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2019-2023 Capital Improvement Program
Review for Approval
December 4, 2018
Reviewed by Council
September 12, 2018
Reviewed by Planning Commission
October 22, 2018
Mayor
Shep Harris
Council
Joanie Clausen, Larry Fonnest, Gillian Rosenquist, Steve Schmidgall
Management Team
Tim Cruikshank City Manager
Rick Birno Director of Parks and Recreation
John Crelly Fire Chief
Maria Cisneros City Attorney
Marc Nevinski Physical Development Director
Kirsten Santelices Human Resources Director
Jason Sturgis Police Chief
Sue Virnig Director of Finance
Cheryl Weiler Communications Manager
CITY OF GOLDEN VALLEY, MINNESOTA
2019-2023 CAPITAL IMPROVEMENT PROGRAM
TABLE OF CONTENTS
Introduction
Financing
Exhibit I - General Fund Projects
Exhibit II - Water& Sewer Utility Fund Financing
Exhibit III - Brookview Golf Course Fund Financing
Exhibit IV - Equipment Replacement Fund Financing
Exhibit V - Building Funds—Buildings, Cablecasting
Exhibit VI - Park Improvement Fund Financing
Exhibit VII - Storm Water Utility Fund Financing
Exhibit VIII - City Municipal State Aid Street Fund Financing
Exhibit IX - Capital Improvement Fund Financing
Exhibit X - Street Reconstruction Fund Financing
Exhibit XI - General Obligation Bonded Debt Totals
Exhibit XII - Expenditures and Sources Summary by Year
Vehicles & Equipment (V&E)
Parks (P)
Brookview Golf(GC)
Buildings (B)
Buildings
Cablecasting (C)
Storm Water(SS)
Water& Sanitary Sewer Utility (W&SS)
Streets (S)
Appendix
Special Assessment Policy
Fleet Operation, Maintenance, and Replacement Policy
Projects By Department
Projects By Year
September 12, 2018
The Honorable Shepard Harris, Mayor
Members of the City Council
Dear Mayor Harris and City Council Members:
The Proposed Capital Improvement Program (CIP) for years FY 2019-2023 is presented with
this transmittal.
The Capital Improvement Program is a five-year fiscal planning instrument that is used to
identify needed capital projects and to delineate the financing and timing of the associated
projects. Generally these projects exceed $5,000 in cost and require long-term financing. An
annual capital improvement budget, encompassing the projects outlined for the first two years
of the CIP, is presented to the Council with the biennial budget.
The Capital Improvement Program also identifies bond issues necessary to fund certain
improvements. Since 2018, the city has not issued certificates of indebtedness to finance
vehicles and equipment. Each project in the program is brought forth in the upcoming year for
discussion and approval at a council meeting.
The adoption of a CIP is a requirement for each city in the metropolitan area. As part of the
Metropolitan Land Planning Act passed by the State legislature in 1976, each city is required to
adopt a Comprehensive Plan. In 2009, the City's Comprehensive Plan was approved and
accomplished:
• Updated zoning and subdivision codes;
• Housing implementation programs;
• Capital Improvement Program related to transportation, sewers, parks and open space
facilities
Starting this year, staff has been working on an update to the current comprehensive plan and
seek approval by the end of 2018. Many citizens have had input through various contacts.
Because of its relationship to the Comprehensive Plan, the CIP is reviewed by the Planning
Commission.
The CIP should be viewed as a vehicle to accomplish the goals outlined in the City's
Comprehensive Plan. The goals in the plan cover housing, sanitary and storm sewers, public
facilities, transportation and parks and open spaces. An orderly expenditure of funds on capital
items is a means of accomplishing the Plan.
A complete CIP is an indispensable tool for the City Council and the City staff as they manage
and control the timing and financing of capital improvements needed to maintain the current
high level of City services. A CIP is also used by the bond rating agencies to not only evaluate
the current and future financial condition of a city, but also to evaluate the quality of a city's
management. Adoption of this comprehensive CIP for 2019-2023 will enhance the City's ability
to maintain its current Aa1 bond rating.
Finally, a CIP is a valuable document for commission members and citizens to use to gain an
understanding of how their City works and the means to accomplish its overall plan.
9
The process for completing the 2019-2023 CIP was much the same as the process for the
2019-2020 Budget. Project requests were submitted by all the divisions and reviewed by the
Management Team and appropriate supervisors to establish the feasibility and priority of the
projects and match with available financing.
The CIP is a planning document or guide for the future capital improvements in the City which in
no way constitutes formal approval of the various projects. All of the projects will be formally
approved through the City's purchasing or public improvement process.
Each section lists the upcoming projects, project overview, and an estimated cost of the project.
The Financing section includes a narrative analysis of financing sources involved in the program
along with exhibits analyzing some of these sources, with special emphasis on the City's Capital
Project Funds. Also included is an exhibit which provides a current list of bonded debt to finance
the existing programs and expenditures and sources by year. The sections are:
Financing
Vehicles and Equipment
Parks
Golf Course
Buildings
Cablecasting
Storm Sewers
Water& Sanitary Sewer Utility
Streets
I look forward to completing these important projects in the coming fiscal year. As we move
forward with this FY 2019-2023, 1 hope that this CIP meets your approval and provides a useful
tool for the Council as it makes decisions regarding these projects.
Timothy Cruikshank
City Manager
CITY OF GOLDEN VALLEY, MINNESOTA
2019- 2023 CAPITAL IMPROVEMENT PROGRAM
FINANCING
The 2019-2023 Capital Improvement Program (CIP), which is detailed on the following pages, is financed
from a variety of sources. The purpose of this section is to describe and analyze these sources, in as much
detail as possible, so that the users of this CIP can be certain that the program as outlined can be financed
from available financing sources.
General Fund
The General Fund is the main operating fund of the City, and as such contains most of the City's operating
divisions. The main revenue source for this fund is property taxes revenues. Large, non-recurring capital
outlay expenditures are usually made from one of the City's capital project funds. Level annual transfers from
the General Fund to these funds help to even out the annual budgeting process. The General Fund fund
balance as of December 31, 2017 was $12,403,849. Exhibit I lists the General Fund transfers to Funds for
projects in the CIP.
Water& Sewer Utility Fund
The Water& Sewer Utility Fund is an enterprise fund, which is involved in the operation and renewal &
replacement of the City's water and sanitary sewer systems. The main sources of revenue for this fund are
the user charges to those residential and commercial/industrial customers connected to the systems and
franchise fees to help with infrastructure improvements. Per City policy, new lateral water and sewer system
projects are assessed at 100% of cost unless there are unusual circumstances involved, in which case the
City would pay for the difference from the reserve account. Since the City is essentially fully developed, there
should be fewer and fewer of these projects in future years. These lateral water and sewer system projects
are usually requested by property owners, so it is very hard to project when they might occur and the total
cost.
The trunk water system is owned and operated under a joint powers agreement with the cities of Golden
Valley, New Hope and Crystal. This organization is known as the Joint Water Commission. The operating
and capital improvement expenditures of the trunk water system are shared by the three cities. In 2014, an
Emergency Water Supply was approved. Financing was through an interfund loan with an additional fee on
water consumption. In 2015, another interfund loan was used to finance the break on the water main that
carries water from Minneapolis to Crystal through Robbinsdale.
The trunk sanitary sewer system is owned by Metropolitan Council Environmental Services to which the City
makes monthly payments for the operation of and the capital improvements to the trunk system.
The fund balance or net position that is unrestricted at 12/31/17 was $7,601,050. The financial position of
this fund is extremely important because the City is facing large expenditures in future years for the renewal
and replacement of aging water and sewer lines. Exhibit II is a list of projects in the program financed by the
Water& Sewer Utility Fund.
Brookview Golf Course Fund
The Brookview Golf Course Fund is an enterprise fund, which is involved in the operation and improvement
of the City's golf course and newly developed Lawn Bowling Course in 2018. The main revenue source is
green fees paid by the golfers. The golf course consists of an 18 hole regulation course, a 9 hole par 3
course and a driving range. Other revenue sources come from the lawn bowling course, pro shop and Three-
One-Six Restaurant. Many of the improvements to the course are part of regular course maintenance, but
where specific projects can be defined and costs estimated, they are included in the program. Major pieces
of equipment used by the golf course are also included in the program. In December 2017, Brookview
opened its new facility which included the restaurant, golf pro shop and par 3 building. The net position in this
fund as of December 31, 2017 was $930,866. This was slightly lower than the previous year due to the
renovation of the building. Exhibit III is a list of the major course improvements and equipment included in the
program and the projected working capital balances of this fund.
Storm Sewer Utility Fund
The Storm Sewer Utility Fund is an enterprise fund, which is involved in the maintenance and improvement
of the City's storm water system including storm sewers and holding ponds. The fund is financed from
charges to all the property in the City based on the level of estimated storm water runoff from a given class
of property. Projects funded are those related to the Pavement Management Program, the City's adopted
Storm Water Management Plan and projects constructed in conjunction with the other cities that are
members of the Bassett Creek Water Management Commission. Exhibit VII is an analysis of the projected
revenue, expenditures and cash balances in this fund. In 2016, bonds were sold and will be paid back with
tax increment received from The Liberty development. The net position in this fund as of December 31, 2017
was $8,073,057.
Equipment Replacement Fund
This capital project fund is used to finance major vehicle and equipment purchases for General Fund
divisions. In 2018, the main source of revenue is a transfer from the General Fund. In the past, certificates of
Indebtedness were sold and will remain outstanding until 2021. Exhibit IV is an analysis of the projected
revenue, expenditures and cash balances in this fund. Existing debt service payments on the certificates of
indebtedness issued are detailed in Exhibit XI.
Building Fund
This capital project fund is used to finance major improvements to buildings used by the General Fund
divisions. Wold Architects completed a city facility analysis in 2006. This plan has been incorporated into the
Building Fund and the 2019 General Fund Buildings Budget as funding permits. A major source of financing
in this fund is transfers from the General Fund. Exhibit V is an analysis of the projected revenue,
expenditures and cash balances of this fund.
Cablecasting Fund
This capital project fund was separately designated in 2014 to account for the franchise fees collected for
cablecasting. These monies are designated for any future improvements for the council chambers to provide
cablecasting of public meetings. CCX Media Television/Northwest Community Television provides service
and programing for the city.
Park Improvement Fund
This capital project fund is used to finance park and open space improvements. One of the revenue sources
in this fund is an annual transfer from the General Fund along with park dedication fees. Exhibit VI is an
analysis of the projected revenue, expenditures and cash balances of this fund.
Municipal State Aid (MSA) Fund
This fund is used to account for monies held in account both by the City and the State of Minnesota for use
in the maintenance and improvement of municipal state aid streets located in the City. Streets are
designated as municipal state aid based on criteria established by the State. Each city is allowed a maximum
number of miles of these designated streets. Every improvement project involving these streets must first be
approved by the State. If approved, a certain portion of the projected cost is advanced to the City from its
MSA account at the State, with the balance being paid upon completion. The monies that finance the City's
MSA account at the State come from the State gasoline tax.
The City's MSA account at the State is essentially the City's money, and the amount in the account at any
one time is included as an asset of this fund. The State also participates directly in various street and storm
sewer improvement projects with the City, when the particular project benefits or involves State highways
and rights of way. On the worksheets for street and storm sewer projects, the designation under the
financing analysis of MSA refers to the City's MSA account at the State, and State of Minnesota refers to
direct State participation. Exhibit VIII is an analysis of the projected revenue, expenditures and cash
balances of the Municipal State Aid Fund.
Capital Improvement Fund
Revenues for this fund will primarily come from a portion of the franchise fees that are not designated for
payment of debt services from the Douglas Drive project. Monies in this fund finance infrastructure
improvements. Exhibit IX is an analysis of the projected revenue, expenditures and cash balances of this
fund.
Street Reconstruction Capital Improvement Fund
Revenues for this fund will primarily come from a bond sale that will finance the yearly pavement
management program (PMP) planned through 2023. A general fund transfer will pay for the overlays that are
planned to maintain the streets that have been reconstructed. Exhibit X is an analysis of the projected
revenue, expenditures and cash balances of this fund.
General Obligation Bonds
To finance certain projects the City must borrow funds externally by issuing general obligation municipal
bonds. The method(s) of financing the repayment of these bonds differentiates the various types of bonds
used in the program.
Tax Increment Bonds
The proceeds of these bond issues are used to pay for public improvements in specially designated tax
increment districts. The debt service on the bonds is repaid from property taxes on the increased value in
the district over a base year's value. The property taxes on the increased value (increment) are not
distributed to the various taxing jurisdictions, but are retained by the City to pay off the debt service on
the bonds. The increased value in the district comes from the increased commercial/industrial/residential
development or made possible by the public improvements financed by the bonds. The City has four tax
increment districts. Two districts have used bonds for improvements: Highway 55 West and
Winnetka/Medicine Lake Road.
Special Assessment Bonds
Per State Statute, if at least 20% of the bond principal for a public improvement is financed by special
assessments against benefited properties, the balance can be financed from tax levies against all the
property in the City without the need of a bond referendum. On the project worksheets, if special
assessment bond financing is involved, we have indicated the amount of bonds to be repaid from special
assessments and tax levies.
The pavement management program uses special assessment bonds for financing along with
assessments from benefiting properties. These street projects will extend over a longer period than is
included in the 2019-2023 CIP and will be financed by annual special assessment bond issues. On the
project worksheet for the pavement management program, the method of financing is indicated as just
Special Assessment Bonds.
