Grade separations currently exist at Haven and Milliken Avenues. Due to
truck traffic associated with the southeast industrial area, the City
supports creating a railroad grade separation at Etiwanda Avenue and
ENG
PL
A, E, I
4
the BNSF Railway line.
CM -2.1
O
O
Facilitate bicycling and walking citywide.
Implement the Bicycle Master Plan included in the Community Mobility
Chapter.
Require that pedestrian facilities and connections be provided as part of
all development projects, with an emphasis on connections within Mixed
Use districts. Implement all bicycling and walking policies and Mobility
ENG
PL, RD
A, D, 1
4
Element components.
Preparation and distribute bike route maps and bike facilities information.
Publish and make readily available pedestrian route maps and
pedestrian facilities information.
Encourage all feasible measures to reduce total vehicle miles
CM -2.2
O
traveled by automobiles, including enhanced transit access and
land use approaches that provide compact and focused
development along major transit corridors.
Same actions as identified for LU -2.1, LU -5.4, LU -5.6, and CM -2.1.
ENG
PL
A, D, 1
4
CM -2.3
O
Support the use of hybrid, electric, and lowizero emission vehicles.
Continue to maintain the Green Team Sustainability Action Matrix that
identifies current and proposed efforts that procure vehicles that includes
providing gas -efficient vehicles.
CM
PL, AS,
A, E, F
7
Amend the Development Code as appropriate to accommodate
PW
alternative fuel service stations and charging facilities.
CM -2.4
O
Replace City vehicles with energy-efficient and alternative fuel
source models when replacing vehicles or adding to the City's fleet.
Appendix A: Implementation Plan
A-20 RANCHO CUCAMONGA GENERAL PLAN
P173
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
Action
211
Ty pe
3
m
>_
General Plan Policy
U)
d
2
d
a
Z
`
m
=
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rn
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0
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OO
Q
Implementation
a y
cc
oo
CL
a
CO
a.
in W
ti
a`
Complete intersection capacity improvements, coordinate traffic signals
utilizing Intelligent Transportation Systems (ITS), and improve striping
and signage. Striping shall maximize room for bike lanes where feasible
and consistent with the Bicycle Plan. Modernize traffic signal equipment
as necessary, and continue to update traffic signal timing and
ENG
PW
A, D
3
synchronization plans to optimize traffic flow along the key arterial
corridors, taking into account the needs of transit, bicyclists, and
pedestrians as well. Invest in the communications infrastructure
necessary to operate a Citywide traffic signal control system.
Continue to design and operate arterials and intersections for the
CM -4.2
O
safe operation of all modes, including transit, bicyclists, and
pedestrians.
Same action as identified for CM -4.1.
ENG
A, D
3
CM -4.3
O
Continue to implement Intelligent Transportation System Measures
and advanced traffic management technologies where appropriate.
Same action as identified for CM -4.1.
ENG
PW
A, D,
3
Maintain the City's transportation infrastructure in good condition;
CM -4.4
O
O
develop and maintain adequate funding sources for it's ongoing
maintenance and upkeep.
Continue to implement and follow the schedule for resurfacing streets
ENG
A, D,
4
and streets improvements per the CIP.
E F
Continue to require that new development participates in the cost of
CM -5.1
O
transportation mitigation and improvements necessitated by new
development, including non -automobile solutions.
Require payment of Traffic Impact Fees as approved by the City Council,
used to finance specific improvements made necessary by new
development. The relationship between the fees, the cost of the
ENG
PL
D
4
improvements, and new development has been established in fee
analyses approved by the City Council. These fees shall be reviewed
from time to time and adjusted as needed.
Require evaluation of potential traffic and transportation impacts
CM -5.2
O
associated with new development prior to project approval, and
require adequate mitigation measures, including non -automobile
solutions, prior to, or concurrent with, project development.
Require applicants to prepare traffic and transportation impact
assessments consistent with adopted City guidelines and standards.
Continue to require sidewalks, pedestrian paths, and connections to be
ENG
D
4
provided as part of new development projects to improve and enhance
access between neighborhoods, and from neighborhoods to schools,
parks, trails, commercial centers, and other activity centers.
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
P174
Appendix A: Implementation Plan
A-31
RANCHO CUCAMONGA GENERAL PLAN
Action'
Type
3
m
General Plan Policy
=
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i
y
O
T
U
O O
Implementation Action(s)
E
a y
c
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ao
a
cn
a`
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ED -3.7
O
O
Support access to local and regional educational resources that
provide educational opportunities to local residents and workers.
Coordinate with local and regional centers for higher education to
RD
PL, CM
A
4
promote access to and programs for additional educational opportunities.
ED -4.1
O
Encourage high-quality design for infill development and continue
to support new high quality uses.
Same action as identified for LU -5.1 to 5.6.
PL
RD ENG
A, I, K
4
ED -4.2
O
Make green building and green business a priority.
Same action as identified for LU -7.1 to 7.3.
PL
RD
A, G
3
ED -4.3
O
O
Improve connectivity between development projects to create a
more cohesive atmosphere.
Same action as identified for LU -2.3.
PL
ENG
A
5
ED -4.4
O
Focus on enhancements to Foothill Boulevard and Haven Avenue.
Same action as identified for LU -5.1 to 5.6.
PL
RD ENG
A, I, K
5
ED -4.5
O
Review and understand the fiscal, job creation, and economic
benefits of new proposed uses in the City's industrial -zoned areas.
Focus a special economic development effort on assessing where re -use
or conversion of industrial properties to other uses could occur. Identify
RD
PL
A, G
5
potential conflicts in order to develop a strategy for when such
conversions could be considered a benefit versus a cost.
ED -5.1
O
Engage In regional transit planning efforts.
Continue to be involved in planning efforts to address regional
transportation solutions, particularly those providing transit options. In
PL
ENG
A, K
4
particular, work with Omnitrans in its efforts to establish BRT service in
Rancho Cucamonga.
ED -5.2
O
Continue to capitalize on proximity to Interstate 10, Interstate 15,
State Route 210, and the LA/Ontario International Airport.
Review and assess the effectiveness of way -finding signage to ensure
that the City's accessibility to 1-10, 1-15 and SR -210 from major areas of
City commerce hubs is easily ascertained and facilitated. Begin
RD
PL, ENG
A, G
4
programs to improve such signage where it is deficient or confusing.
Maximize the benefits of a major airport just outside of the City's borders.
Provide adequate park and recreational facilities that meet the City
CS -1.1
O
standard of 5.0 acres of parkland (including trails and special
facilities) for every 1,000 persons.
Appendix A: Implementation Plan
A-31
RANCHO CUCAMONGA GENERAL PLAN
P175
RANCHO
CUCAMONGA
P176
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-25
Action
2:,
T pe
=
General Plan Policy
a
3
c
m
aNi
a�
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Implementation Action(s)
d
o
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CM-
Continue to provide pedestrian amenities on sidewalks on major
3.11
streets that are key pedestrian routes, including the provision of
benches, shade trees, and trash cans.
