HomeMy WebLinkAboutOrdinance 22928-09-2017 Ordinance No. 22928-09-2017
AN ORDINANCE APPROPRIATING FUNDS FOR PURPOSES OF ENACTING
THE FISCAL YEAR 2018 CAPITAL IMPROVEMENT PLANS, INCLUDING
CAPITAL PROGRAMS, PROJECTS, OUTLAYS, AND COMMUNITY
FACILITY AGREEMENTS; ACKNOWLEDGING PRIOR APPROPRIATIONS
EFFECTING THE CAPITAL IMPROVEMENT PLANS; AND DELEGATING
AUTHORITY FOR CERTAIN TRANSFERS, ALLOCATIONS, AND
ROLLOVERS; AND ESTABLISHING A LEGAL LEVEL OF CONTROL; AND
PROVIDING FOR PUBLICATION; AND PROVIDING A SEVERABILITY
CLAUSE; AND PROVIDING A SAVINGS CLAUSE; AND PROVIDING FOR
THE REPEAL OF ALL ORDINANCES AND APPROPRIATIONS IN CONFLICT
WITH THE PROVISIONS OF THIS ORDINANCE; AND PROVIDING AN
EFFECTIVE DATE
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF FORT WORTH, TEXAS:
SECTION 1.
That there shall be appropriations for the Capital Improvement Plans of the City of Fort Worth
for Fiscal Year 2018,including Capital Projects and Capital Programs, as follows:
GENERAL CAPITAL IMPROVEMENT PLAN
The General Capital Improvement Plan is used to complete activities such as acquisition of land or
construction of infrastructure consistent with governmental activities of the City of Fort Worth.
Appropriations for Capital Projects and Programs are outlined below, which includes total General
Capital Improvement Plan appropriations of$36,123,553.
Page 1 of 17
2018
Category Project Appro riation
Neighborhood
Services Neighborhood Improvement Strategy $2,767,000
Alleyway Maintenance $87,000
Furniture, Fixtures, and Equipment for the
Libraries Golden Triangle Library $842,000
Community
Partnerships Future Community Partnerships $750,000
Transportation
Maintenance Contract Brick Pavement $383,000
Contract Bridge Maintenance $1,639,000
Concrete Restoration $2,104,000
Contract Street Maintenance $14,284,000
Street Maintenance $795,000
Traffic System Maintenance $4,672,000
Facility Renovation
and Maintenance Recurring Facility Maintenance and Repair $1,821,997
Roof Repair and Replacement $904,003
Minor Renovation and Repair $594,000
Solid Waste Administrative Office Consolidation $625,000
Park and
Recreation Renovation of Existing Facilities $1,764,553
Playground Installations and Improvements $935,000
Utility Infrastructure (Fort Worth Zoo) $661,000
Minor Facility Repair and Replacement (Golf) $495,000
Total $36,123,553
Funding Sources
Pay As You Go - General Fund $33,975,900
Transfer from Solid Waste Fund for Office
Consolidation $625,000
Gas Well Revenues—Park and Recreation $522,446
Dedication Fees—Park and Recreation $283,957
Special Donations—Park and Recreation $36,250
Specially Funded Projects—Park and Recreation $185,000
Gas Well Revenues—Municipal Golf $495,000
Total $36,123,553
Ordinance No.22928-09-2017
Page 2 of 17
MUNICIPAL AIRPORTS CAPITAL IMPROVEMENT PLAN
The Municipal Airports Capital Improvement Plan is used to complete enhancements to the City's
airports. Appropriations for Capital Projects and Programs are outlined below, which includes total
Municipal Airports Capital Improvement Plan appropriations of$357,879.
2018
Category Project Appro riation
Aviation Facilities Runway and Taxiway Improvements - S inks 265,000
Midfield Redevelopment and Helipad Connector -
Meacham 37,879
Airport Master Plan Update—Meacham and Spinks $55,000
Total $357,879
Funding Source
Gas Well Revenues -Aviation $357,879
Total $357,879
Ordinance No.22928-09-2017
Page 3 of 17
PUBLIC EVENTS CAPITAL IMPROVEMENT PLAN
The Public Events Capital Improvement Plan ensures that the city public events facilities are
developed, maintained and upgraded to meet the needs of facility users and provide an environment
for exceptional customer service. Appropriations for Capital Projects and Programs are outlined
below, which includes total Public Events Capital Improvement Plan appropriations of$7,155,000.