Certificates of Indebtedness
Certificates of Indebtedness were used to help finance capital equipment that is outlined in the
Equipment Replacement Fund. These are short-term general obligation debt instruments issued for a
term of four years and repaid from annual tax levies. Current legislation has allowed cities to extend the
term of these certificates up to ten years if the life of the asset is that in length. We may extend the term
for those certificates that will finance fire pumper replacements. This financing has been replaced with a
general fund transfer.
Municipal State Aid (MSA) Revenue Bonds
MSA bonds were sold in 2007 for the first time for the City of Golden Valley. The project was Golden
Valley Road and Bridge replacement. The debt service payments will be repaid over twenty years with
State Aid Allotments used to improve and maintain Municipal State Aid roads.
Tax Abatement Bonds
These bonds will be repaid from the abated City taxes on the General Mills' headquarters expansion,
which has been completed. The abatement agreement was signed between the City and General Mills in
2001 and the bonds were sold in 2004. The City taxes generated by the expansion will not be used to
finance general City operations, but will be used to pay the debt service on the bonds. The term of the
abatement agreement is fifteen (15)years and will end in 2019.
Exhibit XI is an analysis of the current general obligation bonded debt of the City of Golden Valley.
CITY OF GOLDEN VALLEY
2019 -2023 CIP
GENERAL FUND (FUND 1000)
EXHIBIT I
EXPENDITURES
PROJECT (1) 2019 2020 2021 2022 2023
Transfer to Building Fund $400,000 $450,000 $500,000 $500,000 $500,000
Transfer to Equipment Fund 100,000 470,680 1,050,000 1,050,000 1,050,000
Transfer to Equipment Debt Service Fund 882,580 561,900
Transfer to Park Improvement Fund 325,000 350,000 375,000 400,000 400,000
Transfer to Street Reconstruction 500,000 600,000 700,000 800,000 900,000
Overlays
Totals $2,207,580 $2,432,580 $2,625,000 $2,750,000 $2,850,000
Notes•
(1) Each transfer will be outlined in the respective funds.
CITY OF GOLDEN VALLEY
2019-2023 CIP
WATER AND SEWER UTILITY FUND (FUND 7120)
EXHIBIT II
2019 2020 2021 2022 2023
Net Position @ 1/1 $7,328,150 $7,008,160 $7,355,135 $7,541,976 $7,443,578
Revenue•
Franchise Fees 1,500,000 1,500,000 1,500,000 1,500,000 1,500,000
Grant 300,000
Operating Revenue 9,580,805 9,607,795 9,799,951 9,995,950 10,195,869
Total Revenue for Operations 11,080,805 11,107,795 11,599,951 11,495,950 11,695,869
Total Available 18,408,955 18,115,955 18,955,086 19,037,926 19,139,447
Expenditures:
Operating Expenditures:
Administration (570,675) , (575,835) (590,231) (604,987) (620,111)
Sewer Maintenance (3,340,720) (3,434,690) (3,537,731) (3,643,863) (3,753,178)
Water Maintenance (4,799,400) (4,985,295) (5,035,148) (5,085,499) (5,136,354)
Sub-Total Operations (8,710,795) (8,995,820) (9,163,110) (9,334,349) (9,509,644)
Capital Outlay:
2019 (2,690,000)
2020 (1,765,000)
2021 (2,250,000)
2022 (2,260,000)
2023 (2,050,000)
Sub-Total Capital Expenses (2,690,000) (1,765,000) (2,250,000) (2,260,000) (2,050,000)
Total Expenses (11,400,795) (10,760,820) (11,413,110) (11,594,349) (11,559,644)
Net Position @ 12/31 $7,008,160 $7,355,135 $7,541,976 $7,443,578 $7,579,802
CITY OF GOLDEN VALLEY
2019-2023 CIP
BROOKVIEW GOLF COURSE FUND (FUND 7150)
EXHIBIT III
2019 2020 2021 2022 2023
Net Position @ 1/1 $487,814 $689,064 $888,859 $1,030,624 $1,213,741
Revenue•
Total Course Revenue 3,382,000 3,455,000 3,524,100 3,594,582 3,666,474
Total Available 3,869,814 4,144,064 4,412,959 4,625,206 4,880,215
Expenses:
Operating Expenses: (3,078,075) (3,149,205) (3,220,335) (3,291,465) (3,362,595)
Capital Outlay
2019 (102,675)
2020 (106,000)
2021 (162,000)
2022 (120,000)
2023 (140,000)
Total Expenses (3,180,750) (3,255,205) (3,382,335) (3,411,465) (3,502,595)
Net Position @ 12/31 $689,064 $888,859 $1,030,624 $1,213,741 $1,377,620
CITY OF GOLDEN VALLEY
2019-2023 CIP
EQUIPMENT REPLACEMENT FUND(FUND 5700)
EXHIBIT IV
2019 2020 2021 2022 2023
Fund Balance @ 1/1 2,936,299 2,366,267 1,917,040 2,157,140 2,414,641
Revenue:
Sale of Assets(Auction proceeds): 35,000 35,000 35,000 35,000 35,000
General Fund Transfer 100,000 470,680 1,050,000 1,050,000 1,050,000
Interest Earnings(Beginning Balance) 23,538 23,663 19,170 21,571 24,146
Total Available 3,094,837 2,895,610 3,021,210 3,263,711 3,523,788
Expenditures:
Capital Outlay
2019 (728,570)
2020 (978,570)
2021 (864,070)
2022 (849,070)
2023 (1,213,070)
Total Expenditures (728,570) (978,570) (864,070) (849,070) (1,213,070)
Fund Balance @12/31 2,366,267 1,917,040 2,157,140 2,414,641 2,310,718
CITY OF GOLDEN VALLEY
2019-2023 CIP
BUILDING FUND(FUND 5200)
EXHIBIT V
2019 2020 2021 2022 2023
Fund Balance @ 1/1 $1,033,825 $806,579 $652,628 $767,523 $763,279
Revenue:
Transfer From General Fund 400,000 450,000 500,000 500,000 500,000
Interest Earnings 7,754 6,049 4,895 5,756 5,725
Total Available 1,441,579 1,262,628 1,157,523 1,273,279 1,269,004
Expenditures:
2019 (635,000)
2020 (610,000)
2021 (390,000)
2022 (510,000)
2023 (110,000)
Total Expenditures (635,000) (610,000) (390,000) (510,000) (110,000)
Fund Balance @ 12/31 $806,579 $652,628 $767,523 $763,279 $1,159,004
CITY OF GOLDEN VALLEY
2019-2023 CIP
CABLECASTING FUND(FUND 5500)
EXHIBIT V
2019 2020 2021 2022 2023
Fund Balance @ 1/1 $278,230 $113,621 $148,189 $182,930 $217,845
Revenue:
Franchise Fees 34,000 34,000 34,000 34,000 34,000
Interest Earnings 1,391 568 741 915 1,089
Total Available 313,621 148,189 182,930 217,845 252,934
Expenditures:
2019 (200,000)
2020 0
2021 0
2022 0
2023 0
Total Expenditures (200,000) 0 0 0 0
Fund Balance @ 12/31 $113,621 $148,189 $182,930 $217,845 $252,934
CITY OF GOLDEN VALLEY
2019-2023 CIP
PARK IMPROVEMENT FUND (FUND 5600)
EXHIBIT VI
2019 2020 2021 2022 2023
Fund Balance @ 1/1 $377,615 $367,447 $362,203 $406,919 $451,971
Revenue:
Transfer From General Fund 325,000 350,000 375,000 400,000 400,000
Little League Payment 20,000
Park Dedication Fee
ISD#281 (SEA School) 12,500
Golden Valley Youth Associations 12,500
Interest Earnings 2,832 2,756 2,717 3,052 3,390
Total Available 725,447 720,203 764,919 809,971 855,361
Expenditures:
2019 (358,000)
2020 (358,000)
2021 (358,000)
2022 (358,000)
2023 (358,000)
Total Expenditures (358,000) (358,000) (358,000) (358,000) (358,000)
Fund Balance @ 12/31 $367,447 $362,203 $406,919 $451,971 $497,361
CITY OF GOLDEN VALLEY
2019-2023 CIP
STORM WATER UTILITY FUND (FUND 7300)
EXHIBIT VII
2019 2020 2021 2022 2023
Net Position @ 1/1 $4,984,410 $5,160,555 $5,232,211 $5,086,221 $4,522,916
Revenue:
Storm Sewer Charges 2,475,000 2,575,000 2,575,000 2,575,000 2,575,000
Bassett Creek Watershed Management Commission 1,031,500 500,000 500,000 1,300,000
Hennepin County 500,000 170,000
State of MN (Bridge Bonds/DNR) 2,300,000 1,000,000 1,780,000
Other-BWSR 68,500
Interfund Loan-Water/Sewer 198,830 194,360 189,885 185,415 180,944
Interfund Loan-Liberty Crossing 63,500 160,000 160,000 165,000 170,000
Sale of Assets
Interest Earnings 50,000 51,606 52,322 50,862 45,229
Total Revenue 6,687,330 3,650,966 3,977,207 3,476,277 6,051,173
Total Available 11,671,740 8,811,521 9,209,418 8,562,498 10,574,089
Expenditures:
Operating Expenditures:
Storm Sewer Maintenance (548,815) (555,995) (572,675) (589,855) (607,551)
Street Cleaning (130,815) (135,190) (139,246) (143,423) (147,726)
Environmental Services (402,605) (418,375) (430,926) (443,854) (457,170)
Debt Service-Revenue Bonds(2037) (63,950) (182,750) (180,350) (182,450) (182,450)
Sub-Total of Operations (1,146,185) (1,292,310) (1,323,197) (1,359,582) (1,394,896)
Capital Outlay:
2019 (5,365,000)
2020 (2,287,000)
2021 (2,800,000)
2022 (2,680,000)
2023 (5,082,000)
Sub-Total of Capital Expenditures (5,365,000) (2,287,000) (2,800,000) (2,680,000) (5,082,000)
Total Expenditures (6,511,185) (3,579,310) (4,123,197) (4,039,582) (6,476,896)
Net Position @ 12/31 $5,160,555 $5,232,211 $5,086,221 $4,522,916 $4,097,193
CITY OF GOLDEN VALLEY
2019-2023 CIP
CITY MUNICIPAL STATE AID CAPITAL PROJECT FUND(FUND 5100)
EXHIBIT Vlll
2019 2020 2021 2022 2023
Fund Balance @ 1/1 2,716,464 1,718,086 1,936,261 2,212,321 2,256,912
Revenue:
State Aid Bond Payments 130,000 135,000 145,000 150,000 150,000
Annual Maintenance Allotment From State 339,014 339,014 339,014 339,014 339,014
Special Assessments-State-Aid Bonds;
Golden Hills/Xenia Avenue 70,000 70,000 70,000 70,000 70,000
Harold Avenue Reconstruction 1,800
Hwy 55 West Special Assessments 31,440 31,440 31,440 31,440 31,440
TIF reimbursement(Hwy 55 West) 63,500 182,310 179,000 182,450 179,950
Zenith State Aid 1,425,000 75,000
Plymouth State Aid 85,000
Zane/Lindsay State Aid 2,280,000 120,000
Interest Earnings (%of Beg. Bal.) 20,373 12,886 14,522 16,592 16,927
Total Available 3,457,591 2,488,736 2,715,237 6,706,817 3,239,243
Expenditures:
Maintenance 125,000 125,000 125,000 125,000 125,000
MSA Debt Service(ends 2027) 201,005 200,165 198,916 197,455 189,000
Hwy 55 Bond Payments 63,500 182,310 179,000 182,450 179,950
Flashing Arrows 45,000 45,000
Golden Hills/Xenia Avenue 1,350,000
Zane/Lindsay Reconstruction 2,400,000
Zenith Avenue Reconstruction 1,500,000
Total Expenditures 1,739,505 552,475 502,916 4,449,905 493,950
Fund Balance @ 12/31 $1,718,086 $1,936,261 $2,212,321 $2,256,912 $2,745,293
CITY OF GOLDEN VALLEY
2019-2023 CIP
CAPITAL IMPROVEMENT FUND (FUND 6100)
EXHIBIT IX
2019 2020 2021 2022 2023
Fund Balance @ 1/1 $712,699 $245,486 $193,921 $237,160 $276,152
Revenue:
Charge to Street Reconstruction Projects to
Finance CAD&Pavement Management Systems 20,000 20,000 20,000 20,000 20,000
Franchise Fees(Centerpoint/Xcel) 200,000 200,000 200,000 200,000 200,000
Interfund Loan from Utility Fund(ends 2025) 212,760 208,080 203,400 198,720 194,040
City of Crystal 100,000
Interest Earnings (1%of Beg. Bal.) 7,127 2,455 1,939 2,372 2,762
Total Available 1,252,586 676,021 619,260 658,252 692,953
Expenditures:
Streetscape and City Hall Complex Renovation 100,000 100,000 100,000 100,000 100,000
Sidewalk,Trails and Bike Facility Renovaton 325,000 150,000 150,000 150,000 150,000
AutoCad Application 12,100 12,100 12,100 12,100 12,100
Cartegraph Street Maintenance Software 20,000 20,000 20,000 20,000
Railroad Crossing Repairs 250,000
_ TH 100 Pedestrian Bridge 200,000
Pavement Surface Treatments 100,000
Retaining Wall Replacement 100,000 100,000 100,000 100,000 100,000
Total Expenditures 1,007,100 482,100 382,100 382,100 362,100
Fund Balance @ 12/31 $245,486 $193,921 $237,160 $276,152 $330,853
CITY OF GOLDEN VALLEY
2019-2023 CIP
STREET RECONSTRUCTION CAPITAL IMPROVEMENT FUND (FUND 5400)
EXHIBIT X
2019 2020 2021 2022 2023
Fund Balance @ 1/1 $39,286 $39,482 $39,680 $39,878 $40,078
Revenue•
Bond Proceeds 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000
Transfers from General Fund 500,000 500,000 500,000 500,000 500,000
Interest Earnings (1%of Beg. Bal.) 196 197 198 199 200
Total Available 4,409,482 3,889,680 3,939,878 3,940,078 3,940,278
Expenditures:
Pavement Management Program ( 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000
Street Overlays 500,000 500,000 500,000 500,000 500,000
Total Expenditures 4,370,000 3,850,000 3,900,000 3,900,000 3,900,000