Identify key pedestrian travel corridors citywide, and prepare a Citywide
Pedestrian Circulation Study to determine pedestrian amenity needs,
capital and operating funding sources, and a phased implementation
program. Develop a program for gradually installing public amenities
such as streetlights, benches, trash containers, art, drinking fountains,
ENG
PL
A B
5
landscaping, etc. that will enhance the pedestrian environment and
C D
encourage increased use of transit. Use both the CIP process and other
funding sources, including a program whereby businesses or residents
may sponsor street furniture and/or landscaped areas.
CM-
Continue to require that the siting and architectural design of new
3.12
O
development promote safety, pedestrian -friendly design, and
access to transit facilities.
Develop standards to be applied to development projects along transit
corridors that require transit and pedestrian accessibility.
PL
ENG
I
4
Establish a number of bike hubs in the City (centralized locations
CM-
O
with convenient bike parking for trip destinations or transfer to
3.13
other transportation modes), at key transit nodes, and at
commercial nodes.
Conduct a study to determine the best locations for bike hubs in the City,
and develop a plan, wayfinding program, and implementation process for
A' B'
providing bike hubs that provide secure bicycle lockers, bike racks, and
ENG
PL, RD
C, D
4
connections to transit at key locations in the City.
CM-
O
Enhance pedestrian and bicycle access to local and regional
3.14
transit, including facilitating connections to transit.
Same action as identified for CM -3.7.
ENG
PL
I
4
CM-
Coordinate the provision of the non -motorized networks (bicycle
315
O
and pedestrian) with adjacent jurisdictions to maximize sub -
regional connectivity.
Same action as identified for CM -3.7.
ENG
PL
A, E, F
4
CM-
O
Establish fixed -route local circulator bus service connecting major
3.16
activity centers.
Explore development of a fixed -route local circulator bus system, station
location, and funding mechanisms.
ENG
PL
A, E, H
5
Continue to implement traffic management and traffic signal
CM -4.1
O
operations measures along the arterial roadway to minimize delay
and congestion for all modes, without adversely impacting transit,
bicycles, and pedestrians.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-25
P177
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
Action
�•
Ty
pe
Pian Policy
3General
R
a. L
d
F.>
c
ai
_
a�
c._
o
vn
Ta
Implementation Action(s)
`°
a a
v
o
a
°
a
a
cn
a
ami
W
c
LL
o
a`
Complete intersection capacity improvements, coordinate traffic signals
utilizing Intelligent Transportation Systems (ITS), and improve striping
and signage. Striping shall maximize room for bike lanes where feasible
and consistent with the Bicycle Plan. Modernize traffic signal equipment
as necessary, and continue to update traffic signal timing and
ENG
PW
A, D
3
synchronization plans to optimize traffic flow along the key arterial
corridors, taking into account the needs of transit, bicyclists, and
pedestrians as well. Invest in the communications infrastructure
necessary to operate a Citywide traffic signal control system.
Continue to design and operate arterlals and Intersections for the
CM -4.2
O
safe operation of all modes, including transit, bicyclists, and
pedestrians.
Same action as identified for CM -4.1.
ENG
A, D
3
CM -4.3
O
Continue to implement Intelligent Transportation System Measures
and advanced traffic management technologies where appropriate.
Same action as identified for CM -4.1.
ENG
PW
E; �,
3
Maintain the City's transportation infrastructure in good condition;
CM -4.4
O
O
develop and maintain adequate funding sources for it's ongoing
maintenance and upkeep.
Continue to implement and follow the schedule for resurfacing streets
A, D,
and streets improvements per the CIP.
ENG
E F
4
Continue to require that new development participates in the cost of
CM -5.1
O
transportation mitigation and improvements necessitated by new
development, including non -automobile solutions.
Require payment of Traffic Impact Fees as approved by the City Council,
used to finance specific improvements made necessary by new
development. The relationship between the fees, the cost of the
improvements, and new development has been established in fee
ENG
PL
D
4
analyses approved by the City Council. These fees shall be reviewed
from time to time and adjusted as needed.
Require evaluation of potential traffic and transportation impacts
CM -5.2
O
associated with new development prior to project approval, and
require adequate mitigation measures, Including non -automobile
solutions, prior to, or concurrent with, project development.
Require applicants to prepare traffic and transportation impact
assessments consistent with adopted City guidelines and standards.
Continue to require sidewalks, pedestrian paths, and connections to be
provided as part of new development projects to improve and enhance
ENG
D
4
access between neighborhoods, and from neighborhoods to schools,
parks, trails, commercial centers, and other activity centers.
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
FUTURE & UNFUNDED
RANCHO
CUCAMONGA
P179
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
Action
Ty
pe
3
m
>
General Plan Policy
m
=
d
)
t4
O
Q
U
7
y
O
0
•'
o
R
a
Implementation Action(s)
a s
o
a
a
rn
a.
co ix
L
n
Continue to provide a safe and efficient street system in the City, to
CM -1.1
O
support mobility goals, all transportation modes, and the goals of
Managing the Land Use, Community Design, and Historic
Resources Chapter.
Add the intersection improvements listed below to the Capital
Improvement Program (CIP) or appropriate equivalents identified and
approved by the City Engineer in the future that would offset the
identified impacts; implement the improvements as funding becomes
available. Prepare a report on the need for the improvements and their
relationship to the impacts caused by new development in Rancho
Cucamonga.
■ Work with Caltrans and SANBAG to implement a new freeway
interchange at 1-15 and Arrow Highway.
■ Complete Wilson Avenue between Milliken Avenue and Day
Creek Boulevard.
ENG
A, D, 1
7
■ Complete Rochester Avenue between Banyan Street and
Wilson Avenue.
■ Pursue Federal funds for a grade separation of the SPRR at
Etiwanda Avenue.
• Complete storm drain and widening of Hellman Avenue from
Foothill Boulevard to Cucamonga Creek.
■ Complete Wilson Avenue from East Avenue to Wardman
Bullock.
■ Improve the Base Line Road at 1-15 Freeway Interchange.
■ Complete Youngs Canyon from Cherry Avenue to Banyan
Street.
Provide an integrated network of roadways that provides for
CM -1.2
O
convenient automobile, transit, bicycle, and pedestrian circulation
movement around the City.
Same actions as identified for CM -2.1 and CM -3.7.
ENG
PL
A, D, 1
4
Complete the circulation system by constructing new roadway
CM -1.3
O
facilities and freeway interchanges pursuant to the Circulation Plan
(Figure CM -2).
Identify in the CIP future projects and new roadways based on available
funding.
ENG
PL
A, D, I
4
CM -1.4
O
O
Provide access for seniors and those with physical disabilities in all
elements of the transportation system.
Continue to operate the Silver Fox Express. Consult with Omnitrans
regarding providing ACCESS transportation services.
A, E.
Require that all new future transportation facilities have appropriate and
ENG
CS
F, H, 1
4
adequate access for seniors and people with physical disabilities.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-19
'1
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
Action
Z,
T pe
=
General Plan Policy
:n
in
c
3
m
>
L
Q
m
U
V
�
d
Q:
c •y
o
�
Action(s)
d
w
E
CL
W
CD
o
a
N Implementation
a`
CL
W W
ti
a`
Complete intersection capacity improvements, coordinate traffic signals
utilizing Intelligent Transportation Systems (ITS), and improve striping
and signage. Striping shall maximize room for bike lanes where feasible
and consistent with the Bicycle Plan. Modernize traffic signal equipment
as necessary, and continue to update traffic signal timing and
ENG
PW
A, D
3
synchronization plans to optimize traffic flow along the key arterial
corridors, taking into account the needs of transit, bicyclists, and
pedestrians as well. Invest in the communications infrastructure
necessary to operate a Citywide traffic signal control system.