2018
Facility Project Appropriation
Convention Center Air Handlers—Halls B thru F $1,000,000
Other Renovation and Repair $620,000
Dickies Arena Transfer to Arena Project for Future Requirements $3,000,000
Will Rogers
Memorial Center Richardson Bass Building-Roof Replacement $1,000,000
Coliseum - Video Board upgrade $430,000
Moncrief Building - Lighting Upgrade $500,000
Other Renovation & Repair $605,000
Total $7,155,000
Funding Sources
2% Hotel Occupancy Tax—Culture and Tourism $1,595,000
Pay As You Go - DFW Airport Revenue Sharing
Fund $2,535,000
Pay as You Go—Culture and Tourism Fund $3,025,000
Total $7,155,000
Ordinance No.22928-09-2017
Page 4 of 17
STORMWATER CAPITAL IMPROVEMENT PLAN
The Stormwater Capital Improvement Plan is used to complete projects to enhance the management
of stormwater runoff. Appropriations for Capital Projects and Programs are outlined below, which
includes total Stormwater Capital Improvement Plan appropriations of$16,904,000.
2018
Category Project Appropriation
Drainage Engineering Flood Warning Assessment $100,000
Emergency Engineering evaluation $150,000
Engineering Assessments $600,000
Pipe Condition and Assessment Program $250,000
Major Drainage Reactive Drainage Improvements &Property $698,000
Acquisitions
Neighborhood Drainage Hammond Street Drainage Improvement $3,331,000
Central Arlington Heights Voluntary Buyout
and Detention Improvements $1,675,000
Forest Park Detention/Zoo Creek $1,000,000
Kimbo Court Drainage Improvements $300,000
Minor Repair& Renovation—Easements $50,000
Minor Repair&Renovation—Paving $250,000
Westcliff Drainage $2,100,000
Roadway Crossing Loving Avenue Channel and Culvert $200,000
Parker-Henderson Culvert Improvements $1,500,000
Lebow Channel Roadway Crossing -Lower $4,200,000
28th, Dewey and Brennan
Technology Channel Infrastructure Geographic Information $500,000
System
Total $16,904,000
Funding Sources
Pay as You Go— Stormwater Utility Fund $10,685,996
Fund Balance—Stormwater Utility Fund $2,868,661
Stormwater Capital Projects Fund $2,328,253
Revenue Bonds—Stormwater $1,021,090
Total $16,904,000
Ordinance No.22928-09-2017
Page 5 of 17
SOLID WASTE CAPITAL IMPROVEMENT PLAN
The Solid Waste Capital Improvement Plan is used to complete projects to enhance the management
of residential and commercial solid waste, and recycling, within the City of Fort Worth.
Appropriations for Capital Projects and Programs are outlined below, which includes total Solid
Waste Capital Improvement Plan appropriations of$1,478,950.
2018
Category Project Appropriation
Plans and Household Hazardous Waste Program $450,000
Programs
Drop-Off Stations LED Signage $450,000
Comprehensive Solid Waste Management Plan $233,750
Work Order Management System Programming $200,000
Enhancements
Audit Grant of Privilege Audit $35,200
Evaluations Food Recycling Collection Evaluation $35,000
Low-Volume Commercial Transfer Station Evaluation $25,000
Landfill Gas Reclamation Evaluation $50,000
Grand Total $1,478,950
Funding
Sources
Fund Balance—Solid Waste Fund $1,478,950
Total $1,478,950
Ordinance No.22928-09-2017
Page 6 of 17
WATER CAPITAL IMPROVEMENT PLAN
The Water Capital Improvement Plan is used to complete projects to enhance the management of
providing water and sewer services. Appropriations for Capital Projects and Programs are outlined
below, which includes total Water Capital Improvement Plan appropriations of$13,070,000.