Fund Balance @ 12/31 $39,482 $39,680 $39,878 $40,078 $40,278
General Obligation Bonded Debt Totals
Balance at
12/31/2018
Special Assessment Bonds (PMP)
82732 3035 GO Improvement Bonds Series 2003C (ends 2019) 2011 C 665,000.00
B2799 3037 GO Improvement Bonds Series 2005C (ends 2025) 2012C 5,285,000.00
82892 3038 GO Improvement Bonds Series 2006B (ends 2026) 2013B 6,475,000.00
82221 3039 GO Improvement Bonds Series 2007C (ends 2027) 2014C 3,805,000.00
B2289 3040 GO Improvement Bonds Series 2008A(ends 2028) 2015C 6,600,000.00
B2536 3041 GO Improvement Bonds Series 2009A(ends 2029) 2017A* 9,835,000.00
B2623 3042 GO Improvement Bonds Series 2010A(ends 2030) 1,535,000.00
B2730 3043 GO Improvement Bonds Series 2011A(ends 2031) 1,265,000.00
82798 3044 GO Improvement Bonds Series 2012A(ends 2032) 1,115,000.00
B2891 3045 GO Improvement Bonds Series 2013A (ends 2033) 1,150,000.00
B2956 3046 GO Improvement Bonds Series 2014A(ends 2035) 2,235,000.00
B3040 3047 GO Improvement Bonds Series 2015A(ends 2036) 1,530,000.00
B3116 3048 GO Improvement Bonds Series 2016A(ends 2037) 1,150,000.00
B3196 3049 GO Improvement Bonds Series 2017A(ends 2038) 2,580,000.00
83249 3054 GO Improvement Bonds Series 2018A (ends 2038) 2,950,000.00
2017 A- Crossover in 2019 -
48,175,000.00
Equipment Certificates
83042 3010 GO Equipment Cert Bonds-Series 20158 270,000.00
B3115 3010 GO Equipment Cert Bonds-Series 2016B 535,000.00
B3196 3010 GO Equipment Cert Bonds-Series 2017A 815,000.00
1,620,000.00
Tax Increment Bonds
B3197 3053 GO Tax Increment Bonds of 2017B 1,170,000.00
Street Reconstruction Bonds
B3114 3052 Street Reconstruction Bonds Series 2016 C(Douglas) 5,405,000.00
Housing and Redevelopment Lease Revenue Bonds
3051 Brookview Lease Revenue Bonds 16,935,000.00
3036 Tax Abatement Bonds
Tax Abatement Bonds of 2004B 330,000.00
State Aid Bonds
5100 State Aid Bonds of 2007A 1,395,000.00
GO Revenue Bonds
7300 Utility Revenue Bonds of 2016D 2,580,000.00
Total Bonds Outstanding 77,610,000.00
City of Golden Valley, Minnesota
Capital Plan
2019 thru 2023
EXPENDITURES AND SOURCES SUMMARY
Department 2019 2020 2021 2022 2023 Total
Buildings 635,000 610,000 390,000 510,000 110,000 2,255,000
Cablecasting Improvements 200,000 200,000
Golf Course 102,675 106,000 162,000 120,000 140,000 630,675
Parks 358,000 358,000 358,000 358,000 358,000 1,790,000
Storm Water 5,365,000 2,287,000 2,800,000 2,680,000 5,082,000 18,214,000
Streets 7,116,605 4,884,575 4,785,915 8,732,005 4,756,050 30,275,150
Vehicles and Equipment 728,570 978,570 864,070 849,070 1,213,070 4,633,350
Water&Sewer Systems 2,690,000 1,765,000 2,250,000 2,260,000 2,050,000 11,015,000
EXPENDITURE TOTAL 17,195,850 10,989,145 11,609,985 15,509,075 13,709,120 69,013,175
Source 2019 2020 2021 2022 2023 Total
Bassett Creek Watershed Mgmt Comm 1,100,000 500,000 500,000 1,300,000 3,400,000
Brookview Golf Course Fund 102,675 106,000 162,000 120,000 140,000 630,675
Building Fund(5200) 635,000 610,000 390,000 510,000 110,000 2,255,000
Cablecasting Improvements 200,000 200,000
Capital Improvement Fund(6100) 907,100 482,100 382,100 382,100 362,100 2,515,500
City of Crystal 100,000 100,000
Equipment Replacement Fund 728,570 978,570 864,070 849,070 1,113,070 4,533,350
Golden Valley Youth Associations 12,500 12,500
Hennepin County 500,000 170,000 670,000
Hennepin County Environment Response Fund 300,000 300,000
ISD#281 12,500 12,500
MN DNR 2,300,000 1,000,000 1,780,000 5,080,000
Municipal State Aid(MSA-5100) 1,094,005 370,165 323,915 4,267,455 314,000 6,369,540
Park Improvement Fund(5600) 358,000 358,000 333,000 358,000 358,000 1,765,000
Special Assessment Bonds 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Special Assessments 582,000 582,000
Stone Water Utility Fund(7300) 1,465,000 1,617,000 1,800,000 2,180,000 2,002,000 9,064,000
Street Improvement Fund 500,000 500,000 500,000 500,000 500,000 2,500,000
Tax Increment 63,500 182,310 179,900 182,450 179,950 788,110
Vehicle Maintenance Fund 100,000 100,000
Water&Sewer Utility-Reserve 100,000 100,000 100,000 300,000
Water&Sewer Utility Fund 2,690,000 1,765,000 2,150,000 1,860,000 1,950,000 10,415,000
SOURCE TOTAL 17,195,850 10,989,145 11,609,985 15,509,075 13,709,120 69,013,175
city 0
golden
alley
Capital Improvement Program 2019-2023
Vehicles and Equipment Replacement Section
This section includes all capital equipment and vehicles that help employees have the tools to fulfill
their job requirements. The Vehicle Maintenance division maintains all equipment and vehicles except
for the golf course. The City's Information Technology Coordinator maintains the computers, printers
and phone system. Each year each piece of equipment is reviewed before replacement. This
schedule allows the City to finance upcoming purchases for the next five years.
Financing for this fund comes from annual transfers from the General Fund.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
-- --
Vehicles and Equipment
Marked Squad Cars(Police) V&E-001 80,000 80,000 120,000 120,000 120,000 520,000
Computers and Printers(Finance) V&E-002 95,000 95,000 95,000 95,000 95,000 475,000
Chipper(Street) V&E-006 35,000 35,000
Pickup Truck(Engineering) V&E-008 35,000 35,000
Passenger Vehicle(Fire) V&E-011 40,000 40,000
Portable Computers(Police) V&E-020 50,000 50,000
Unmarked Police Vehicle(Police) V&E-024 40,000 40,000
Pickup Truck(Park) V&E-026 35,000 35,000
Dump Truck(Park) V&E-029 80,000 80,000
Rotary Mower(Park) V&E-030 110,000 110,000
Skylift Man Lift(Park&Street V&E-033 40,000 40,000
Crime Prevention Vehicle(Police) V&E-034 30,000 30,000
Utility Tractor(Park) V&E-039 75,000 75,000
Pickup Truck(Engineering) V&E-044 35,000 35,000
Rescue Vehicle(Fire) V&E-045 200,000 200,000
Pickup Truck(Park) V&E-047 65,000 65,000
Rotary Mower(Park) V&E-048 50,000 50,000
Dump Truck(Street) V&E-053 270,000 270,000
Pickup Truck(Vehicle Maintenance) V&E-054 100,000 100,000
Pickup Truck(Street) V&E-063 40,000 40,000
Tandem Axle Dump Truck(Street) V&E-066 270,000 270,000
Sidewalk/Maintenanoe Tractor(Street) V&E-089 55,000 55,000
Pickup Truck(Park) V&E-100 50,000 50,000
Pickup Truck(Fire) V&E-102 40,000 40,000
Polaris 6 X 6(Fire) V&E-106 15,000 15,000
Bobcat Utility Truckster(Park) V&E-107 55,000 4,500 4,500 4,500 4,500 73,000
Single Axle Dump Truck(Street) V&E-109 230,000 230,000
Dump Truck(Street) V&E-110 230,000 230,000
Portable Message Sign Trailer V&E-115 25,000 25,000
Bobcat Toolcat(Park) V&E-116 4,500 4,500 4,500 4,500 4,500 22,500
Sidwalk Tractor(Street) V&E-118 160,000 160,000
Tasers(Police) V&E-121 16,000 16,000
800 MHz Radios(Public Works Maintenance) V&E-133 100,000 100,000
Body Cameras(Police) V&E-135 24,070 24,070 24,070 24,070 24,070 120,350
Zodiac Boat(Fire) V&E-136 5,500 5,500
Outboard Motor(Fire) V&E-137 5,500 5,500
Passenger Vehicle(Fire) V&E-138 40,000 40,000
Passenger Vehicle(Fire) V&E-139 40,000 40,000
Utility Trailer(Park) V&E-140 5,500 5,500
Department Project# 2019 2020 2021 2022 2023 Total
Pickup Truck(Park) V&E-141 35,000 35,000
Dump Truck(Park) V&E-142 80,000 80,000
Trash Compactor(Park) V&E-143 65,000 65,000
Single Axle Dump Truck(Street) V&E-144 230,000 230,000
Skid Steer Loader(Street) V&E-145 5,000 5,000 5,000 5,000 5,000 25,000
Dump Truck(Street) V&E-146 80,000 80,000
Police Commander Vehicle(Police) V&E-147 50,000 50,000
SWAT Van(Police) V&E-148 100,000 100,000
Passenger Vehicle(Fire) V&E-152 40,000 40,000
Equipment Trailer(Street) V&E-153 20,000 20,000
Traffic Trailer(Police) V&E-154 30,000 30,000
Trailer(Street) V&E-155 5,000 5,000
Trailer(Fire) V&E-156 5,000 5,000
Passenger Car(Police) V&E-158 40,000 40,000
Vehicles and Equipment Total 728,570 978,570 864,070 849,070 1,213,070 4,633,350
Equipment Replacement Fund 728,570 978,570 864,070 849,070 1,113,070 4,533,350
Vehicle Maintenance Fund 100,000 100,000
Vehicles and Equipment Total 728,570 978,570 864,070 849,070 1,213,070 4,633,350
Grand Total 728,570 978,570 864,070 849,070 1,213,070 4,633,350
Project# V&E-001 Department Vehicles and Equipment
Contact
Project Name Marked Squad Cars(Police) Type Equipment
Useful Life
Category Vehicles
Description
Marked squad cars for the Police Department per replacement schedule for the City's ten squads.
Justification
Each year all ten squads are looked at based on the number of miles,accidents and overall safety.The number replaced may vary based on these factors.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 80,000 80,000 120,000 120,000 120,000 520,000
Total 80,000 80,000 120,000 120,000 120,000 520,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 80,000 80,000 120,000 120,000 120,000 520,000
Total 80,000 80,000 120,000 120,000 120,000 520,000
Project# V&E-002 Department Vehicles and Equipment
Contact
Project Name Computers and Printers(Finance) Type Equipment
Useful Life
Category Equipment:Computers
Description
Replacement of computers siwitches and printers in the City. Most computers are scheduled to be replaced every four to five years and printers every eight. The
City has a total of 150 computers and printers. Also includes upgrades to the City's computer network system,which includes switches,hubs and fiber connection
hardware.
Justification
Technology changes make personal computers obsolete after five years for business purposes. The computers will be replaced on the basis of need.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 95,000 95,000 95,000 95,000 95,000 475,000
Total 95,000 95,000 95,000 95,000 95,000 475,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 95,000 95,000 95,000 95,000 95,000 475,000
Total 95,000 95,000 95,000 95,000 95,000 475,000
Project# V&E-006 Department Vehicles and Equipment
Contact
Project Name Chipper(Street) Type Equipment
Useful Life
Category Equipment:Heavy Equip.
[Desctiption
New brush chipper for Street Division to be used in disposal of tree branches removed from the rights of way and parks.
Justification
Increased costs for hauling and disposing of brush at sites outside the City.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 35,000 35,000
Total 35,000 35,000
Project# V&E-OOH Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Engineering) Type Equipment
Useful Life
Category Vehicles
Description l
Pickup Truck for the Engineering Division to replace Unit#233.2009 Ford Ranger with topper.
— - - _ _ -
Jushftcation
Increased repair and maintenance expenditures on Unit#233.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement fund 35,000 35,000
Total 35,000 35,000
Project# V&E-011 Department Vehicles and Equipment
Contact
Project Name Passenger Vehicle(Fire) Type Equipment
ui ment
Useful Life
Category Vehicles
Description
Passenger vehicle for the Fire Department to replace Unit 360,2017 Ford Explorer.
Justification
Unit#360 is a Fire Department emergency response vehicle,which will be six years old.It is recommended to re assign this emergency response vehicle to non-
emergency response division.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-020 Department Vehicles and Equipment
Contact
Project Name Portable Computers(Police) Type Equipment
Useful Life
Category Equipment:Computers
Description
Replacement of portable computers in squad cars. There are currently ten Toughbook PCs with docking stations.