Continue to design and operate arterials and Intersections for the
CM42
O
safe operation of all modes, including transit, bicyclists, and
pedestrians.
Same action as identified for CM -4.1.
ENG
A, D
3
CM -4.3
O
Continue to implement Intelligent Transportation System Measures
and advanced traffic management technologies where appropriate.
Same action as identified for CM -4.1.
ENG
PW
E,
3
FD,
Maintain the City's transportation infrastructure in good condition;
CM -4.4
O
O
develop and maintain adequate funding sources for it's ongoing
maintenance and upkeep.
Continue to implement and follow the schedule for resurfacing streets
A, D,
and streets improvements per the CIP.
ENG
E, F
4
Continue to require that new development participates in the cost of
CM -5.1
O
transportation mitigation and improvements necessitated by new
development, including non -automobile solutions.
Require payment of Traffic Impact Fees as approved by the City Council,
used to finance specific improvements made necessary by new
development. The relationship between the fees, the cost of the
improvements, and new development has been established in fee
ENG
PL
D
4
analyses approved by the City Council. These fees shall be reviewed
from time to time and adjusted as needed.
Require evaluation of potential traffic and transportation impacts
CM -5.2
O
associated with new development prior to project approval, and
require adequate mitigation measures, including non -automobile
solutions, prior to, or concurrent with, project development.
Require applicants to prepare traffic and transportation impact
assessments consistent with adopted City guidelines and standards.
Continue to require sidewalks, pedestrian paths, and connections to be
provided as part of new development projects to improve and enhance
ENG
D
4
access between neighborhoods, and from neighborhoods to schools,
parks, trails, commercial centers, and other activity centers.
Appendix A: Implementation Plan
A-26 RANCHO CUCAMONGA GENERAL PLAN
P181
Appendix A: Implementation Plan
A-32 RANCHO CUCAMONGA GENERAL PLAN
Action
Z.'
Ty
pe
Z
d
d
General Plan Policy
c
c
L
m
A a
a
JT:5m
m
tii
•y
O
fn
O O
C
�'
m
Implementation Action(s)
E
a w
c
`o_
a°
a`
co
a`
Cn W
ti
(L
Continue to assess that the recreational needs of the City's residents are
consistent with the City's parkland standard, and determine possible re-
CS
PL, ENG
A
4
use or conversion of infill sites for recreational uses to serve areas within
the City with a disproportionate amount of parkland.
Develop parks that contribute to active and healthy lifestyles, and
CS -1.2
O
allow for a balanced commitment to both organized recreation
activities and passive park environments.
Move forward with plans to continue to develop Central Park, expand
Etiwanda Creek Park, add one new Community park, one new Special
CS
CM,
A
4
Use Facility, and two new Neighborhood parks. Incorporate active and
ENG
passive facilities into new parks.
CS -1.3
O
Continue to develop Central Park as envisioned In the Central Park
Master Plan.
Continue to prioritize implementation of the improvements for Central
CS
ENG, PL
A
4
Park as part of the City's CIP process.
CS -1.4
O
Pursue developing an outdoor special use facility that includes a
multi -field sports complex.
Continue to prioritize development of a sports complex and determine
CS
ENG,
A
4
funding mechanisms, including corporate sponsorships/partnerships.
RD, PL
Continue to require new development to provide needed park
CS -1.5
O
facilities through the various measures and tools available to the
City (e.g., in -lieu fees and/or land dedication).
Continue to make the provision of turn -key park and recreational facilities
PL
ENG,
A, D, I,
4
the first priority over in -lieu fees for new residential development.
CS
K
Pursue and expand joint -use of public lands that are available and
CS -1.6
O
suitable for recreational purposes, including school district
properties and flood control district, water district, and other utility
properties.
Continue to coordinate with other agencies holding public lands for
CS
possible joint -use, trail easements, or re -use to serve park/recreation
PL
ENG
A, K
4
particularly with school district properties.
Encourage public safety and compatibility with adjacent uses
CS -1.7
O
through park location and design, including the location of
buildings, lighting, parking, public transit, emergency access, and
pedestrian/bicycle access.
Continue to utilize the Recreation Needs and System Recommendation
CS
PL, ENG
A, K
4
Study and the park master plan concept in park planning.
CS -1.8
O
O
Continue to build, renovate, and maintain parks in a manner that is
environmentally sustainable.
Appendix A: Implementation Plan
A-32 RANCHO CUCAMONGA GENERAL PLAN
ai M
C
Update the City's Recreation Needs and Systems Recommendation
Study to determine the location for intermediate -sized park sites CS PL, ENG A, B, C 7
specifically developed for athletic field use. This may include joint -use
facilities with a school district.
Integrate Healthy RC activities, classes, and programs with
CS -2.A O recreational services that contribute to the health, fitness, and
minds of participants.
Continue to provide City -sponsored recreational programs and classes atI CS ( CM A, 1 14
recreational centers/parks.
Continue to provide active recreational opportunities through leagues CS CM A, I 4
and organized sports.
-Plan. and conduct` comm unity; special eventsthat„bFing `residents
CS-2.3O.together to create an enhanced ,,;quality of .life and promote'.
economic development:
Plan for community events through the annual budgeting process. CS RD, CM A, 1 4
Continue to serve as a clearinghouse to coordinate among the various I CS A, 1 4
sport leagues to make fields and facilities available.
Continue to promote the City's various rental facility types by ensuring
that a complete summary of locations, facilities, services, fees, and CS A 4
applications are available.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-33
Action
T
e
General Plan Botley
$
o
m
a>
O
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V
O O
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Implementation Action(s)
co
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Continue
Continue to provide for maintenance, renovation and new construction of
City parks in compliance with City policies, upgrading wastewater
ENG
CS, PL,
A, B, C
4
systems as needed, and as technology evolves, substitute material that
PW
could reduce maintenance costs and is environmentally friendly.
C
Update the City's Recreation Needs and Systems Recommendation
Study to determine the location for intermediate -sized park sites CS PL, ENG A, B, C 7
specifically developed for athletic field use. This may include joint -use
facilities with a school district.
Integrate Healthy RC activities, classes, and programs with
CS -2.A O recreational services that contribute to the health, fitness, and
minds of participants.
Continue to provide City -sponsored recreational programs and classes atI CS ( CM A, 1 14
recreational centers/parks.
Continue to provide active recreational opportunities through leagues CS CM A, I 4
and organized sports.
-Plan. and conduct` comm unity; special eventsthat„bFing `residents
CS-2.3O.together to create an enhanced ,,;quality of .life and promote'.
economic development:
Plan for community events through the annual budgeting process. CS RD, CM A, 1 4
Continue to serve as a clearinghouse to coordinate among the various I CS A, 1 4
sport leagues to make fields and facilities available.