2018
Project Type Project Appropriation
Programmable
Projects Community Facility Agreement (CFA) Program $8,000,000
Major Transmission Mains $3,570,000
Interstate Highway (IH) -35 Expansion—Water and
Sewer $900,000
Water Reclamation Facilities $600,000
Total $13,070,000
Funding
Sources
Water Capital Fund (for CFA Program) $1,500,000
Sewer Capital Fund (for CFA Program) $1,500,000
Future Debt(for CFA Program) $5,000,000
Future Debt(for Transmission Mains, IH-35 Expansion,
and Water Reclamation) $5,070,000
Total $13,070,000
Ordinance No.22928-09-2017
Page 7 of 17
2014 BOND PROGRAM
The 2014 Bond Program authorized a total of$292,075,000 in issuing authority. Through the current
date, the City has used$143,000,000 of its issuing authority. Fiscal Year 2017-2018 appropriations
for Capital Projects and Programs, which will utilize 2014 Bond funding, are outlined below and
include total appropriations of$22,911,357.
2018
Proposition Project Apgropriation
Proposition 1 —
Streets
Transportation
Improvements Brewer Blvd (S. of Risinger) $700,000
Mark IV Pkwy, Cantrell Samson $1,000,000
McCart Ave. & McPherson Blvd $10,632,517
Neighborhood Streets Contract—Part A $630,589
Neighborhood Streets Contract—Part B $522,689
Bridges $2,910,000
Railroad Crossings $1,763,795
Street Lights $1,182,460
Traffic Lights $683,674
Transportation Grant Matches $744,984
Pedestrian Street Enhancements in Urban Villages $36,749
Proposition 2 —
Parks Recreation
and Community
Center
Improvements Athletic Field Improvements $1,100,000
Proposition 7—
Animal Care and
Control Facility
Improvements North Animal Shelter(Design Cost Only) $1,003,900
Total $22,911,357
Funding Source
2014 Bond Program—Proposition 1 $20,807,457
2014 Bond Program—Proposition 2 $1,100,000
2014 Bond Program—Proposition 7 $1,003,900
Total $22,911,357
Ordinance No.22928-09-2017
Page 8 of 17
SECTION 2.
That there shall be appropriations for the Capital Outlays of the City of Fort Worth for Fiscal
Year 2017-2018 as follows:
COMMUNICATION AND PUBLIC ENGAGEMENT
2018
Category Project Appro riation
Capital Outlay Council Chamber Technology Upgrades $1,000,000
Total $1,000,000
Funding Source
Special Purpose Fund—Fees $1,000,000
Total $1,000,000
CRIME CONTROL AND PREVENTION DISTRICT FUND
2018
Category Project Appropriation
Capital Outlay Vehicles (Including Motorcycles) $10,465,504
Support Equipment(Helicopter) $400,000
Total $10,865,504
Funding Source
Pay As You Go - Crime Control and Prevention
District Fund $10,865,504
Total $10,865,504
FIRE APPARATUS ACQUISITION AND REPLACEMENT
2018
Category Project Appropriation
Capital Outlay Fire Apparatus $4,591,000
Total $4,591,000
Funding Source
Seven-Year Tax Notes $4,591,000
Total $4,591,000
Ordinance No.22928-09-2017
Page 9 of 17
INFORMATION TECHNOLOGY SERVICES DEPARTMENT
2018
Category Project Appropriation
Capital
Outlay Business Applications $2,165,402
Technology Infrastructure $6,633,463
Vehicles $100,000
Computer Refresh—General Fund $1,262,728
Computer Refresh—All Other Funds $730,520
Total $10,892,113
Funding
Sources
Pay as You Go—General Fund $2,663,000
Fund Balance—Information Technology Systems Fund $2,598,272
Transfer From Crime Control and Prevention District for
Information Technology Projects $3,287,593
Transfer From Solid Waste Fund for Information
Technology Project 350,000
Computer Refresh Allocation—General Fund $1,262,728
Computer Refresh Allocation—All Other Funds $730,520
Total $10,892,113
Ordinance No.22928-09-2017
Page 10 of 17
MUNICIPAL AIRPORTS FUND
2018
Category Project Appro riation
Capital Outlay Airport Lighting Regulator $15,000
Garage Door for Hangar 36S $10,000
High Definition Camera Installation $20,000
Customs Office of Information Technology
Equipment $120,000
Pavement Condition Index Study $40,000
Repaint Hangars $150,000
Vehicle $25,000
Walk-Behind Pavement Cutter $22,000
Total $402,000
Funding Source
Pay as You Go—Municipal Airports Fund $402,000
Total $402,000
MUNICIPAL PARKING FUND
2018
Category Project Appro riation