Justification
The current machines were acquired in 2017. Increased repair and maintenance occurs as machines age. New Technology requires current hardware.These portable
computers are replaced every four years.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 50,000 50,000
Total 50,000 50,000
Project# V&E-024 Department Vehicles and Equipment
Contact
Project Name Unmarked Police VehiclePolice
( ) Type Equipment
Useful Life
Category Vehicles
Description
One new unmarked police vehicle to replace Unit#819(2011 Dodge Charger).
Justification
Increased repair and maintenance expenditures on Unit#819.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-026 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Park) Type Equipment
Useful Life
Category Vehicles
Description
J
Pickup Truck for the Park Division to replace Unit#476(2007 Ford-F-150)
Justification
Increased repair and maintenance expenditures ep p ures on Unit#476.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 35,000 35,000
Total 35,000 35,000
Project# V&E-029 Department Vehicles and Equipment
Contact
Project Name Dump Truck(Park) Type Equipment
Useful Life
Category Vehicles
Description
Ford 17-550 truck with swaploader hook system for the Park Department to replace Unit 480,a 2011 Ford F-550 diump truck with Swaploader hook system.
Justification
Increased repair and maintenance expenditures on Unit#480,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicies/Furnishings 80,000 80,000
Total 80,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 80,000 80,000
Total 80,000 80,000
Project# V&E-030 Department Vehicles and Equipment
Contact
Project Name Rotary Mower(Park) Type Equipment
ui ment
Useful Life
Category Equipment:Heavy Equip.
i
Description
16'hydrostatic tractor mower for the Park Department to replace Unit#484(2013 Toro Groundsmaster 59101)).
Justification
Increased repair and maintenance expenditures on Unit#484,which will be eight years old. Large mowers of this type are the most cost-effective approach to
mowing large open areas such as park land.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 110,000 110,000
Total 110,000 110,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 110,000 110,000
Total 110,000 110,000
Project# V&E-033 Department Vehicles and Equipment
Contact
Project Name Skylift Man Lift(Park& Street Type Equipment
Useful Life
Category Equipment:Heavy Equip.
[Description
Skylift man lift for the Park and Street Divisions to replace Unit#405,a 2009 Skylift man lift
Justification
Increased repair and maintenance expenditures on Unit#405,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-034 Department Vehicles and Equipment
Contact
Project Name Crime Prevention Vehicle(Police) Type Equipment
Useful Life
Category Vehicles
Description
New crime prevention vehicle for the Police Department to replace Unit#804(2008 Dodge Caravan).
Justification
[Increased repair and maintenance expenditures on Unit#804,.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 30,000 30,000
Total 30,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 30,000 30,000
Total 30,000 30,000
Project# V&E-039 Department Vehicles and Equipment
Contact
Project Name Utility Tractor (Park) Type Equipment
Useful Life
Category Vehicles
Description
Utility tractor with broom for the Park Department to replace Unit 463,a 2008 John Deere utility tractor. This unit is used to mow right-of-way,maintain skatin�
rinks and general maintenance.
Justification 1
Increased repair and maintenance expenditures on Unit#463.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 75,000 75,000
Total 75,000 75,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 75,000 75,000
Total 75,000 75,000
Project# V&E-044 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Engineering) Type Equipment
Useful Life
Category Vehicles
Description - -
New pickup truck for the Engineering Department to replace Unit#235(2012 Ford F-150 pickup).
Justification -—
Increased repair and maintenance expenditures on Unit#235..
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 35,000 35,000
Total 35,000 35,000
Project# V&E-045 Department Vehicles and Equipment
Contact
Project Name Rescue Vehicle(Fire) Type Equipment
Useful Life
Category Vehicles
Description
CRescue vehicle for the Fire Department to replace Unit#347(2008 Ford F-550).
- - - - --- - ---- -
Justification
Increased repair and maintenance expenditures on Unit 347.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicies/Furnishings 200,000 200,000
Total 200,000 200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 200,000 200,000
Total 200,000 200,000
Project# V&E-047 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Park) Type Equipment
Useful Life
Category Vehicles
Description
Pickup truck for the Park Maintenance Division to replace Unit 487,a 2013 Ford F-350 pikcup truck with utility box.
[Justification
Increased repair and maintenance expenditures on Unit#487.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicies/Fumishings 65,000 65,000
Total 65,000 65,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 65,000 65,000
Total 65,000 65,000
Department Vehicles and Equipment
Project# V&E-048 Contact
Project Name Rotary Mower(Park) Type Equipment
Useful Life
Category Equipment:Heavy Equip.
Description
ZTR mower for mowing City Hall Complex,Fire Stations and Neighborhood Parks
Justification
Increased repair and maintenance expenditures on Unit#485.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 50,000 50,000
Total 50,000 50,000
Project# V&E-053 Department Vehicles and Equipment
Contact
Project Name Dump Truck(Street) Type Equipment
ui ment
Useful Life
Category Vehicles
Description
Tandem axle dump truck for the Street Department to replace Unit#79(2009 International Axle dump truck with hook system).
Justification
Increased repair and maintenance expenditures on.Umt#779,which will be twleve years old.
— — — - — - — — — —-- -— - _ - —A
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Fumishings 270,000 270,000
Total 270,000 270,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 270,000 270,000
Total 270,000 270,000
Project# V&E-054 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Vehicle Maintenance) Type Equipment
Useful Life
Category Vehicles
Description
Pickup trick for the Vehicle Maintenance Division to replace Unit 902,a 2008 Ford F-150 pickup truck with utility box and crane.
This unit was originally transferred in 2013 from the Utility Department.
Justification
Increased repair and maintenance expenditures on Unit#902.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Vehicle Maintenance Fund 100,000 100,000
Total 100,000 100,000
Project# V&E-063 Department Vehicles and Equipment
Contact
Project Name pickup Truck(Street) Type Equipment
Useful Life
Category Vehicles
Description
FOne half ton pickup truck for the street department to replace unit#790,-a 2011 Ford F-250 pickup.
Justification
Increased repair and maintenance expenditures on Unit#790.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-066 Department Vehicles and Equipment
Contact
Project Name Tandem Axle Dump Truck(Street) Type Equipment
Useful Life
Category Vehicles
Description
Tandem axle dump truck for the Street Department to replace unit#779,a 2009 International Tandem Axle dump truck with hook system.
__ __ - — —
_Justification
Increased repair and maintenance expenditures on Unit 779. J
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 270,000 270,000
Total 270,000 270,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 270,000 270,000
Total 270,000 270,000
Project# V&E-089 Department Vehicles and Equipment
Contact
Project Name Sidewalk/Maintenance Tractor(Street) Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description -
Sidewalk/maintenance tractor for clearing walks on the city hall complex for the Street Division to replace unit 767,a 2004 John Deere.
Justification
- — -
Increased repair and maintenance expenditures on Unit 767.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 55,000 55,000
Total 55,000 55,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 55,000 55,000
Total 55,000 55,000
Department Vehicles and Equipment
Project# V&E-100 Contact
Project Name Pickup Truck(Park) Type Equipment
Useful Life
Category Park Equipment
Description
PF-350 Pickup/Uhlity Truck for the Park Division to replace unit 483,a 2012 F-350 pickup/utility truck.
Justification - — - ---
Increase repair and maintenance expenditures on unit 483,
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Fumishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 50,000 50,000
Total 50,000 50,000
Project# V&E-102 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Fire) Type Equipment
Useful Life
Category Vehicles
Description J
Four door pickup truck with storage box for Fire Department.
Justification
Vehicle to transport firefighters to emergency calls and training Currently they are taking a fire engine out of service to these types of calls and training.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Fumishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-106 Department Vehicles and Equipment
Contact
Project Name Polaris 6 X 6(Fire) Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description
Utility Vehicle utilized for off road resue and transport.
Justification
Increased repair and maintenance expenditures on Unit#341,which will be twelve years olf
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 15,000 15,000
Total 15,000 15,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 15,000 15,000
Total 15,000 15,000
Project# V&E-107 Department Vehicles and Equipment
Contact
Project Name Bobcat Utility Truckster(Park) Type Equipment
Useful Life
Category Vehicles
Description
New utility truckster to replace unit#469(2005 Bobcat).
Justification
Increased repair and maintenance expenditures on Unit#469.
This program allows us to purchase a new truckster and trade-in the old unit for a net of$4,500.With a new unit,parts and labor are rarely needed.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 55,000 4,500 4,500 4,500 4,500 73,000
Total 55,000 4,500 4,500 4,500 4,500 73,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 55,000 4,500 4,500 4,500 4,500 73,000
Total 55,000 4,500 4,500 4,500 4,500 73,000
Project# V&E-109 Department Vehicles and Equipment
Contact
Project Name Single Axle Dump Truck(Street) Type Equipment
Useful Life
Category Equipment:Heavy Equip.
Description
Single axle dump truck for the Street Division to replace Unit 768 a 2005 Sterling 7500 dump truck.
Justification
Increased repair and maintenance expenditures on Unit#768 which will be fourteen years old..
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 230,000 230,000
Total 230,000 230,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 230,000 230,000
Total 230,000 230,000
Project# V&E-110 Department Vehicles and Equipment
Contact
Project Name Dump Truck(Street) Type Equipment
Useful Life
Category Vehicles
ascription J
Single plows,
xle dump truck for the Street Department to replace Unit#772(2007 Sterling Dump Truck).new single axle dump truck will be equipped with swaploader�
hooks stem, wind and controls.
Justification
Increased repair and maintenance expenditures on Unit#772.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 230,000 230,000
Total 230,000 230,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 230,000 230,000
Total 230,000 230,000
Project# V&E-115 Department Vehicles and Equipment
Contact
Project Name Portable Message Sign Trailer Type Unassigned
Useful Life
Category Unassigned
Description
Programmable message sign for traffic control,maintenance work and events
Justification
In house programmable message sign for street maintenance activities and city events.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 25,000 25,000
Total 25,000 25,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 25,000 25,000
Total 25,000 25,000
Project# V&E-116 Department Vehicles and Equipment
Contact
Project Name Bobcat Tooleat(Park) Type Equipment
Useful Life
Category Unassigned
Cescription J
Bobcat Toolcat for the Street Division to replace unit#703,a 2018 Bobcat Toolcat.
-- - --- ---- - _- - - - - ---
Justiflcation
Increase repair and maintenance expenditures --- - --- ----- - - -- - _ -
on Unit 703.
This program allows us to purchase a new truckster and trade-in the old unit for a net of$4,500.With a new unit,parts and labor are rarely needed.The original
toolcat was purchased in 2018.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 4,500 4,500 4,500 4,500 4,500 22,500
Total 4,500 4,500 4,500 4,500 4,500 22,500
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 4,500 4,500 4,500 4,500 4,500 22,500
Total 4,500 4,500 4,500 4,500 4,500 22,500
Project# V&E-118 Department Vehicles and Equipment
Contact
Project Name Sidwalk Tractor(Street) Type Equipment
Useful Life
Category Unassigned
Description
[Sidewalk machine for the Street Division to replace Unit#796(2013 MT Trackless).
Justification
Increased repair,maintenance and parts availability on Unit#796.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 160,000 160,000
Total 160,000 160,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 160,000 160,000
Total 160,000 160,000
Project# V&E-121 Department Vehicles and Equipment
Contact
Project Name Tasers (Police) Type Equipment
ui ment
Useful Life
Category Equipment:Miscellaneous
Description -
30 Tasers were originally purchased in 2005.Thes warrenty rims three years. 19 were purchased in 2013.The remaining will be purchased in 2017.In 2021,another 1
13 will be replaced. l
Justification
Maintenance on each taxer runs around$800 per time after the warranty expires.This will allow new units to be purchased and less maintenance costs due to the
warranty period.The police department believes that the use of the Taser both through deployment and threatened deployment continues to reduce the incidence of
injuries to both officers and suspects.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicies/Furnishings 16,000 16,000
Total 16,000 16,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 16,000 16,000
Total 16,000 16,000
Project# V&E-133 Department Vehicles and Equipment
Contact
Project Name 800 MHz Radios(Public Works Maintenance) Type Equipment
Useful Life
Category Unassigned
Description
37-800 Mhx portable radios and accessories for communication in the field.
Justification
Replace current radios purchased in 2008.Manufacturer and Hennepin County will no longer support radios with parts due to age.In-service life is 10-12 years.Ne�
radios P25 Phase II modification compliant.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 100,000 100,000
Total 100,000 100,000
Project# V&E-135 Department Vehicles and Equipment
Contact
Project Name Body Cameras (Police) Type Equipment
ui ment
Useful Life
Category Unassigned
Description
[Acquisition of body cameras,maintenance agreement and server storage for officers.
Justification
The Police Department will need to add body cameras(maintenance and video storage)to the array of technology tools for officers to wear while on-duty.Once the
L
legislature set up guidelines the City purchased the units in late 2017/2018..
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 24,070 24,070 24,070 24,070 24,070 120,350
Total 24,070 24,070 24,070 24,070 24,070 120,350
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 24,070 24,070 24,070 24,070 24,070 120,350
Total 24,070 24,070 24,070 24,070 24,070 120,350
Project# V&E-136 Department Vehicles and Equipment
Contact
Project Name Zodiac Boat(Fire) Type Equipment
ui ment
Useful Life
Category Equipment:Miscellaneous
Description
Zodiac Boat fpor the Fire Department Unit 329,a 2008 Zodiac boat utilized for water rescue.
Justification
Replace Unit 320 a 2008 Zodiac inflatable boat. 1
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,500 5,500
Total 5,500 5,500
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,500 5,500
Total 5,500 5,500
Project# V&E-137 Department Vehicles and Equipment
Contact
Project Name Outboard Motor(Fire) Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description �
iac water rescue boat outboard motor utilized by the Fire Department for water rescues to replace Unit#352 a 2010 Yamaha outboard motor.
