HomeMy WebLinkAboutOrdinance 23304-08-2018 Ordinance No. 23304-08-2018
AN ORDINANCE REDUCING UNALLOCATED RECEIPTS AND APPROPRIATIONS IN
THE AMOUNT OF $58,450.00 IN THE WATER AND SEWER COMMERCIAL PAPER
FUND, FOR HARMON ROAD SANITARY SEWER MAIN EXTENSION FROM LAUGHLIN
ROAD TO EL CAMINO DRIVE; PROVIDING FOR A SEVERABILITY CLAUSE; MAKING
THIS ORDINANCE CUMULATIVE OF PRIOR ORDINANCES; REPEALING ALL
ORDINANCES IN CONFLICT HEREWITH;AND PROVIDING AN EFFECTIVE DATE.
BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF FORT WORTH, TEXAS:
SECTION 1.
That in addition to those amounts allocated to the various City departments for Fiscal Year 2017-2018 in the
Budget of the City Manager,there shall also be reduced unallocated receipts and appropriations in the amount
of $58,450.00 in the Water and Sewer Commercial Paper Fund, for Harmon Road sanitary sewer main
extension from Laughlin Road to EI Camino Drive.
SECTION 2.
That should any portion, section or part of a section of this ordinance be declared invalid, inoperative or void
for any reason by a court of competent jurisdiction, such decision, opinion or judgment shall in no way impair
the remaining portions, sections, or parts of sections of this ordinance, which said remaining provisions shall
be and remain in full force and effect.
SECTION 3.
That this ordinance shall be cumulative of Ordinance 22928-09-2017 and all other ordinances and
appropriations amending the same except in those instances where the provisions of this ordinance are in
direct conflict with such other ordinances and appropriations, in which instance said conflicting provisions of
said prior ordinances and appropriations are hereby expressly repealed.
SECTION 4.
This ordinance shall take effect upon adoption.
APPROVED AS TO FORM AND LEGALITY: CITY SECRETARY
r\
Douglas W Black Mary J. Kayser
Sr. Assistant City Attorney
ADOPTED AND EFFECTIVE: August 7, 2018
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City of Fort Worth, Texas
Mayor and Council Communication
COUNCIL ACTION: Approved on 8/7/2018 - Ordinance No. 23304-08-2018 & Resolution No.
4961-08-2018
DATE: Tuesday, August 7, 2018 REFERENCE NO.: **C-28778
LOG NAME: 60HARMONROADKHAFUNDING
SUBJECT:
Adopt Appropriation Ordinance in the Amount of$58,450.00 for Project Management and Material Testing
for Harmon Road Sanitary Sewer Main Extension from Laughlin Road to EI Camino Drive, Adopt
Resolution Expressing Official Intent to Reimburse Expenditures with Proceeds of Future Debt (COUNCIL
DISTRICT 7)
RECOMMENDATION:
It is recommended that the City Council:
1. Adopt the attached Resolution expressing Official Intent to Reimburse Expenditures with Proceeds of
Future Debt for the Harmon Road Sanitary Sewer Main Extension Project; and
2. Adopt the attached Appropriation Ordinance reducing unallocated appropriations and increasing
appropriations in the Water and Sewer Commercial Paper Fund in the amount of$58,450.00 from
available funds for the purpose of funding Harmon Road Sanitary Sewer Main Extension from Laughlin
Road to EI Camino Drive (City Project No. 100459).
DISCUSSION:
This Mayor and Council Communication provides funding for project management and material testing for
Harmon Road Sanitary Sewer Main Extension from Laughlin Road to EI Camino Drive. In addition,
available funding in the amount of$44,450.00 will be used for an Engineering Agreement with Kimley-
Horn and Associates, to prepare plans and specifications for Harmon Road Sanitary Sewer Main
Extension from Laughlin Road to EI Camino Drive. The project provides for an approximate 1,600 linear
feet 8-inch sanitary sewer extension within the identified limits to serve the existing Ratliff Addition and will
be included in the Transportation and Public Works Department's Harmon Road (US 81/287 to Golden
Triangle) Phase 1 construction project.
In addition to the contract amount, $14,000.00 is required for project management and material
testing. This project will have no impact on the Water Department's operating budget.
This project is anticipated to be included in a future revenue bond issue for the Water and Sewer
Fund. Available cash within the Water and Sewer portfolio and the City's portfolio along with the
appropriation authority authorized under the Callable Commercial Paper Program (CP) will be used to
provide interim financing for this project until debt is issued. To the extent resources other than the Water
and Sewer portfolio are used to provide interim financing, the Water and Sewer Fund will be charged
interest that is equivalent to the overall rate of return being earned by the City portfolio (currently
approximately one-percent annually). Should the City's portfolio not support the liquidity needed to
provide an interim short-term financing source, another funding source will be required, which could mean
issuance of securities under the CP Program or earlier issuance of Water and Sewer revenue bonds than
Logname: 60HARMONROADKHAFLJNDING Page I of 3
is currently planned. Once debt associated with this project is sold, bond proceeds will be used to
reimburse the Water and Sewer portfolio and the City's portfolio in accordance with the attached
Reimbursement Resolution.
The City Council adopted the Water Department's Fiscal Year 2018-2022 Five Year Capital Improvement
Plan on September 26, 2017. This City Council adopted plan includes this specific project, with funding
identified through the CP program to be reimbursed with future revenue bonds. In accordance with the
provisions of the Financial Management Policy Statement, Staff anticipates presenting revenue-supported
debt issuances to the City Council for consideration within the next three years. This debt must be issued
within approximately three years to provide reimbursement for these expenses. If that does not occur, the
costs will no longer be reimbursable by issuing tax-exempt debt and the funding source will have to be
made whole through budgetary methods. Adoption of this resolution does not obligate the City to sell
bonds, but preserves the ability to reimburse the City from tax-exempt bond proceeds.
The project is located in COUNCIL DISTRICT 7.
This M&C does not request approval of a contract with a business entity.
FISCAL INFORMATION / CERTIFICATION:
The Director of Finance certifies that upon approval of the above recommendations and adoption of the
attached appropriation ordinance, funds will be available in Water& Sewer Commercial Paper Fund for
the Harmon Road Project. The Water and Sewer Commercial Paper Fund includes authority of
$150,000,000.00 for the purpose of providing interim funding for Water and Sewer Capital Projects. After
this transfer, the balance will be $134,113,485.00 for future capital projects. Funding for the Harmon
Road Project, funding is as depicted below:
FUND Existing Additional Project Total*
Appropriations Appropriations
Developer Contribution Fund $12,900,000.00 $0.00 F$12,900,000.00
30104
2018 Bond Program Fund
34018 $18,000,000.00 $0.00 $18,000,000.00
Water & Sewer Commercial $0.00 $58,450.00 $58,450.00
Paper Fund 56016
Project Total $30,900,000.00 $58,450.00 [$30,958,450.00
* Numbers rounded for presentation purposes
FUND IDENTIFIERS (FIDs):
TO
Fund Department ccoun Project Program ctivity Budget Reference # moun
ID ID Year Chartfield 2
Logname:'60HARMONROADKHAFUNDING Page 2 of 3
FROM
Fund Department ccoun Project Program ctivity Budget Reference # moun
tl
ID ID Year Chartfield 2
CERTIFICATIONS:
Submitted for City Manager's Office by: Jay Chapa (5804)
Orininatina Department Head: Chris Harder (5020)
Additional Information Contact: John Kasavich (8480)
Logname: 60HARMONROADKHAFL LADING Page 3 of 3