Continue to promote the City's various rental facility types by ensuring
that a complete summary of locations, facilities, services, fees, and CS A 4
applications are available.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-33
W
Appendix A: implementation Plan
A-30 RANCHO CUCAMONGA GENERAL PLAN
Action
T pe
=
a
3
General Pian Policy
c
:
m
°o
W
c
c 9
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Implementation Action(s)
t4
a °a
c
°
°
c
CL m
c
o
Expand recreation and cultural attractions to enhance
ED -2.3
O
tourismlvisitor potential and to boost sales and transient
occupancy tax.
Develop brochures or links from the City's web site to showcase the
various recreational and cultural venues to attract visitors to the City.
Enhancement of cultural amenities, including regional entertainment
RD
CS
A
7
options, recreation, and historic preservation, will help to embellish the
City's reputation as a destination for a wide range of visitors.
Expand lodging choices in the City through the recruitment and
ED -2.4
O
placement of full-service hotels that will complement the existing
select -service hotel portfolio.
Review and update marketing strategies (land surveys, infrastructure
availability, and modes of transportation) to solicit the development of a
full-service lodging facility. Make sure that zoning regulations can
RD
PL
A, G
4
accommodate a full-service hotel at desired locations.
ED -3.1
O
O
Continue to make public safety a priority.
Use the annual budgeting process to allocate funding for public safety
services, equipment, and facilities commensurate with the City's service
CM
PD, FD
A
6
objectives.
ED -3.2
O
Provide community and cultural amenities.
Same action as identified for ED -2.3.
CS
CM, RD
A
4
ED -3.3
O
Maintain a healthy fiscal balance.
Use the annual budgeting process to check that revenues from all
sources continue to more than match projected spending.
CM
AS, FIN
A, G
1
ED -3.4
O
O
Improve internal circulation for all modes of transportation,
consistent with the concept of "Complete Streets".
Same action as identified for LU -3.1 to 3.8.
ENG
PL
A, G,
4
ED -3.5
O
Facilitate development of additional local and regional
entertainment venues.
Focus a special economic development team on the task of working
towards attracting developers and investors interested in responding to
RD
PL
A, G
6
local and regional demand for new entertainment options.
ED -3.6
O
Leverage the City's quality of life amenities to attract more
knowledge-based workers.
Expand the Economic Development Strategy to market Rancho
Cucamonga's civic assets, including parks, recreation and community
RD
PL, CS
A, G
4
enrichment facilities and programs, trails, and quality school districts.
Appendix A: implementation Plan
A-30 RANCHO CUCAMONGA GENERAL PLAN
EI
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-57
Action
Z�
Ty
pe
B
3
m
>
General Plan Policy
d
d
0
>'
O
Ix_
>
V
N
O O
O
Implementation Action(s)
E
a aMi
`o
°
n
a`
Cn
L
a
:3 Qi
U) W
ti
0 -
PL, AS,
A B
Same actions as identified for RC -4.1 to RC -4.5.
ENG
ENG,
C, E,
3
CM, BS,
G, I
PW, FIN
Encourage development of transit -oriented and infill development,
PS -12.3
O
and encourage a mix of uses that foster walking and alternative
transportation.
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide enhanced bicycling and walking infrastructure, and support
PS -12.4
O
public transit, including public bus service, the Metrolink, and the
potential for Bus Rapid Transit (BRT).
Same action as identified for RC -4.4.
PL
ENG
A, 1
3
Provide green building incentives, assess green building
techniques as a formal stage of project review, and develop a green
PS -12.5
O
building ordinance or program that addresses both new and
existing buildings. Adaptation strategies will also Include increased
water efficiency in buildings.
Same actions as identified for RC -6.1 to RC -6.4
PL
BNG
A, I, K
4
Encourage efforts to reduce waste generation and re -use and
PS -12.6
O
support increased recycling and composting opportunities with a
focus on large commercial and industrial waste producers.
Same action as identified for PF -7.1.
ENG
PL
A
3
PS -12.7
O
O
Support tree planting, planting more vegetation (including native
and drought -resistant planting), and preservation of open space.
Same actions as identified for RC -1.1, RC -8.1 to RC -8.7.
PL
PW '
A, 1
4
PS -12.8
O
Develop green procurement plans and ensure energy savings in
City operations and maintenance.
Same actions as identified for RC -5.1 to RC -5.3.
AS
CM, FIN,
A,B, C,
4
PW
E, K
Develop energy- or climate change -themed publications and
workshops, facilitating energy audits for residents, and establishing
PS -12.9
O
partnerships to reduce greenhouse gas emissions. Increase public
awareness about climate change, and encourage residents and
businesses to become involved in activities and lifestyle changes
that help reduce greenhouse gas emissions.
Same action as identified for RC -5.1.
CM
ENG
A, K
4
Consider the compatibility of proposed land uses with the noise
environment when preparing or revising community and/or specific
PS -13.1
O
plans and when reviewing development proposals. The contour
map depicting future noise levels (Figure PS -10) should be used by
the City as a guide to land use/noise compatibility.
Appendix A: Implementation Plan
RANCHO CUCAMONGA GENERAL PLAN A-57
P185
STAFF REPORT
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
RANCHO
Date: June 16, 2016 C;UCAMONGA
To: President and Members of the Board of Directors
John R. Gillison, City Manager
From: Mike Costello, Fire Chief
By: Tamara L. Layne, Finance Director
Michelle Cowles, Management Aide
Subject: CONSIDERATION TO ADOPT THE RANCHO CUCAMONGA FIRE
PROTECTION DISTRICT GENERAL FUND PRELIMINARY BUDGET IN THE
AMOUNT OF $50,193,240, WHICH IS A COMBINATION OF $25,246,510 IN
GENERAL FUND OPERATIONAL EXPENDITURES, $360 IN FIRE
TECHNOLOGY FEE FUND EXPENDITURES, AND $24,946,370 IN CAPITAL
RESERVE EXPENDITURES, PRIMARILY FOR AN ALL-RISK TRAINING
FACILITY; ADOPT THE APPROPRIATIONS LIMIT IN THE AMOUNT OF
$35,902,210 FOR FISCAL YEAR 2016/17; AND SET APPROVAL OF A FINAL
BUDGET FOR JULY 20, 2016
RECOMMENDATION
Staff recommends that the Board of Directors approve and adopt the Rancho Cucamonga
Fire Protection District General Fund Preliminary Budget in the amount of $50,193,240,
which is a combination of $25,246,510 in General Fund operational expenditures, $360 in
Fire Technology Fee Fund expenditures, and $24,946,370 in capital reserve expenditures,
primarily for an all-risk training facility; adopt the General Fund's Article XIIIB Appropriations
Limit in the amount of $35,902,210 for Fiscal Year 2016/17; and set approval of a final budget
for the July 20, 2016 Board Meeting.
BACKGROUND
The Fire District's General Fund Preliminary Budget for Fiscal Year 2016/17 is herein
recommended for adoption by the Board of Directors. Budget workshops were held on June
7 and 9, 2016, which included specific discussion regarding the preliminary budget.
The proposed budget continues to meet the Council/Fire Board direction of operating
independently. The Fire District was able to achieve a proposed, balanced operational
budget through a combination of moderate revenue growth and continued improvements of
operational and administrative efficiencies.