- - - - - -
Justification
Increased repair and maintenance expenditures on Unit#352.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,500 5,500
Total 5,500 5,500
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,500 5,500
Total 5,500 5,500
Project# V&E-138
Department Vehicles and Equipment
Contact
Project Name Passenger Vehicle(Fire) Type Equipment
Useful Life
Category Vehicles
Description
Passenger vehicle for the Fire Department to replace Unit#354,a 2013 Ford Explorer.
Justification
Increased repair and maintenance on Unit#354 on an emergency response vehicle which will be ssix years old This vehicle will be reassigned to the Inspections
Department.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-139 Department Vehicles and Equipment
Contact
Project Name Passenger Vehicle(Fire) Type Equipment
Useful Life
Category Vehicles
Description
Passenger vehicle for the Fire Department to replace Unit#355,a Ford Explorer.
Justification
Increased repair and maintenance on Unit#355 which is an emergency response vehicle This vehicle will be re assigned to the Inspections Department.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Department Vehicles and Equipment
Project# V&E-140 Contact
Project Name Utility Trailer(Park) Type Equipment
Useful Life
Category Park Equipment
Description - J
Utility trailer for the Park Division to replace Unit#468,a 2005 utility trailer. J
Justification
Age,wear and tear on utility trailer Unit#468 which will be fifteen years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,500 5,500
Total 5,500 5,500
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,500 5,500
Total 5,500 5,500
Project# V&E-141 Department Vehicles and Equipment
Contact
Project Name Pickup Truck(Park) Type Equipment
Useful Life
Category Vehicles
Description
Half Ton pickup truck for the Park Division to replace Unit#475,a 2009 Ford Ranger.
Justification
Increased repair and maintenance expenditures on Unit#475.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 35,000 35,000
Total 35,000 35,000
Project# V&E-142 Department Vehicles and Equipment
Contact
Project Name Dump Truck(Park) Type Equipment
Useful Life
Category Vehicles
Description
Ford F-550 Dump Truck with Swaploader hook system for the Park Division to replace Unit#477,a 2010 Ford F-550 Dump Truck with Swaploader hook system.
_ ---__
Justification —]
Increased repair and maintenance expenditures on Unit#477.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 80,000 80,000
Total 80,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 80,000 80,000
Total 80,000 80,000
Project# V&E-143 Department Vehicles and Equipment
Contact
Project Name Trash Compactor(Park) Type Equipment
ui ment
Useful Life
Category Equipment:Miscellaneous
Description
Trash compactor for the Park Division to replace Unit#479,a 2011 Wayne trash compactor with hook frame to be used with F-550 dump trucks with Swaploader
hook system.
Justification
Increased reoair and maintenance expenditures on Unit#479.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 65,000 65,000
Total 65,000 65,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 65,000 65,000
Total 65,000 65,000
Project# V&E-144 Department Vehicles and Equipment
Contact
Project Name Single Axle Dump Truck(Street) Type Equipment
Useful Life
Category Vehicles
Description
Single axle dump truck for the Street Division to replace Unit#778,a 2008 Sterling 7500 dump truck with book system.
- --_-
�Justification 1
Increased repair and maintenance expenditures on Unit#778.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 230,000 230,000
Total 230,000 230,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 230,000 230,000
Total 230,000 230,000
Project# V&E-145 Department Vehicles and Equipment
Contact
Project Name Skid Steer Loader(Street) Type Equipment
Useful Life
Category Vehicles
Description
Skid Steer loader for the Street Division to replace Unit#797,a 2018 Bobcat T650 skid steer loader.
Justification
Increased repair and maintenance expenditures on Unit#797.
This program allows us to purchase a new skid loader and trade-in the old unit for a net of$5,000.With a new unit,parts and labor are rarely needed.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,000 5,000 5,000 5,000 5,000 25,000
Total 5,000 5,000 5,000 5,000 5,000 25,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,000 5,000 5,000 5,000 5,000 25,000
Total 5,000 5,000 5,000 5,000 5,000 25,000
Project# V&E-146 Department Vehicles and Equipment
Contact
Project Name Dump Truck(Street) Type Equipment
Useful Life
Category Vehicles
Description
Ford F-550 dump truck with Swaploader hook system for the Street Division to replace Unit#791,a 2010 Ford F-550 dump truck with Swaploader hook system.
Justification
Increased repair and maintenance expenditures on Unit#791.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 80,000 80,000
Total 80,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 80,000 80,000
Total 80,000 80,000
Project# V&E-147 Department Vehicles and Equipment
Contact
Project Name Police Commander VehiclePolice
( ) Type Equipment
Useful Life
Category Vehicles
Description
Police commander vehicle for the Police Department to replace Unit#821,a 2012 Ford police interceptor sedan. -
Justification -J
Increased repair and maintenance expenditures on Unit#821.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 50,000 50,000
Total 50,000 50,000
Project# V&E-148 Department Vehicles and Equipment
Contact
Project Name SWAT Van (Police) Type Equipment
Useful Life
Category Vehicles
[Description
Replace SWAT Vehicle for Police Department to replace Unit#812,a 1988 Ford L7000.
Justification
Increased repair and maintenance expenditures and unavailable parts on Unit 812.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 100,000 100,000
Total 100,000 100,000
Project# V&E-152 Department Vehicles and Equipment
Contact
Project Name Passenger Vehicle(Fire) Type Equipment
Useful Life
Category Vehicles
Description
Passenger vehicle for the Fire Department to replace Unit#356(2015 Ford Crown Victoria).
— �
Justification
Increased repair and maintenace on Unit 356 on an emergency response vehicle.This passenger vehicle will be re-assigned to the Inspection Division.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
Project# V&E-153 Department Vehicles and Equipment
Contact
Project Name Equipment Trailer(Street) Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description
Equipment Trailer for the Street Division to replace Unit 774,a 2007 Felling equipment trailer.
Justification
repair and maintenance expenditures on Unit 774.
linarmne
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 20,000 20,000
Total 20,000 20,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 20,000 20,000
Total 20,000 20,000
Project# V&E-154 Department Vehicles and Equipment
Contact
Project Name Traffic Trailer (Police) Type Unassigned
Useful Life
Category Unassigned
Description
[Traffic-control/radar trailer for the Police Department to replace Unit 817,a 2012 message/radar trailer.
Justification
-
Increased repair and maintenance expenditures on unit 817,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 30,000 30,000
Total 30,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 30,000 30,000
Total 30,000 30,000
Project# V&E-155 Department Vehicles and Equipment
Contact
Project Name Trailer(Street) Type Unassigned
Useful Life
Category Unassigned
Description
Trailer for the Street Maintenance Division to replace Unit 754,a 2000 utility trailer.
Justification
Increased repair and maintenance expenditures on Unit 754.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,000 5,000
Total 5,000 5,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,000 5,000
Total 5,000 5,000
Project# V&E-156 Department Vehicles and Equipment
Contact
Project Name Trailer (Fire) Type Equipment
Useful Life
Category Unassigned
Description
Trailer for the Fire Department to replace Unit#344,a 2003 utility trailer.
Justification
Increased repair and maintenance expenditures on Unit 344.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,000 5,000
Total 5,000 5,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 5,000 5,000
Tom 5,000 5,000
Department Vehicles and Equipment
Project# V&E-158 Contact
Project Name Passenger Car(Police) Type Unassigned
Useful Life
Category Unassigned
Description
A passenger vehicle that can be used for emergencies for the Police Chief and/or commanders to respond.This wll replace unit#831,a 2008 Chevrolet Suburban that
was a forfeited vehicle.
Justification
Increased repair and maintenance expenditures on Unit#831.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Equipment Replacement Fund 40,000 40,000
Total 40,000 40,000
city of
golden! ..'
valley
Capital Improvement Program 2019-2023
Park Improvement Section
The City Council reviews the submissions from the Open Space and Recreation Commission, Park &
Recreation, and Public Works staff for the development and improvement of the City's park system.
The commission consists of nine members that are appointed by the City Council and serve as an
advisory board to the City Council.
In 2006, as part of the City's parks planning initiative on park facilities, the City Council focused this
year on developing a vision for Golden Valley parks and recreation facilities. The City solicited citizen
input via information meetings in parks, a survey of youth athletic association leaders and a citizen
survey was created with the help of the Open Space and Recreation Commission. All information will
be gathered to help plan the future of the park improvements for the next five years. The City will also
use the results from the building survey and ADA consultant.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Parks
Bleacher,Soccer Goal,Team Bench&Picnic Tables P-001 25,000 15,000 25,000 25,000 25,000 115,000
Park Trail and Parking Lot Improvement P-002 90,000 40,000 50,000 75,000 75,000 330,000
Play Structure Replacement P-003 60,000 60,000 60,000 60,000 240,000
Outdoor Hard Surface Replacement P-015 23,000 20,000 25,000 25,000 25,000 118,000
Park Signage Replacement P-016 10,000 5,000 5,000 5,000 5,000 30,000
Sun Shelter Replacements and Additions P-017 25,000 50,000 75,000
Tennis&Pickle Ball Court Resurfacing P-018 15,000 15,000 15,000 15,000 15,000 75,000
Re-Lamp Athletic Field and Rink Lights(LED) P-023 25,000 18,000 18,000 18,000 18,000 97,000
Wildwood Park Athletic Field P-024 50,000 50,000
Community Gardens P-025 30,000 30,000 60,000
Off-Leash Pet Exercise Area P-026 60,000 60,000
Dugout,Fence and Feiled Replacement P-027 55,000 35,000 55,000 55,000 55,000 255,000
Scoreboard Updats/Replacement P-028 25,000 25,000 25,000 75,000
Soft Fall Wood Fiber Replacement P-031 15,000 15,000 30,000
Sand Volleyball Courts P-032 15,000 15,000 30,000
Tennis Court Lights P-033 150,000 150,000
Parks Total 358,000 358,000 358,000 358,000 358,000 1,790,000
Golden Valley Youth Associations 12,500 12,500
ISD#281 12,500 12,500
Park Improvement Fund(5600) 358,000 358,000 333,000 358,000 358,000 1,765,000
Parks Total 358,000 358,000 358,000 358,000 356,000 1,790,000
Grand Total 358,000 358,000 358,000 358,000 358,000 1,790,000
Project# P-001 Department Parks
Contact
Project Name Bleacher,Soccer Goal,Team Bench& Picnic Tables Type Improvement
Useful Life
Category Park Improvements
7 Description
Replacement of bleachers at Lions fields#3(2019),Scheid#1 and Hampshire Fields#1 (2020) Natchez Park field#land Gearty Park field#1
(2021).Begin replacement of picnic tables at Brookview Park beginning 2021 and 2023.Team benches and soccer goals replaced as needed. j
Justification
Continuing to replace bleachers on all GV fields to meet current safety guidelines.Picnic tables,team benches and soccer goals are deteriorating throughout the park
system and need to systematically replaced.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 25,000 15,000 25,000 25,000 25,000 115,000
Total 25,000 15,000 25,000 25,000 25,000 115,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 25,000 15,000 25,000 25,000 25,000 115,000
(5600)
Total 25,000 15,000 25,000 25,000 25,000 115,000
Project# P-002 Department Parks
Contact
Project Name Park Trail and Parking Lot Improvement Type Improvement
Useful Life
Category Park Improvements
Description -
In 2019,Medley Park parking lot will be reconstructed as part of the 2019 Pavement Management Program(PMP)utilizing$90,000.Generally on an annual basis
staff reconstructs internal parking trails and patch/sealcoat/reconstruct parking areas located trhoughout the park system utilizing worst case scenario first determined
by staff.
Justification
Maintain quality,safety and usability of City parks for a lifetime active sport and meet ADA accessibility standards.Paved trails are deteriorating,with certain
segments subject to serious erosion Trails and parking areas will be evaluated to determine priorities.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 90,000 40,000 50,000 75,000 75,000 330,000
Total 90,000 40,000 50,000 75,000 75,000 330,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 90,000 40,000 50,000 75,000 75,000 330,000
(5600)
Total 90,000 40,000 50,000 75,000 75,000 330,000
Project# P-003 Department Parks
Contact
Project Name play Structure Replacement Type Improvement
Useful Life
Category Park Equipment
Description
New playground equipment and area curbing on an"as-needed"basis in the City's parks.
2018-Wesley Park
2019-Schied Park
2021-Yosemite Park
2022-South Tyrol Park
2023-Natchez Park
Justification
Play structures are used frequently and need repairs and periodic replacements due to wearing out and will eventually become unsafe. The City is requiredtoto m�
Consumer Product Safety Commission(CPSC)guidelines,as well as the requirements of the Americans With Disabilities Act(ADA).
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 60,000 60,000 60,000 60,000 240,000
Total 60,000 60,000 60,000 60,000 240,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 60,000 60,000 60,000 60,000 240,000
(5600)
Total 60,000 60,000 60,000 60,000 240,000
Project# P-015 Department Parks
Contact
Project Name Outdoor Hard Surface Replacement Type Maintenance
Useful Life
Category Park Improvements
Description
Replace old and deteriorating outdoor basketball courts hard surface borders,and play structure wood fiber.Proposed Basketball court replacement schedule is:
2019-Stockman and Scheid
2020-Lions and Seeman
2021-Scheid and Natchez
2022-North Tyrol and South Tyrol
2023-Yosemite and Wildwood
Justification
Outdoor basketbal courts athletic fields,play structure borders and base materials continue to quickly deteriorate and need to be systemactically replaced.Most of
our basketball hoops are 1970's vintage and need updating.All new hoops will be replaced with adjustable units which will make then accessible for family use and
younger park patrons.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 23,000 20,000 25,000 25,000 25,000 118,000
Total 23,000 20,000 25,000 25,000 25,000 118,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 23,000 20,000 25,000 25,000 25,000 118,000
(5600)
Total 23,000 20,000 25,000 25,000 25,000 118,000
Project# P-016 Department Parks
Contact
Project Name Park Signage Replacement Type Maintenance
Useful Life
Category Park Improvements
Description
Replace deteriorating and aging park signs at all community parks,neighborhood parks,nature areas and open spaces.Park Maintenance staff will utilize a worst
fust scenerio as to a replacement schedule.