Capital Outlay Equipment Replacement $35,000
Total $35,000
Funding Source
Pay as You Go—Municipal Parkin Fund $35,000
Total $35,000
PARK AND RECREATION DEPARTMENT
2018
Category Project Appropriation
Recreation Center Equipment
Capital Outlay Replacement $69,000
Asset Management System (VUEWorks) $330,100
Total $399,100
Funding Sources
Pay as You Go—General Fund $399,100
Total $399,100
Ordinance No.22928-09-2017
Page 11 of 17
STORMWATER UTILITY FUND
Category Project 2018 Appropriation
Capital Outlay Equipment $500,000
Technology $68,000
Total $568,000
Funding Sources
Pay as You Go—Stormwater Utility Fund
Total $568,000
SOLID WASTE FUND
Category Project 2018 Appropriation
Capital Outlay Vehicles and Equipment $497,000
Total $497,000
Funding Sources
Pay as You Go— Solid Waste Fund $497,000
Total $497,000
VEHICLE AND EQUIPMENT REPLACEMENT FUND
2018
Department Project Appro riation
Property Management Vehicle and Equipment Replacement $3,146,000
Total $3,146,000
Funding Source
Pay As You Go—General Fund $3,000,000
Pay As You Go - Culture and Tourism Fund $146,000
Total $3,146,000
Ordinance No.22928-09-2017
Page 12 of 17
PROPERTY MANAGEMENT DEPARTMENT
2018
Department Item Appropriation
Property Management Mineral Management Group-Cost Recovery $511,421
Total $511,420*
Funding Sources Gas Well Revenues -Aviation $163,654
Gas Well Revenues - General $158,540
Gas Well Revenues - Golf $10,228
Gas Well Revenues—Lake Worth $66,485
Gas Well Revenues—Park and Recreation $46,028
Gas Well Revenues - Water $61,371
Fort Worth Central City Component Unit $33
Lone Star Development Corporation $934
Fort Worth Housing Finance Corporation $4,147
Total $511,420
*The Mineral Management Group-Cost Recovery appropriation is contained within the Fiscal Year
2018 Operating Budget. This schedule appropriates the monies necessary to enable transfer from the
various Funding Sources(listed above)to the Property Management Operating Budget.
EQUIPMENT SERVICES FUND
2018
Department Project Appro riation
Property Management Equipment $449,000
Total $449,000
Funding Source
Pay As You Go—Fleet and Equipment Services
Fund $449,000
Total $449,000
WATER DEPARTMENT
2018
Cate ory Project Appro riation
Capital Outlay Vehicles and Equipment $6,598,720
Total $6,598,720
Funding Source
Pay as You Go—Water and Sewer Fund $6,598,720
Total $6,598,720
Ordinance No.22928-09-2017
Page 13 of 17
SECTION 3.
That for Fiscal Year 2017-2018 there shall be Community Facility Agreement (CFA) Program
appropriations for administering testing,inspection,and other costs funded by private developers and
associated with developers' private construction of public infrastructure (community facilities)
needed to support private development plans, subject to actual receipt of developer payments, as
follows:
COMMUNITY FACILITIES AGREEMENT PROGRAM
2018
Project Type Fund A ro riation
Transportation Government CFA Fund $7,000,000
Water and Sewer Water and Sewer CFA Fund $3,000,000
Total $10,000,000
Funding Sources
CFA Fees $10,000,000
Total $10,000,000
SECTION 4.
That prior appropriation ordinances approved by the City Council relate to capital programs,
capital projects,and capital outlays to be undertaken during the fiscal year beginning October 1,2017,
and ending September 30,2018, and such ordinances are hereby acknowledged.
SECTION 5.
That no department, division, officer, or employee of the City may expend, obligate, or
commit any funds in an amount that exceeds the lesser of: (i) appropriations authorized by adopted
budgets and appropriation ordinances, including any duly enacted amendments thereto, or(ii)actual
available resources. Further, that no department, division, officer, or employee of the City may
expend, obligate, or commit any monies, such as grant funds or donations, that are anticipated to be
Ordinance No.22928-09-2017
Page 14 of 17
received or any monies,such as asset forfeiture fund balance,that are anticipated to become available
for expenditure unless and until such funds have been received and appropriated.