Included in the District's General Fund budget is the continued effort to construct the All -Risk
Training Center at the Jersey Fire Station. As the Board will recall, on December 16, 2015,
the Board authorized staff to advertise for the Training Center Project. Bids were opened on
::
CONSIDERATION TO ADOPT THE RANCHO CUCAMONGA FIRE PROTECTION DISTRICT GENERAL FUND PAGE 2
PRELIMINARY BUDGET IN THE AMOUNT OF $50,193,240, WHICH IS A COMBINATION OF $25,246,370 IN GENERAL
FUND OPERATIONAL EXPENDITURES, $360 IN FIRE TECHNOLOGY FEE FUND EXPENDITURES, AND $24,946,370
IN CAPITAL RESERVE EXPENDITURES, PRIMARILY FOR AN ALL-RISK TRAINING FACILITY; ADOPT THE
APPROPRIATIONS LIMIT IN THE AMOUNT OF $35,902,210 FOR FISCAL YEAR 2016/2017; AND SET APPROVAL OF A
FINAL BUDGET FOR JULY 20, 2016
Tuesday, February 16, 2016. The bids came in substantially over the construction cost
estimates, and the Board rejected all bids in order to reassess the project. The original design
of the Training Center Project has been sharpened to scale back overall costs. This "all-risk"
center will provide realistic cutting edge training for our fire crews and law enforcement, as
well as our regional partners. The estimated $20 million project will be funded by District
capital reserves, which have been set aside through planning and budgeting of District funds.
The State of California Constitution, Article XIIIB, requires that an appropriations limit be
established annually by the Board of Directors. The factor used to develop the appropriations
limit is the C.P.I. change and the change in the city's population. The attached resolution
adopts the annual appropriations limit as required by the Article XIIIB of the State
Constitution.
Based on the factors of the Gann Limit (a C.P.I. change of 5.37% and a population change
of 1.18%) per the State of California Department of Finance, the District's Fiscal Year
2016/17 General Fund's appropriations limit is $35,902,210. The District's Fiscal Year
2016/17 General Fund appropriations subject to this limit total $28,313,900. It is anticipated
that the District will be at 78.86% of its Gann Limit at June 30, 2017.
Please refer to the City Manager's Executive Summary for specific details regarding the Fire
District's General Fund. The advertised public hearing for adoption of the Fire District
General Fund Final Budget is set for July 20, 2016.
Respectfully submitted,
Mike Costello
Fire Chief
Attachment: Resolution No. FD 16-020
P187
RESOLUTION NO. FD 16-020
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, ADOPTING A
GENERAL FUND APPROPRIATIONS LIMIT FOR FISCAL YEAR
2016/17 PURSUANT TO ARTICLE XIIIB OF THE CALIFORNIA
CONSTITUTION
WHEREAS, Article XIIIB of the Constitution of the State of California provides that the
total annual appropriations subject to limitation of the State and of each local government for the
prior year be adjusted for change in the cost of living and population except as otherwise provided
in Sections (5), (7) and (8) of said Article XIII -B. These exclusions are: Debt Service Funds,
Revenue Bonds, Federal Funds and Grants, Contingencies, Emergencies, Enterprise Funds,
Capital Improvement Carry -Overs, Capital Equipment, Intra -Governmental Service Funds,
Reserves for Workers Compensation, Long -Term Disability, Retirement, Unemployment and
other reserve funds that are deemed reasonable and proper per the aforementioned sections;
and
WHEREAS, pursuant to said Article XIII -B of the Constitution of the State of California,
the Board of Directors of the Rancho Cucamonga Fire Protection District deems it to be in the
best interest of the Rancho Cucamonga Fire Protection District to establish a General Fund
appropriations limit for Fiscal Year 2016/17; and
WHEREAS, the Rancho Cucamonga Fire Protection District has determined that said
General Fund's appropriations limit for Fiscal Year 2016/17 be established in the amount of
$35,902,210.
NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the Rancho
Cucamonga Fire Protection District that a General Fund appropriations limit for Fiscal Year
2016/17 pursuant to Article XIII -B of the Constitution of the State of California be established in
the amount of $35,902,210 and the same is hereby established.
BE IT FURTHER RESOLVED that said appropriations limit herein established may be
changed as deemed necessary by resolution of the Board of Directors.
Resolution No. 16-020 - Page 1 of 2
.."
PASSED, APPROVED, AND ADOPTED this 16th day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
ATTEST:
Janice C. Reynolds, Secretary
L. Dennis Michael, President
I, JANICE C. REYNOLDS, SECRETARY of the Board of Directors of the Rancho Cucamonga
Fire Protection District, do hereby certify that the foregoing Resolution was duly passed, approved
and adopted by the Board of Directors of the Rancho Cucamonga Fire Protection District, at a
Meeting of said Board on the 16th day of June, 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, Secretary
Resolution No. 16-020 - Page 2 of 2
STAFF REPORT
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT
Date: June 16, 2016
To: President and Members of the Board of Directors
John R. Gillison, City Manager
From: Mike Costello, Fire Chief
By: Tamara L. Layne, Finance Director
Michelle Cowles, Management Aide
Subject: CONSIDERATION OF APPROVAL OF RESOLUTIONS ADOPTING A BUDGET
IN THE AMOUNT OF $5,807,160 AND APPROVING THE APPROPRIATIONS
LIMIT IN THE AMOUNT OF $13,676,179 FOR FISCAL YEAR 2016/17 IN
COMMUNITIES FACILITIES DISTRICT NO. 85-1
RECOMMENDATION
Staff recommends that the Fire Board approve the attached resolutions adopting the Mello -
Roos Community Facilities District No. 85-1 (CFD 85-1) annual budget for Fiscal Year
2016/17 in the amount of $5,807,160 and the Appropriations Limit in the amount of
$13,676,179.
BACKGROUND
Since Fiscal Year 1986/87, the Board has annually adopted a budget to provide for
operations and maintenance costs attributable to providing fire protection services within
CFD 85-1. The proposed budget for Fiscal Year 2016/17 provides funding for a portion of
the personnel and operational costs necessary to maintain existing fire and life safety service
levels within CFD 85-1 boundaries. The remaining operational and maintenance costs within
CFD 85-1 are provided through the Fire District's General Fund budget.
When the Fire District's CFD 85-1 was approved by the voters in 1985, an appropriations
limit was established at $1,775,000 (1985 costs for operations and maintenance). In order
to adjust the maximum spending authority (appropriations limit) to meet increased costs for
operations and maintenance, the voters authorized the District to annually adjust the limit.
This adjustment is based upon the same methodology used in calculating public agency
Prop. 4 spending limits under Article XIIIB of the State of California Constitution. The factors
used to develop the appropriations limit are the C.P.I. change and the change in the city's
population. The attached resolution adopts the annual appropriations limit as required by
Article XIIIB of the State Constitution. Based on the factors of the Gann Limit (a C.P.I.
change of 5.37% and a population change of 1.18°/x) per the State of California Department
of Finance, the District's CFD 85-1 Fiscal Year 2016/17 appropriations limit is $13,676,179.
The District's CFD 85-1 Fiscal Year 2016/17 appropriations subject to this limit total
$5,990,000. It is anticipated that the District will be at 43.80% of its Gann Limit at June 30,
2017.