Justification
Current park signs are deteriorating and need to be replaced. New signs will be added to locations which currently do not have park signage.Replacement schedule 1
will be to add/replace 5-7 park signs annually. J
Expenditures 2019 2020 2021 2022 2023 Total
Other 10,000 5,000 5,000 5,000 5,000 30,000
Total 10,000 5,000 5,000 5,000 5,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 10,000 5,000 5,000 5,000 5,000 30,000
(5600)
Total 10,000 5,000 5,000 5,000 5,000 30,000
Project# P-017 Department Parks
Contact
Project Name Sun Shelter Replacements and Additions Type Improvement
Useful Life
Category Park Improvements
Description J
Replace Sun Shelters in various parks:
2022-Glenview Terrace
2023-Yosemite and Seeman
Justification j
[Various summer mobile park playground programs are being offered and do not have any cover for the program.New sun shelters will allow cover from the sunin and provide a staging area with picnic tables for supplies and the program.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 25,000 50,000 75,000
Total 25,000 50,000 75,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 25,000 50,000 75,000
(5600)
Total 25,000 50,000 75,000
Project# P-018 Department Parks
Contact
Project Name Tennis & Pickle Ball Court Resurfacing Type Maintenance
Useful Life
Category Park Improvements
Description 1
Fill cracks and birdbaths,power wash,resurface and repaint tennis courts.Court determination will be a worst fust scenario.Funds budgeted should allow for one
tennis court location resurface annually.
Justification
Generally a tennis court resurfacing needs to be done every 5-7 years,unfortunately a number of the tennis courts require resurfacing more frequent.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 15,000 15,000 15,000 15,000 15,000 75,000
Total 15,000 15,000 15,000 15,000 15,000 75,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 15,000 15,000 15,000 15,000 15,000 75,000
(5600)
Total 15,000 15,000 15,000 15,000 15,000 75,000
Project# P-023 Department Parks
Contact
Project Name Re-Lamp Athletic Field and Rink Lights(LED) Type Maintenance
Useful Life
Category Park Equipment
Description
Replace athletic field and outdoor ice rink lamps and fixtures.A worst first replacement scheduled will be determined by staff annually.
Justification
Outdoor athletic field and rink light systems require regular maintenance and replacement to operate properly. -�
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 25,000 18,000 18,000 18,000 18,000 97,000
Total 25,000 18,000 18,000 18,000 18,000 97,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 25,000 18,000 18,000 18,000 18,000 97,000
(5600)
Total 25,000 18,000 18,000 18,000 18,000 97,000
Project# P-024 Department Parks
Contact
Project Name wildwood Park Athletic Field Type Maintenance
Useful Life
Category Park Improvements
Description
Construct new soccer,football,Lacrosse field at Wildwood Park and the ISD 281 property for community and school use.Project would include regrading field area,
addition of irrigation,turf improvement and new goals/bleachers.
--------------
Justification
Community youth athletic groups and school district are in need of additional green field space for youth recreation physical dducation classes and athletics.This
project would be a joint partnership project with the City of Golden Valley,ISD#281 and Golden Valley Youth Athletic Associations.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Golden Valley Youth 12,500 12,500
Associations
ISD#281 12,500 12,500
Park Improvement Fund 25,000 25,000
(5600)
Total 50,000 50,000
Project# P-025 Department Parks
Contact
Project Name Community Gardens Type Unassigned
Useful Life
Category Park Improvements
Description
Add two community garden areas in the Golden Valley Park system.
Justification
Community Gardens are required frequently by residents as an addition to the services offered through the Park&Recreation Department.-Staff will work with 1
residents and the Open Space and Recreation Commission to identify potential locations and make reocmmendations to the City Council. J
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 30,000 30,000 60,000
Total 30,000 30,000 60,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 30,000 30,000 60,000
(5600)
Total 30,000 30,000 60,000
Project# P-026 Department Parks
Contact
Project Name Off-Leash Pet Exercise Area Type Improvement
Useful Life
Category Park Improvements
Description
Add an off-leash pet exercise area in the Golden Valley Park sSystem.
Justification
Off-Leash Pet Exercise areas requested frequently by residents as an addition to the services offered through the Parks&Recreation Department This is also a key
amenity which has been identified in the community survey as well as a goal in the comprehensive park plan.Staff will work with the Open Space and Recreation
Commission to identify a potential location and make a recommendation to the City Council.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 60,000 60,000
Total 60,000 60,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 60,000 60,000
(5600)
Total 60,000 60,000
Project# P-027 Department Parks
Contact
Project Name Dugout,Fence and Feiled Replacement Type Unassigned
Useful Life
Category Unassigned
Description J
Staff is proposing to begin reconstructing ballfields,repairing fence/backstops and adding shade structure over dugouts each season.Softball field dugouts need
updates to meet use and ssafety needs and ballfields require ongoing maintenance to keep them available for use.Staff is recommending improvements begin at
Lions Park and then shift to a worst first replacement scheduled which will be determined by staff annually.
Justification
All ballfields are activie daily with city sponsored programs and Golden Valley youth athletic association use.Without field improvements staff will not be able to
(maintain the current level of use.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 55,000 35,000 55,000 55,000 55,000 255,000
Total 55,000 35,000 55,000 55,000 55,000 2559000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 55,000 35,000 55,000 55,000 55,000 255,000
(5600)
Total 55,000 35,000 55,000 55,000 55,000 255,000
Project# P-028 Department Parks
Contact
Project Name Scoreboard Updats/Replacement Type Unassigned
Useful Life
Category Unassigned
Description
Update and/or replace scoreboards currently in place on Golden Valley fields.Improvement schedule will be based on a worst first update/replacement on staff
recommendation. - — --
Justification
All scoreboards on Golden Valley athletic fields are in need of significant maintenance and upkeep to keep them functional.Staff will look to fiscally partner with
community athletic associations and seek grants whenever appropriate or possible.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 25,000 25,000 25,000 75,000
Total 25,000 25,000 25,000 75,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 25,000 25,000 25,000 75,000
(5600)
Total 25,000 25,000 25,000 75,000
Project# P-031 Department Parks
Contact
Project Name Soft Fall Wood Fiber Replacement p Type Improvement
Useful Life
Category Park Improvements
Description
Annual addition of soft fall wood fiber for Golden Valley play structures
Justification - -�-
All Golden Valley play structures have soft fall wood fiber as the base material to meet safety codes and ADA standards.Wood fiber deteriorates annually requiring
annual filling.Staff will utilize a worst first schedule for replacement.
Expenditures 2019 2020 2021 2022 2023 Total
Other 15,000 15,000 30,000
Total 15,000 15,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 15,000 15,000 30,000
(5600)
Total 15,000 15,000 30,000
Project# P-032 Department Parks
Contact
Project Name Sand Volleyball Courts Type Improvement
Useful Life
Category Park Improvements
Description
Ezpand current volleyball courts and add new courts in community parks to meet growing demand.
Justification
Community and league use of sand volleyball courts is continuing to grow.In 2022,staff is recommending adding additional courts to current locations and adding
new courts in park areas around the community.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 15,000 15,000 30,000
Total 15,000 15,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 15,000 15,000 30,000
(5600)
Total 15,000 15,000 30,000
Project# P-033 Department Parks
Contact
Project Name Tennis Court Lights Type Unassigned
Useful Life
Category Unassigned
LDescription
Replacement of tennis court lights at Wesley Park.
Justification
The Wesley Park tennis courts are a key amenity for tennis in Golden Valley.During the reconstruction of the temmis courts in 2018,the budget did not allow for the
replacement of the lights.Lights are recommended to be added in-2-020.-
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 150,000 150,000
Total 150,000 150,000
Funding Sources 2019 2020 2021 2022 2023 Total
Park Improvement Fund 150,000 150,000
(5600)
Total 150,000 150,000
city 0
golden:1171 e
Capital Improvement Program 2019-2023
Brookview Golf Course Section
Brookview Golf Course is owned and operated by the City of Golden Valley under the auspices of the
Park and Recreation Department. The Brookview golf facility consists of an 18 —Hole Regulation
Course, 9-Hole Par 3, Driving Range and teaching area, Golf Shop, Restaurant and Lawn Bowling.
Brookview's Regulation Course is a challenging, mature course with some tree-lined fairways, 28
bunkers, fairly small greens, and an abundance of water hazards. A maintenance building at 100
Brookview Parkway and Clubhouse are rented from the City.
User fees are the main source of revenue.
History:
Brookview Golf Course was a private country club until the late 1960s, when the City of Golden Valley
purchased the facility to operate as a municipal golf course. In 1976-77, the course underwent major
renovations with the addition of the Par 3 nine-hole course and Driving Range. In 1984-85, extensive
work was done to bridge the fairways and enlarge the ponds to alleviate flooding. The Regulation
Course was closed in 1990 to redesign and rebuild the greens. That same year, the clubhouse was
enlarged and remodeled. In 2014, a Lawn Bowling Course was added. In December of 2017, the Pro
Shop and Three One Six Bar + Grill moved into their new Brookview Building.
City of Golden Valley, Minnesota
Capital Plan
2019 thru 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Golf Course
Green ree Mowers GC-003 45,000 45,000
Utility Cart GC-005 11,000 11,000 22,000
Point of Sale System GC-007 30,000 30,000
Rough Mowers GC-010 70,000 70,000 140,000
Fairway Mower GC-014 50,000 52,000 102,000
Bridge Improvements GC-023 40,000 40,000 80,000
Turf Sprayer GC-031 50,000 50,000
Beverage Cart GC-035 25,000 25,000
Hole 18 Tee Improvements GC-041 50,000 50,000
Range Nets GC-045 19,675 20,000 39,675
Aerator GC-046 25,000 25,000
Lightning Alarm System GC-047 22,000 22,000
Golf Course Total 102,675 106,000 162,000 120,000 140,000 630,675
Brookview Golf Course Fund 102,675 106,000 162,000 120,000 140,000 630,675
Golf Course Total 102,675 106,000 162,000 120,000 140,000 630,675
Grand Total 102,675 106,000 162,000 120,000 140,000 630,675
Project# GC-003 Department Golf Course
Contact
Project Name Green/Tee Mowers Type Equipment
Useful Life
Category Equipment:Heavy Equip.
Description J
Green/Tee mowers to replace current unit. One unit to be replaced in each year shown.
Justification
Increased repair and maintenance expenditures on current units
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 45,000 45,000
Total 45,000 45,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 45,000 45,000
Total 45,000 45,000
Project# GC-005 Department Golf Course
Contact
Project Name Utility Cart Type Equipment
Useful Life
Category Equipment:Heavy Equip.
Description
Utility carts to replace current units.
Justification �i
Increased repair and maintenance expenditures on current units.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 11,000 11,000 22,000
Total 11,000 11,000 22,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 11,000 11,000 22,000
Total 11,000 11,000 22,000
Project# GC-007 Department Golf Course
Contact
Project Name Point of Sale System Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description
Purchase anew POS/Cash Register system for golf,lawn bowling banquet,and food and beverage operations.
Justification
Upgrade in technology,current system needs replacement.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 30,000 30,000
Total 30,000 30,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 30,000 30,000
Total 30,000 30,000
Project# GC-010 Department Golf Course
Contact
Project Name Rough Mowers Type Equipment
Useful Life
Category Equipment:Heavy Equip.
Description
Rough Mower to replace units.
Justification
[Increased repair and maintenance expenditures on current units.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 70,000 70,000 140,000
Total 70,000 70,000 140,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 70,000 70,000 140,000
Total 70,000 70,000 140,000
Project# GC-014 Department Golf Course
Contact
Project Name Fairway Mower Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description
Mows the Golf Course Fairways five times a week during the golf season.
Justification
Increased repair and maintenance expenditures on current unit. 1
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 50,000 52,000 102,000
Total 50,000 52,000 102,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 50,000 52,000 102,000
Total 50,000 52,000 102,000
Project# GC-023 Department Golf Course
Contact
Project Name Bridge Improvements Type Improvement
Useful Life
Category Course Improvements
Description
In 2013,one side of the support abutment was repaired and tested for settlement.in 2014 and 2015,more concrete approaches will be replaced.
— —
Ju-stification
Lnprovement to the structure and safety of bridges.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 40,000 40,000 80,000
Total 40,000 40,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 40,000 40,000 80,000
Total 40,000 40,000 80,000
Project# GC-031 Department Golf Course
Contact
Project Name Turf Sprayer Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description_-
- - — -- — �
Maintenance equipment that sprays fungicide and herbicide.
Justification
-
Replacement of sprayer reviousl
y purchased in 2004
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 50,000 50,000
Total 50,000 50,000
Project# GC-035 Department Golf Course
Contact
Project Name Beverage Cart Type Equipment
ui ment
Useful Life
Category Equipment:Miscellaneous
Description
The current beverage cart was purchased in 2016 and i-s in need of replacement.