SECTION 6.
That capital appropriations are intended to be life-of-project/life-of-program appropriations
and are considered encumbered and available until the associated project or program has been fully
completed. And that in accordance with this concept,the City Manager, is hereby authorized to take
all actions and effect all transactions necessary to rollover capital appropriations that remain unspent
at the conclusion of a fiscal year to the ensuing fiscal year so long as the associated capital program,
capital project, or capital outlay remains incomplete. And that, on completion of a specific capital
program,capital project,or capital outlay,the City Manager,is hereby authorized to return or"sweep"
any remaining unspent appropriation (i) to the overarching capital project, program, or outlay, if
applicable, to the extent such overarching project, program, or outlay remains open and incomplete
to allow such unspent appropriation to be allocated for further use on other subprojects within such
project, program, or outlay and (ii) if no overarching project, program, or outlay exists or remains
open, to the fund balance of the original funding source for future use and appropriation by the City
Council in accordance with applicable law. And that all actions taken in accordance with the authority
delegated under this Section shall be taken in accordance and compliance with all applicable laws and
ordinances.
SECTION 7.
That appropriations in the Community Facilities Agreement Program identify and allocate
monies that are anticipated to be received during the fiscal year from developers for the inspection,
materials testing, and other services to be performed by City staff in connection with community
facilities agreement projects that are funded solely by developers. In accordance with Chapter X of
Ordinance No.22928-09-2017
Page 15 of 17
the Charter of the City of Fort Worth, Texas, by adoption of this ordinance, the City Council
authorizes and delegates to the City Manager, acting directly or through a designee, authority,
following the actual receipt of such monies, to enact and make transfers and allocations of such
monies in a cumulative amount not to exceed the total amount budgeted, with such transfers and
appropriation to be made from the Non-Departmental Project of the Government Community
Facilities Agreement Fund and/or the Water & Sewer Community Facilities Agreement Fund, as
applicable, to the receiving project's center within the respective fund, provided, however, that the
City Manager, acting directly or through a designee, shall be required to report such transfers and
allocations to the City Council in periodic financial reports throughout the fiscal year.
SECTION 8.
That the legal level of control for capital appropriations shall be at the Project, Program, or
Outlay level, as applicable, for which an appropriation has been adopted, whether in this ordinance
or another ordinance duly adopted by the City Council in the past or during this fiscal year. The City
Manager,acting directly or through the Assistant City Managers,may approve the allocation of funds
to a lower level within the same Project, Program, or Outlay, as applicable,without the approval of
the City Council so long as such reallocation otherwise complies with all applicable laws and
ordinances and does not result in a net increase to the overall appropriation of the Project, Program,
or Outlay, as applicable.
SECTION 9.
That should any part,portion,section,or part of a section of this ordinance be declared invalid
or inoperative or void for any reason by a court of competent jurisdiction, such decision, opinion, or
judgment shall in no way affect the remaining parts, portions, sections, or parts of sections of this
ordinance, which provisions shall be, remain, and continue to be in full force and effect.
Ordinance No.22928-09-2017
Page 16 of 17
SECTION 10.
All rights and remedies of the City of Fort Worth,Texas,are expressly saved as to any and all
violations of the provisions of the Code of the City of Fort Worth,or any other ordinances of the City,
that have accrued at the time of the effective date of this ordinance; and,as to such accrued violations
and all pending litigation, both civil and criminal, whether pending in court or not, under such
ordinances, same shall not be affected by this ordinance,but may be prosecuted until final disposition
by the courts.
SECTION 11.
That all ordinances and appropriations for which provisions have previously been made are
hereby expressly repealed to the extent they are in conflict with the provisions of this ordinance.
SECTION 12.
That this ordinance shall take effect and be in full force and effect from and after the date of
its passage and publication, and it is so ordained.
APPROVED AS TO FORM AND LEGALITY: ATTEST:
arah J. Fullen 'der Mary J. Kaye
City Att City Secretary
Adopted: September 26,2017
Effective:&M&C /�all
Ordinance No.22928-09-2017
Page 17 of 17