CONSIDERATION OF APPROVAL OF RESOLUTIONS ADOPTING A BUDGET IN THE AMOUNT OF
$5,807,160 AND APPROVING THE APPROPRIATIONS LIMIT IN THE AMOUNT OF $13,676,179 FOR
FISCAL YEAR 2016/17 IN COMMUNITIES FACILITIES DISTRICT NO. 85-1
JUNE 16, 2016
On June 7 and 9, 2016, the City Council/Fire District Board
comprehensive workshops regarding all budgets, which included
budget. The resolutions adopting CFD 85-1's annual budget and
now presented for your consideration of approval.
Respectfully submitted,
-�� C--�
Mike Costello
Fire Chief
Attachments: Resolution No. FD 16-016
Resolution No. FD 16-017
PAGE 2
of Directors conducted
the proposed CFD 85-1
appropriations limit are
.9
P191
RESOLUTION NO. FD 16-016
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, ADOPTING AN
APPROPRIATIONS LIMIT FOR MELLO-ROOS COMMUNITY
FACILITIES DISTRICT NO. 85-1 FOR FISCAL YEAR 2016/17
PURSUANT TO ARTICLE XIIIB OF THE CALIFORNIA
CONSTITUTION
WHEREAS, a special election was held in the Mello -Roos Community Facilities
District No. 85-1 (the "Community Facilities District") of the Rancho Cucamonga Fire Protection
District (formerly Foothill Fire Protection District, the "District"), on Tuesday, December 10, 1985;
and
WHEREAS, as a result of the election, more than two-thirds (2/3) of the qualified
electors voted in favor of a proposition to authorize the levy of a special tax for fire suppression
services and facilities, to establish an appropriations limit and to annually adjust the special tax
and appropriations limit based upon changes in cost of living and changes in population; and
WHEREAS, the Board of Directors desires to establish the appropriations limit for
the Community Facilities District 85-1 for Fiscal Year 2016/17;
NOW, THEREFORE, the Board of Directors of the Rancho Cucamonga Fire
Protection District does hereby resolve, determine and order as follows:
SECTION 1. Appropriations Limit. This Board of Directors hereby establishes
the Fiscal Year 2016/17 appropriations limit for the Community
Facilities District No. 85-1 at $13,676,179 based on the factors of
the Gann limit (a C.P.I. change of 5.37% and a population change
of 1.18°/x) per the State of California Department of Finance.
SECTION 2. Approval of Electorate. This Board of Directors hereby finds and
determines that the foregoing appropriations limit has been
established by the qualified electorate at a special election held on
December 10, 1985, in the manner provided by law.
SECTION 3. Filing. The Secretary is hereby authorized and directed to file a
certified copy of this resolution with the Board of Supervisors for
San Bernardino County and with the office of the Auditor -Controller
for the State of California.
Resolution No. 16-016 - Page 1 of 2
P192
PASSED, APPROVED and ADOPTED this 161h day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Janice C. Reynolds, Secretary
I, JANICE C. REYNOLDS, SECRETARY of the Rancho Cucamonga Fire
Protection District, do hereby certify that the foregoing Resolution was duly passed, approved
and adopted by the Board of Directors of the Rancho Cucamonga Fire Protection District, at a
special meeting of said Board held on the 16th day of June, 2016.
Executed this day of June, 2016 at Rancho Cucamonga, California.
Janice C. Reynolds, Secretary
Resolution No. 16-016 - Page 2 of 2
P193
RESOLUTION NO. FD 16-017
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, APPROVING AND
ADOPTING A BUDGET FOR MELLO-ROOS COMMUNITY
FACILITIES DISTRICT NO. 85-1 FOR FISCAL YEAR 2016/17
WHEREAS, a special election was held in the Mello -Roos Community Facilities
District No. 85-1 (the "Community Facilities District") of the Rancho Cucamonga Fire Protection
District (formerly Foothill Fire Protection District, the "District"), on Tuesday, December 10, 1985;
and
WHEREAS, as a result of the election, more than two-thirds (2/3) of the qualified
electors voted in favor of a proposition to authorize the levy of a special tax for fire suppression
services and facilities, to establish an appropriations limit based upon changes in cost of living
and changes in population; and
WHEREAS, the Board of Directors has received and reviewed a budget for Fiscal
Year 2016/17 for the Community Facilities District.
NOW, THEREFORE, the Board of Directors of the Rancho Cucamonga Fire
Protection District does hereby resolve, determine and order as follows:
Section 1. Adoption of Budget. The Board of Directors hereby approves and
adopts the budget designated:
Mello -Roos Community Facilities
District No. 85-1
Annual Budget
for
Fiscal Year 2016/17
a copy of said budget being on file in the office of the Community
Facilities District and available for public inspection.
Section 2. Filing of Budget. The Secretary is hereby authorized and directed to
forward a certified copy of this resolution and a copy of the budget to
the Office of the Auditor -Controller for the County of San Bernardino.
Resolution No. 16-017 - Page 1 of 2
P194
PASSED, APPROVED, and ADOPTED this 16th day of June, 2016
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Janice C. Reynolds, Secretary
I, JANICE C. REYNOLDS, SECRETARY of the Rancho Cucamonga Fire Protection District, do
hereby certify that the foregoing Resolution was duly passed, approved, and adopted by the
Board of Directors of the Rancho Cucamonga Fire Protection District, at a special meeting of said
Board held on the 16th day of June, 2016.
Executed this day of June, 2016 at Rancho Cucamonga, California.
Janice C. Reynolds, Secretary
Resolution No. 16-017 - Page 2 of 2
STAFF REPORT
RaNCI'IO CUCAMONGA FIRE PROTECTION DISTRICT
Date: June 16, 2016
To: President and Members of the Board of Directors
John R. Gillison, City Manager
From: Mike Costello, Fire Chief
By: Tamara L. Layne, Finance Director
Michelle Cowles, Management Aide
P195
Subject: CONSIDERATION OF APPROVAL OF RESOLUTIONS ADOPTING A BUDGET
IN THE AMOUNT OF $2,189,090 AND APPROVING THE APPROPRIATIONS
LIMIT IN THE AMOUNT OF $3,365,885 FOR FISCAL YEAR 2016/17 IN
COMMUNITY FACILITIES DISTRICT NO. 88-1
RECOMMENDATION
Approval of resolutions adopting a budget in
appropriations limit in the amount of $3,365,885
Community Facilities District No. 88-1 (CFD 88-1).
BACKGROUND
the amount of $2,189,090 and the
for Fiscal Year 2016/17 in Mello -Roos
On April 4, 1989, the qualified voters approved the formation of Mello -Roos Community
Facilities District No. 88-1 and authorized the District to annually levy a special tax to
provide for fire protection services within northeast Etiwanda. On May 19, 1989, the Board
adopted an ordinance authorizing the levy of a special tax in CFD 88-1. The ordinance
authorizes the District, by resolution, to annually levy the special tax for purposes of land
acquisition, fire station construction, purchase of equipment and operations and
maintenance costs (which includes personnel) to provide fire protection services within
CFD 88-1.
Fiscal Year 2016/17 is the twenty-eighth (28) consecutive year the District has levied a
special tax to provide required revenues for capital improvements (land, fire station facility,
equipment) and fire protection services (personnel, operations and maintenance) within this
CFD. Accordingly, the Fiscal Year 2016/17 budget includes fully burdened personnel costs
associated with existing memorandums of understanding between the District and its
bargaining units. Because CFD 88-1 does not currently generate sufficient funds to fully
support the total annual staffing costs, supplemental funding will be necessary through the
Fire District's General Fund budget.