Justification
The beverage cart is a very important part of servicing the golfers and an additional revenue source.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 25,000 25,000
Total 25,000 25,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 25,000 25,000
Total 25,000 25,000
Project# GC-041 Department Golf Course
Contact
Project Name Hole 18 Tee Improvements Type Improvement
Useful Life
Category Course Improvements
Description - --
Improvements to Hole#18 tee
Justification -
Maintenance work to improve the$18 tee which is deteriorating
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 50,000 50,000
Total 50,000 50,000
Project# GC-045 Department Golf Course
Contact
Project Name Range Nets
g Type Maintenance
Useful Life
Category Course Improvements
Description
Nets alongthe Dnving Range need to be repaired and replaced
Justification
Nets have to be repaired and replaced for the Driving Range for security of the drivers on neer by roads and other golfers.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 19,675 20,000 39,675
Total 19,675 20,000 39,675
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 19,675 20,000 39,675
Total 19,675 20,000 39,675
Project# GC-046 Department Golf Course
Contact
Project Name Aerator Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description
Turf Aerator for soil compaction.
- - - — --
Justification
Replacing current units that are over 25 years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 25,000 25,000
Total 25,000 25,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 25,000 25,000
Total 25,000 25,000
Project# GC-047 Department Golf Course
Contact
Project Name Lightning Alarm System Type Equipment
Useful Life
Category Equipment:Miscellaneous
Description —
Weather monitoring system that measures electricity in the air and incorporates sirens to ensure golfer and employee safefy. -
Justification
Replacing current system that is over 20 years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 22,000 22,000
Total 22,000 22,000
Funding Sources 2019 2020 2021 2022 2023 Total
Brookview Golf Course Fund 22,000 22,000
Total 22,000 22,000
cityof
golden
alley
Capital Improvement Program 2019-2023
Building Improvement Section
The City owns and or/maintains the following facilities for the purpose of carrying out its mission of
providing needed services to the community and bringing people together by fostering inviting public
spaces where people work and play, encounter their fellow citizens and discover common interests.
This has incorporated the Wold Architects and Engineers city-wide comprehensive facility
assessment building analysis that was completed late 2006.
Golden Valley Buildings
Total Square Feet
-City Hall 26,350
Public Safety Police and Fire Station #1 28,000
Streets and Park Maintenance 29,100
Utilities Maintenance 12,950
Vehicles Maintenance 12,500
Warehouse &Animal Impound 11,490
Golf Maintenance 12,050
Fire Station No. 2 5,785
Fire Station No. 3 6,030
Brookview Center/Golf Operations 37,000
A transfer from the General Fund is the main source of revenue.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Buildings y
Generators B-012 50,000 50,000
Air Compressors B-013 5,000 5,000
Replace CoRayVac Heating Systems B-018 175,000 175,000
Installation of Building Security Systems B-027 10,000 10,000 10,000 10,000 10,000 50,000
Council Chambers Remodeling B-036 300,000 300,000
Public Buildings Roof Replacements B-041 150,000 150,000 150,000 450,000
City Hall Boiler Replacement B-043 225,000 225,000
10th Avenue Storage Building-Insulate and Heat 8-046 375,000 375,000
10th Ave South Side Storage Yard B-048 125,000 125,000 125,000 375,000
Park Shelters Buidling Improvements B-049 50,000 50,000 100,000
Brookview Shelter Sewer Service Repair B-050 50,000 50,000
10th Avenue Storage Yard Improvements B-051 100,000 100,000
Buildings Total 635,000 610,000 390,000 510,000 110,000 2,255,000
Building Fund(5200) 635,000 610,000 390,000 510,000 110,000 2,255,000
Buildings Total 635,000 610,000 390,000 510,000 110,000 2,255,000
Grand Total 635,000 610,000 390,000 510,000 110,000 2,255,000
Project# B-012 Department Buildings
Contact
Project Name Generators Type Improvement
Useful Life
Category Buildings
D�tion
Remove and replace/upgrade existing building emergency standby generators.
Justification
Generators are used to keep buildings ready to operate 24 hours a day.The generator replacement in 2021 is for the public safety building.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 50,000 50,000
Total 50,000 50,000
Project# B-013 Department Buildings
Contact
Project Name Air Compressors Type Improvement
Useful Life
Category Buildings
Descnption
Replace air compressor in the Park/Street Maintenance Building.
(Justification
The existing air compressors are over 20 years and in need of replacement.
2021-one air compressor Park/Street Maintenance Building
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 5,000 5,000
Total 5,000 5,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 5,000 5,000
Tom 5,000 5,000
Project# B-018
Department Buildings
Contact
Project Name Replace CoRayVac Heating Systems Type Improvement
Useful Life
Category Buildings
Description
Replace CoRayVac heaters in Vehicle Maintenance and Park Maintenance buildings.
Justification
Increased repair and maintenance costs.The systems are increasingly in need of periodic repairs and are susceptible to failure resulting in no heat in the buildings.
Expenditures 2019 2020 2021 2022 2023 Total
Equip/Vehicles/Furnishings 175,000 175,000
Total 175,000 175,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 175,000 175,000
Total 175,000 175,000
Project# B-027 Department Buildings
Contact
Project Name Installation of Building Security Systems Type Improvement
Useful Life
Category Buildings
Description
Installation of building security systems in all City owned facilities.
Justtfication
The City has installed a security system for primarily the City Hall Campus.Video suveillance was installed in 2017.On-going repaus and camera replacements are
scheduled each year as needed.
Expenditures 2019 2020 2021 2022 2023 Total
Other 10,000 10,000 10,000 10,000 10,000 50,000
Total 10,000 10,000 10,000 10,000 10,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 10,000 10,000 10,000 10,000 10,000 50,000
Total 10,000 10,000 10,000 10,000 10,000 50,000
Project# B-036 Department Buildings
Contact
Project Name Council Chambers Remodeling Type Improvement
Useful Life
Category Buildings
Description
Complete remodel of Council Chambers
Justification
The Council Chambers has not been updated in over 28 years.Remodel to more accurately match the City's current need of the room.The equipment will be
replaced with cable franchise fees in the cablecasting improvement fund
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 300,000 300,000
Total 300,000 300,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 300,000 300,000
Total 300,000 300,000
Project# B-041 Department Buildings
Contact
Project Name Public Buildings Roof Replacements Type Unassigned
Useful Life
Category Unassigned
[Description
Replace roofs on buildings that are thirty-years old or greater.
Justification
(Roof replacements are scheduled to be replaced on various public buildings.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 150,000 150,000 150,000 450,000
Total 150,000 150,000 150,000 450,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 150,000 150,000 150,000 450,000
Total 150,000 150,000 150,000 450,000
Department Buildings
Project# B-043 Contact
Project Name Ci Hall Boiler Replacement
�' p Type Unassigned
Useful Life
Category Unassigned
- -
Description
Replace the City Hall Boiler System and control system..
Justification
The existing boiler system for City Hall is over 40 years old and is not efficient according to today's standard.The system would require total replacement.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 225,000 225,000
Total 225,000 225,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 225,000 225,000
Total 225,000 225,000
Project# B-046 Department Buildings
Contact
Project Name 10th Avenue Storage Building-Insulate and Heat Type Unassigned
Useful Life
Category Unassigned
Description
Install insulation and heat at the existing 10th Avenue storage building
Justification -
Installation of insulation and heat for the 10th Avenue storage building gives public works storage space for equipment that needs to be protected from freezing street
sweepers,water truck,Vactor and Jet truck,etc.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 375,000 375,000
Total 375,000 375,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 375,000 375,000
Total 375,000 375,000
Project# B-048
Department Buildings
Contact
Project Name 10th Ave South Side Storage Yard Type Unassigned
Useful Life
Category Unassigned
Description J
Install a sectional concrete wall around the south side outdoor storage yearly-for-security and visual screening of storage yard.
Justification
The dirt berms araound the site are an eyesore and do not offer any secunty.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 125,000 125,000 125,000 375,000
Total 125,000 125,000 125,000 375,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 125,000 125,000 125,000 375,000
Total 125,000 125,000 125,000 375,000
Project# B-049 Department Buildings
Contact
Project Name Park Shelters Buidlin Improvements g 1� Type Unassigned
Useful Life
Category Unassigned
Description
Park Shelter buildings are in need of new mechanicals relating to heat and lighting.Windows will be added to some shelters.
Justification
The park shelter building mechinaical equipment is in need of replacement.As each shelter is reviewed,mechanicals and potential installation of windows will occur.l
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 50,000 50,000 100,000
Total 50,000 50,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 50,000 50,000 100,000
Total 50,000 50,000 100,000
Project# 8-050 Department Buildings
Contact
Project Name Brookview Shelter Sewer Service Repair Type Unassigned
Useful Life
Category Unassigned
Description
Repair Brookview Shelter 8"sewer service with 4"HDPE pipe.
Justification
The existing 8"is oversized for the building reulting in frequent backups.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 50,000 50,000
Total 50,000 50,000
Project# 8-051 Department Buildings
Contact
Project Name 10th Avenue Storage Yard Improvements Type Unassigned
Useful Life
Category Unassigned
Description
Installation of a water service to the yard on the south side of the road and sanitary sewer service to the building on the north side of the road.
Justification
Water is needed on the souuth side of the road to wash equipment.The runoff would drain into a retention pond.Washing equipment at 10th Avenue instead o
behind the Utility building would improve storm water quality.Sanitary sewer is needed before the concrete floor with floor drains is installed.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Building Fund(5200) 100,000 1009000
Total 100,000 100,000
cityof
golden
alley
Capital Improvement Program 2019-2023
Cablecasting Improvement Section
The City of Golden Valley partners with Northwest Community Television (NWCT) to bring you a wide
variety of city video programming featuring information about your local government as well as
activities and events in the community. This capital project fund plans for major improvements to
provide access for city meetings.
History
NWCT started in 1982 and is funded by a joint powers agreement that supports public access and
local programming activities through local Franchise and Community Television fees. Nine adjacent
cities are part of the franchise agreement between Comcast and the Northwest Suburbs Cable
Communications Commission (NWSCCC). They include Brooklyn Center, Brooklyn Park, Crystal,
Golden Valley, Maple Grove, New Hope Osseo, Plymouth, and Robbinsdale.
Cable Franchise fees are the main source of revenue.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Cablecasting Improvements i
Cable Equipment Replacement C-001 200,000 200,000
Cablecasting Improvements Total 200,000 200,000
Cablecasting Improvements 200,000 200,000
Cablecasting Improvements Total 200,000 200,000
Grand Total 200,000 200,000
Project# C-001 Department Cablecasting hnprovements
Contact
Project Name Cable Equipment Replacement Type Improvement
Useful Life
Category Cablecasting Improvements
Description
Replace aging equipment in cable TV control room with updated equipment employing digital technology.
Justification 1
As equipment ages,the use for compatible software and hardware changes over time which requires new equipment. _—
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 200,000 200,000
Total 200,000 200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Cablecasting Improvements 200,000 200,000
Total 200,000 200,000
city 0
goldeni!�-
valley
Capital Improvement Program 2019-2023
Storm Water Section
This section includes the storm water infrastructure improvements and the flood damage reduction
program for the next five years. Most of these improvements, which include both rate control and
water quality projects, coincide with the Pavement Management Program (see section on Streets).
Improvements will be funded by user fees based on different types of property as to the volume of
storm water runoff from an acre of each type of land. The goal is to have enough reserves to account
for 50% of the current revenues.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Storm Water i
Residential Storm Sewer Improvements SS-01 850,000 750,000 750,000 750,000 750,000 3,850,000
Brookview Golf Course-Buffer Zone Implementation SS-12 50,000 50,000 100,000
Pickup Truck(Storm Water Utility) SS-22 35,000 35,000
Storm Water Pond Dredging SS-23 300,000 300,000 600,000
V-Box Spreader and Anti-Ice(tandem) SS-25 67,000 67,000
V-Box Spreader and Anti-Ice(tandem) SS-26 67,000 67,000
Sidewalk Sweeper SS-27 20,000 20,000
Flood Mitigation SS-34 250,000 250,000 250,000 250,000 250,000 1,250,000
Bobcat Toolcat SS41 55,000 55,000
Zane Avenue&Lindsay St Reconstruction SS-46 335,000 335,000
DeCola Ponds B and C SS-48 3,900,000 700,000 4,600,000
Medley Park Stormwater Treatment Facility SS-49 220,000 330,000 550,000
800 MHz Radios SS-51 40,000 40,000
Storm Sewer Repairs-MS4 and Overlay Program SS-53 150,000 150,000 150,000 150,000 150,000 750,000
Decola Pond F Diversion SS-54 1,600,000 620,000 3,480,000 5,700,000
Janalyn Pond Lift Station SS-58 125,000 125,000
Sidewalk Sweeper SS-59 20,000 20,000
Bassett Creek Regional Trail-Stone Sewer Repairs SS-60 50,000 50,000
Storm Water Total 5,365,000 2,287,000 2,800,000 2,680,000 5,082,000 18,214,000
Bassett Creek Watershed Mgmt Comm 1,100,000 500,000 500,000 1,300,000 3,400,000
Hennepin County 500,000 170,000 670,000
MNDNR 2,300,000 1,000,000 1,780,000 5,080,000
Storm Water Utility Fund(7300) 1,465,000 1,617,000 1,800,000 2,180,000 2,002,000 9,064,000
Storm Water Total 5,365,000 2,287,000 2,800,000 2,680,000 5,082,000 18,214,000
Grand Total 5,365,000 2,287,000 2,800,000 2,680,000 5,082,000 18,214,000
Project# SS-01 Department Storm Water
Contact
Project Name Residential Storm Sewer Improvements Type Improvement
Useful Life
Category Storm Sewer
Description l
Construction and repair of storm sewer drainage system in conjunction with the Pavement Management Program and forthcoming Infrasturcture Renewal Program.