•:
CONSIDERATION OF APPROVAL OF RESOLUTIONS ADOPTING A BUDGET IN THE AMOUNT OF PAGE 2
$2,189,090 AND APPROVING THE APPROPRIATIONS LIMIT IN THE AMOUNT OF $3,365,885 FOR
FISCAL YEAR 2016/17 IN COMMUNITY FACILITIES DISTRICT NO. 88-1
JUNE 16, 2016
The following resolutions are submitted for your consideration to adopt the fiscal year
2016/17 annual budget and appropriations limit in CFD 88-1.
1. A resolution adopting the Fiscal Year 2016/17 proposed budget in the amount of
$2,189,090.
2. A resolution adopting the Fiscal Year 2016/17 appropriations limit in an amount
equal to the maximum authorized special taxes which could be levied in Fiscal Year
2016/17. The resolution sets an appropriations limit for Fiscal Year 2016/17 at
$3,365,885.
On June 7 and 9, 2016, the Board conducted comprehensive budget workshops regarding
all budgets, which included the proposed CFD 88-1 budget. The resolutions adopting the
CFD 88-1 annual budget and the appropriations limit are now presented for your
consideration of approval.
Respectfully Submitted,
Mike Costello
Fire Chief
Attachments: Resolution No. FD 16-018
Resolution No. FD 16-019
P197
RESOLUTION NO. FD 16-018
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT, SAN
BERNARDINO COUNTY, CALIFORNIA, ADOPTING AN
APPROPRIATIONS LIMIT FOR COMMUNITY FACILITIES
DISTRICT NO. 88-1 FOR FISCAL YEAR 2016/17 PURSUANT TO
ARTICLE XIIIB OF THE CALIFORNIA CONSTITUTION
WHEREAS, the Board of Directors of the Rancho Cucamonga Fire Protection
District (formerly Foothill Fire Protection District, hereinafter referred to as the "legislative body")
has initiated proceedings, held a public hearing, conducted an election and received a favorable
vote from the qualified electors relating to the levy of a special tax in a community facilities district,
all as authorized pursuant to the terms and provisions of the "Mello -Roos Community Facilities
Act of 1982", as amended, being Chapter 2.5, Part 1, Division 2, Title 5 of the Government Code
of the State of California. This Community Facilities District is designated as COMMUNITY
FACILITIES DISTRICT NO. 88-1 (hereinafter referred to as the "District"); and
WHEREAS, as a result of such election, the qualified electors of the District
authorized the establishment of an Article XIII -B appropriations limit for the District equal to the
maximum authorized special taxes which may be levied in any fiscal year; and
WHEREAS, this legislative body desires to establish the appropriations limit for
the District for Fiscal Year 2016/17.
NOW, THEREFORE, the Board of Directors of the Rancho Cucamonga Fire
Protection District does hereby resolve, determine and order as follows:
SECTION 1. Appropriations Limit. This legislative body hereby establishes the
appropriations limit for Community Facilities District No. 88-1 for
Fiscal Year 2016/17 in an amount equal to $3,365,885.
SECTION 2. Approval by Electorate. This legislative body hereby finds and
determines that the foregoing appropriations limit has been
authorized by the qualified electors of the District at a special
election held on April 4, 1989, in the manner provided by law.
Resolution No. 16-018 - Page 1 of 2
PASSED, APPROVED, and ADOPTED this 16th day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Janice C. Reynolds, Secretary
R • •1
I, JANICE C. REYNOLDS, SECRETARY of the Rancho Cucamonga Fire Protection
District, do hereby certify that the foregoing Resolution was duly passed, approved, and adopted by the
Board of Directors of the Rancho Cucamonga Fire Protection District, at a special meeting of said
Board held of the 16th day of June, 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, Secretary
Resolution No. 16-018 - Page 2 of 2
RESOLUTION NO. FD 16-019
A RESOLUTION OF THE BOARD OF DIRECTORS OF THE
RANCHO CUCAMONGA FIRE PROTECTION DISTRICT,
CITY OF RANCHO CUCAMONGA, COUNTY OF SAN
BERNARDINO, STATE OF CALIFORNIA, APPROVING
AND ADOPTING A BUDGET FOR COMMUNITY
FACILITIES DISTRICT NO. 88-1 FOR FISCAL YEAR
2016/17
WHEREAS, the Board of Directors of the Rancho Cucamonga Fire
Protection District (formerly Foothill Fire Protection District, hereinafter referred to as the
"legislative body") has initiated proceedings, held a public hearing, conducted an election
and received a favorable vote from the qualified electors relating to the levy of a special
tax in a community facilities district, all as authorized pursuant to the terms and provisions
of the "Mello -Roos Community Facilities Act of 1982", as amended, being Chapter 2.5,
Part 1, Division 2, Title 5 of the Government Code of the State of California. This
Community Facilities is designated as COMMUNITY FACILITIES DISTRICT NO. 88-1
(hereinafter referred to as the "District"); and
WHEREAS, this legislative body has received and reviewed a budget for
Fiscal Year 2016/17 for the District.
NOW, THEREFORE, the Board of Directors of the Rancho Cucamonga Fire
Protection District does hereby resolve, determine and order as follows:
Section 1. Adoption of Budget. The Board of Directors hereby approves
and adopts the budget designated: "Mello -Roos Community
Facilities District No. 88-1 Annual Budget for Fiscal Year
2016/17" and is on file in the office of the District and available
for public inspection.
Resolution No. 16-019 - Page 1 of 2
PASSED, APPROVED, and ADOPTED this 16th day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, President
ATTEST:
Janice C. Reynolds, Secretary
I, JANICE C. REYNOLDS, SECRETARY of the Rancho Cucamonga Fire
Protection District, do hereby certify that the foregoing Resolution was duly passed,
approved, and adopted by the Board of Directors of the Rancho Cucamonga Fire
Protection District, at a special meeting of said Board held on the 16th day of June,
2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, Secretary
Resolution No. FD 16-019 - Page 2 of 2
P201
STAFF REPORT f
ADMINISTRATIVE SERVICES GROUP
RANCHO
Date: June 16, 2016 C;UCAMONGA
To: Mayor and Members of the City Council
John R. Gillison, City Manager
From: Tamara L. Layne, Finance Director If'
Subject: ADOPTION OF FISCAL YEAR 2016/17 BUDGET AND ARTICLE XIIIB
APPROPRIATIONS LIMIT
RECOMMENDATION
1. Council approve the attached resolution authorizing the Fiscal Year 2016/17 budget.
2. Council approve the attached resolution adopting the Article XIIIB Appropriations Limit for
Fiscal Year 2016/17.
BACKGROUND
The City of Rancho Cucamonga has proposed a one-year program of service with the
2016/17 fiscal year budget. The attached resolution adopts that one-year budget following
the Council's deliberations at the publicly held budget study sessions.
FISCAL YEAR 2016/17 BUDGET
General Fund
Library Services
Special Funds
Total
$ 77,501,290
$ 4,730,730
$100,089,170
182.321.190
2. The State of California Constitution, Article XIIIB, requires that an appropriations limit be
established annually by the City Council. The factor used to develop the appropriations
limit is the C.P.I. change and the change in the City's population per the State of California
Department of Finance. The additional attached resolution adopts the annual
appropriations limit as required by Article XIIIB of the State Constitution.
Based on the factors of the Gann Limit (a C.P.I. change of 5.37% and a population change
of 1.18%), the City's Fiscal Year 2016/17 appropriations limit is $77,009,145. The City's
Fiscal Year 2016/17 appropriations subject to this limit total $61,212,220. It is anticipated
that the City will be at 79.49% of its Gann Limit at June 30, 2017.
Attachments
1. Resolution No. 16-069
2. Resolution No. 16-070
is/finance/bud
get2017/City Council staff reports/City budget adoption 2016-17.doc
P202
RESOLUTION NO. 16-069
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA ADOPTING THE CITY'S
FISCAL YEAR 2016/17 BUDGET
WHEREAS, the Rancho Cucamonga City Council held two workshops to review
the appropriation requests for Fiscal Year 2016/17 on June 7th and 9th, 2016, and;
WHEREAS, the Rancho Cucamonga City Council held a public meeting on the
General City Budget, and;
WHEREAS, this public meeting was noticed in accordance with applicable laws
and held on June 16, 2016;
NOW, THEREFORE, BE IT RESOLVED the City Council of the City of Rancho
Cucamonga, California does hereby resolve on this 16h day of June 2016, as follows:
SECTION 1: Adoption of Fiscal Year 2016/17 Budget. The City of Rancho
Cucamonga budget for Fiscal Year 2016/17, on file in the office of
the Finance Director, is hereby adopted in the amount of
$182,321,190. This budget total includes appropriations for both
the general and other special purpose funds.
SECTION 2: Transfers of Funds Between and/or Within Appropriations. The City
Council of the City of Rancho Cucamonga may transfer funds
between funds or activities set forth in the budget. The City
Manager may transfers funds between appropriations within any
fund as set forth in the budget and may transfer appropriations
between activities within any cost center in the same fund.
SECTION 3: Transfers of Funds Between Funds. Transfers of funds between
funds as shown throughout the fund transfer sections of the budget
shall be made as expenditures warrant such transfers.
SECTION 4: Disbursements. The City Manager and the Finance Director, or the
duly designated representative, are hereby empowered and
authorized to disburse funds pursuant to appropriations provided
for in the Fiscal Year 2016/17 Budget, and have the responsibility
to establish procedures and to administratively implement and
control the budget on all matters, except direct expenditures by
Councilmembers which require Council approval.
SECTION 5: Additional Appropriations. The City Council may amend this budget
to add or delete appropriations.
SECTION 6: Personnel. The City Manager is hereby empowered and authorized
to develop and fill additional positions as deemed necessary to
conduct City operations provided funding is available in the budget.
P203
PASSED, APPROVED, AND ADOPTED this 161h day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, Mayor
ATTEST:
Janice C. Reynolds, City Clerk
I, JANICE C. REYNOLDS, CITY CLERK of the City of Rancho Cucamonga, California, do
hereby certify that the foregoing Resolution was duly passed, approved and adopted by the City
Council of the City of Rancho Cucamonga, California, at an adjourned meeting of said City
Council held on the 1611 day of June 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, City Clerk
P204
RESOLUTION NO. 16-070
RESOLUTION OF THE CITY COUNCIL OF THE CITY OF
RANCHO CUCAMONGA, CALIFORNIA ESTABLISHING
AN APPROPRIATIONS LIMIT PURSUANT TO ARTICLE
XIIIB OF THE CALIFORNIA STATE CONSTITUTION FOR
FISCAL YEAR 2016/17
WHEREAS, Article X11113 of the State of California provides that the total annual
appropriations subject to limitation of the State and of each local government shall not exceed the
appropriations limit of such entity of government for the prior year adjusted for changes in the cost
of living and population except as otherwise provided in said Article X11113, and;
WHEREAS, pursuant to said Article X111B of the Constitution of the State of
California, the City Council of the City of Rancho Cucamonga deems it to be in the best interests
of the City of Rancho Cucamonga to establish an appropriations limit for Fiscal Year 2016/17,
and;
WHEREAS, the Finance Director of the City of Rancho Cucamonga has
determined that said appropriations limit for Fiscal Year 2016/17 be established in the amount of
$77,009,145.
NOW, THEREFORE, BE IT RESOLVED the City Council of the City of Rancho
Cucamonga, California does hereby resolve that an appropriations limit for Fiscal Year 2016/17
pursuant to Article X1IIB of the Constitution of the State of California be established in the amount
of $77,009,145 and the same is hereby established.
BE IT FURTHER RESOLVED that said appropriations limit herein established may
be changed as deemed necessary by resolution of the City Council.
P205
PASSED, APPROVED, AND ADOPTED this 16th day of June, 2016.
AYES:
NOES:
ABSENT:
ABSTAINED:
L. Dennis Michael, Mayor
ATTEST:
Janice C. Reynolds, City Clerk
I, JANICE C. REYNOLDS, CITY CLERK of the City of Rancho Cucamonga, California, do
hereby certify that the foregoing Resolution was duly passed, approved and adopted by the City
Council of the City of Rancho Cucamonga, California, at an adjourned meeting of said City
Council held on the 16th day of June 2016.
Executed this day of June 2016, at Rancho Cucamonga, California.
Janice C. Reynolds, City Clerk
i:Ifinancelbudget20171City Council staff reportslResolution-City Appropriations Limit 2016-17.doc
Mayor L. Dennis Michael I Mayor Pro Tem Sam Spagnolo
Council Members William J. Alexander, Lynne Kennedy, Diane Williams
City Manager john R. Gillison
10500 Civic Center Drive I P.O. Box 807 1 Rancho Cucamonga, CA 91729-0807 1909.477.2700 1 www.CityofRC.us
NOTICE OF ADJOURNMENT
NOTICE IS HEREBY GIVEN that the City of Rancho Cucamonga City Council/Board of Directors of
the Fire Protection District at their meeting of Thursday, June 9, 2016, adjourned said meeting to
Thursday, June 16, 2016 at the hour of 3:30 p.m. in the Council Chambers, located at City Hall, 10500
Civic Center Drive, Rancho Cucamonga, California. Said continuance was passed by the following
vote:
AYES: Alexander, Kennedy, Michael, Spagnolo, Williams
NOES: None
ABSENT: None
ABSTAINED: None
Dated this 9th day of June, 2016.
4lerkdaTroyan, MMC
Services Director
AFFIDAVIT OF POSTING
NOTICE OF ADJOURNMENT
State of California
County of San Bernardino ss.
City of Rancho Cucamonga
I, Linda A. Troyan, City Clerk Services Director of the City of Rancho Cucamonga, hereby declare that at a Special meeting of the City
Council of the City of Rancho Cucamonga held June 9, 2016; that the members present authorized adjournment of said meeting to June
16, 2016, at the hour of 3:30 p.m., in the Council Chambers; and that a copy of said notice was posted at a conspicuous place near the
door of the room at which said meeting was held, within 24 hours of said adjournment.
I declare under penalty of perjury that the foregoing is true and correct.
ExebCA.T��ya�n,
June 9, 2016 at Rancho Cucamonga, California,
Lin MMC
ityrvices Director