Justification
Provide an improve storm water drainage system in conjunction with the Pavement Management Program(PMP)and forthcoming Infrastructure Renewal Program
(IRP)to facilitate surface water runoff,minimize local drainage and flooding issues,protect pavement and facilitate sump drainage from the private property.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 850,000 750,000 750,000 750,000 750,000 3,850,000
Total 850,000 750,000 750,000 750,000 750,000 3,850,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 850,000 750,000 750,000 750,000 750,000 3,850,000
(7300)
Total 850,000 750,000 750,000 750,000 750,000 3,850,000
Project# SS-12 Department Storm Water
Contact
Project Name Brookview Golf Course-Buffer Zone Implementation Type Improvement
Useful Life
Category Storm Sewer
Description
Perform a study in 2013 to identify locations for the development of native vegetation buffer areas in Brookview Golf Course.Construction of the buffer areas after
2013.
Justification
-- -
Removal of nutrients and sediment from stormwater runoff entering golf course ponds and Bassett Creek.
F
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 50,000 50,000 100,000
Total 50,000 50,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 50,000 50,000 100,000
(7300)
Total 50,000 50,000 100,000
Department Storm Water
Project# SS-22 Contact
Project Name Pickup Truck(Storm Water Utility) Type Equipment
ui ment
Useful Life
Category Storm Sewer
Description
--— --- -
Ford F150 to replace Unit#507(2012 Ford F150).
Justification
Increased repair and maintenance expenditures on Unit#507,which will be twelve years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 35,000 35,000
Total 35,000 35,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 35,000 35,000
(7300)
Total 35,000 35,000
Project# SS-23 Department Storm Water
Contact
Project Name Storm Water Pond Dredging Type Maintenance
Useful Life
Category Storm Sewer
Description �
Pond Dredging program to remove accumulated sediment and hazardous materials such as Polycyclic Aromatic Hydrocarbons(PAH),including the proper disposal
of dredged materials.Project locations will be prioritized and targeted utilizing the City's storm water pond modeling software,field surveys and other factors. J
Justification -
Significant sedimentation reduces the water quality volume in ponds and contributes to degradation of downstream waters.Periodic dredging removes accumulated l
sediment and hazardous materials and restores nutrient and sediment removal efficiencies. J
Expenditures 2019 2020 2021 2022 2023 Total
Other 300,000 300,000 600,000
Total 300,000 300,000 600,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 300,000 300,000 600,000
(7300)
Total 300,000 300,000 600,000
Project# SS-25 Department Storm Water
Contact
Project Name V-Box Spreader and Anti-Ice(tandem) Type Equipment
Useful Life
Category Storm Sewer
Description J
V-Boz sander with liquid application for pre-wet and anti-icing for tamdem axle dump truck.This unit is 508.
[Justification -
V-Box sanders are the most efficient and cost effective way to apply de-icing chemicals for winter operations.V Box sanders will reduce the impacts of de-icing
chemicals on local lakes and streams.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 67,000 67,000
Total 67,000 67,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 67,000 67,000
(7300)
Total 67,000 67,000
Project# SS-26 Department Storm Water
Contact
Project Name V-Box Spreader and Anti-Ice(tandem) Type Equipment
Useful Life
Category Storm Sewer
Description
V-Boz sander with liquid application for pre-wet and anti-icing for tamdem axle dump truck.This unit is 511.
Justification
IV-Box sanders are the most efficient and cost effective way to apply the de-icing chemicals for winter operations V-Box sanders will reduce the impacts of de-icing
chemicals on local lakes and streams.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 67,000 67,000
Total 67,000 67,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 67,000 67,000
(7300)
Total 67,000 67,000
Project# SS-27 Department Storm Water
Contact
Project Name Sidewalk Sweeper Type Equipment
Useful Life
Category Storm Sewer
Description
Sidewalk sweeper to replace Unit#693(2010 Gravely sweeper)to pickup and remove bulk material and prevent it from entering the stormwater system.
Justification
Increased repair and maintenance on Unit#693,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 20,000 20,000
Total 20,000 20,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 20,000 20,000
(7300)
Total 20,000 20,000
Project# SS-34 Department Storm Water
Contact
Project Name Flood Mitigation g Type Improvement
Useful Life
Category Storm Sewer
Description J
64wadon of funds to reduce or eliminate damage from flooding on Bassett Creek and its tributaries,includeing City storm water ponds such as Decola Pponds
Justification
Repetitive flood damage causes significant economic loss.Flood mitigation will reduce or eliminate flood damage to structure and property.This may include
working with homeowners,the Bassett Creek Watershed Management Commission(BCWMO),and Minnesota Department of Natural Resources to implement the
program,
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 250,000 250,000 250,000 250,000 250,000 1,250,000
Total 250,000 250,000 250,000 250,000 250,000 1,250,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 250,000 250,000 250,000 250,000 250,000 1,250,000
(7300)
Total 250,000 250,000 250,000 250,000 250,000 1,250,000
Project# SS-41 Department Storm Water
Contact
Project Name Bobcat Toolcat Type Equipment
Useful Life
Category Storm Sewer
Description_ 1
Bobcat Toolcat will be purchased with snow blower and sweeper attachments. This is a multipurpose loader that can also be used as a stump grinder,post hole
auger,trencher etc.This unit was purchased in 2013 and is unit 510.
Justification
Increased repair and maintenance on Unit 510.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 55,000 55,000
Total 55,000 55,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 55,000 55,000
(7300)
Total 55,000 55,000
Project# SS-46 Department Storm Water
Contact
Project Name Zane Avenue& Lindsay St Reconstruction Type Improvement
Useful Life
Category Storm Sewer
Description
Construction and/or repair of storm sewer drainage system in conjunction with Pavement Management Program.
Justification
Provide and improve storm water drainage system in conjunction with the Pavement Management Program to facilitate surface water runoff,minimize local drainage
and flooding issues,protect pavement and facilitate sump drainage from private property.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 335,000 335,000
Total 335,000 335,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 335,000 335,000
(7300)
Total 335,000 335,000
Project# SS-48 Department Storm Water
Contact
Project Name DeCola Ponds B and C Type Unassigned
Useful Life
Category Storm Sewer
Description
Construction of flood storage ponds and storm sewer pipes to lower the depth of flooding and reduce flood damage in the Medicine Lake Road and Decola Ponds
area.
In 2018,the City of Golden Valley provided$500,000 for plans and specifications.
Justification
The Medicine Lake Road and Winnetka Avenue Area Flood Mitigation Study identified several projects that are needed to reduce the effect of repeat flooking on the
roadway and adjacent properties.Projects will reduce the depth of flooing on the roadway and will lower flood elevations to help protect structures from flood
damage.The Bassett Creek Watershed Management Commission Capital Improvement Program includes construction of this project_
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 3,900,000 700,000 4,600,000
Total 3,900,000 700,000 4,600,000
Funding Sources 2019 2020 2021 2022 2023 Total
Bassett Creek Watershed 1,100,000 500,000 1,600,000
Mgmt Comm
Hennepin County 500,000 170,000 670,000
MN DNR 2,300,000 2,300,000
Storm Water Utility Fund 30,000 30,000
(7300)
Total 3,900,000 700,000 4,600,000
Project# SS-49 Department Storm Water
Contact
Project Name Medley Park Stormwater Treatment Facility Type Improvement
Useful Life
Category Storm Sewer
Description
Construction of a water quality treatment pond or similar facility to help remove sediment and nutrient loads within the Medicine Lake sub-watershed of the Bassett
Creek watershed.
�Jushf aci bon
The Bassett Creek Watershed Management Commission Capital Improvement Program includes the construction of this project and provides funding to maximize
the rate control and water quality within this area of the watershed.Medicine Lake is impaired for the nutrients(phosphorus)and this project will help to meet water
,quality goals for the lake. _-- -__-----
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 220,000 330,000 550,000
Total 220,000 330,000 550,000
Funding Sources 2019 2020 2021 2022 2023 Total
Bassett Creek Watershed 200,000 300,000 500,000
Mgmt Comm
Storm Water Utility Fund 20,000 30,000 50,000
(7300)
Total 220,000 330,000 550,000
Project# SS-51 Department Storm Water
Contact
Project Name 800 MHz Radios Type Unassigned
Useful Life
Category Storm Sewer
Description
8-800 MHz portable radios and accessories to be purchased in 2019. _
Justification
Replace current raidos purchased in 2008.Hennepiin County will no longer support the current 800 Mhz radios past December 31,2019.New radios P25 Phase H
modulation compliant.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 40,000 40,000
(7300)
Total 40,000 40,000
Project# SS-53 Department Stone Water
Contact
Project Name Storm Sewer Repairs-MS4 and Overlay Program Type Maintenance
Useful Life
Category Storm Sewer
Description
Stone sewer repair and replacement as part of the City's MS4 inspection program and in conjunction with the City's annual asphalt overlay program.Repairs include
but are not limited to pipe rehabilitation and replacement,manhole adjustments and manhole sealing.
Justification 1
To maintain the City's stone water and drainage system in conjunction with its MS4 program and asphalt overlay program.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 150,000 150,000 150,000 150,000 150,000 750,000
Total 150,000 150,000 150,000 150,000 150,000 750,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 150,000 150,000 150,000 150,000 150,000 750,000
(7300)
Total 150,000 150,000 150,000 150,000 150,000 750,000
Project# SS-54 Department Storm Water
Contact
Project Name Decola Pond F Diversion Type Improvement
Useful Life
Category Storm Sewer
Description
Construction of flood storage ponds and storm sewer pipes to divert stormwater and lower the depth of flooding in the DeCola Ponds area.BCWMO has an
additional$1,000 000 programmed for 2023 MnDNR flood damage reduction grant funding,to contribute$2,780,000 in 2023.
Justification
The Medicine Lake Road and Winnetka Avenue Area Flood Mitigation Study identified several projects that are needed to reduce the effect of repeat flooking on the
roadway and adjacent properties.Projects will refuce the depth of flooing on the roadway and will lower flood elevations to help protect structures from flood
damage.The BassettCreek Watershed Management Commission Capital Improvement Program includes construction of this projec
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 1,600,000 620,000 3,480,000 5,700,000
Total 1,600,000 620,000 3,480,000 5,700,000
Funding Sources 2019 2020 2021 2022 2023 Total
Bassett Creek Watershed 300,000 1,000,000 1,300,000
Mgmt Comm
MN DNR 1,000,000 1,780,000 2,780,000
Storm Water Utility Fund 600,000 320,000 700,000 1,620,000
(7300)
Total 1,600,000 620,000 3,480,000 5,700,000
Project# SS-58 Department Storm Water
Contact
Project Name Janalyn Pond Lift Station Type Unassigned
Useful Life
Category Unassigned
Description
Construction of storm sewer lift station to more effciently manage stormwater to reduce the risk of flooding adjacent structures.
Justification
Janalyn pond is a land locked basin that requires frequent manual pumping to avoid flooding adjacent structures.An automated lift station would increase
operational efficiency and reduce the risk of flooding.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 125,000 125,000
Total 125,000 125,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 125,000 125,000
(7300)
Total 125,000 125,000
Department Storm Water
Project# SS-59 Contact
Project Name Sidewalk Sweeper p Type Equipment
Useful Life
Category Storm Sewer
Description
Sidewalk sweeper to replace Unit#698(2012 Gravely sweeper)to pick upp and remove bulk material and prevent it from entering the stormwater system.
Justification -
Increased repair and maintenance expenditures on Unit#698 which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 20,000 20,000
Total 20,000 20,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 20,000 20,000
(7300)
Total 20,000 20,000
Project# SS-60 Department Storm Water
Contact
Project Name Bassett Creek Regional Trail-Storm Sewer Repairs Type Unassigned
Useful Life
Category Unassigned
Description
Construction and repair of storm sewer drainage system in conjunction with Bassett Creek Regional Trail. - -
Justification --
To provide and improve storm water drainage system to conjunction with construction of the Bassett Creek Regional Trail.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Storm Water Utility Fund 50,000 50,000
(7300)
Total 50,000 50,000
city 0
golden
alley
Capital Improvement Program 2019-2023
Water and Sanitary Sewer Utility Section
A five-year projection of the Water and Sanitary Sewer Fund reveals some potential financial
challenges the City may have to address. The contract pricing with the City of Minneapolis and
Golden Valley-Crystal-New Hope Joint Water Commission was renewed in 2013. The Metropolitan
Council Environmental Services (MCES) surcharge program related to inflow and infiltration will have
a direct affect on rates as it requires the City to make improvements to the sanitary system that will
reduce the rate of inflow and infiltration into the system.
Fees from the City's utility bill are the main source of revenue.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Water&Sewer Systems
Sanitary Sewer&Water Line Repair/Recon. W&SS-001 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Hook Dump Truck W&SS-004 80,000 80,000
Pickup Truck W&SS-011 40,000 40,000
Pickup Truck W&SS-014 100,000 100,000
Pickup Truck W&SS-015 75,000 75,000
Mill and Overlay Water/Sewer Repairs W&SS-051 150,000 150,000 150,000 150,000 150,000 750,000
Televising and Electroscan Equipment W&SS-053 150,000 150,000
Radio Meter Reading System W&SS-063 700,000 100,000 800,000
Valve ReplacementlWatennain Lining W&SS-066 100,000 100,000 200,000
Tractor Loader Backhoe W&SS-070 160,000 160,000
1-394 Inflow/]nfiltration Project W&SS-074 250,000 250,000 250,000 750,000
Sewer Flow Meters W&SS-076 35,000 35,000 70,000
Winnetka Ave Utility Rehabilitation W&SS-077 550,000 550,000
Sanitary Sewer Lining 1/1 Reduction W&SS-078 100,000 100,000 200,000
800 MHz Radios W&SS-081 40,000 40,000
T.H.55 Lift Station Relocation W&SS-083 500,000 500,000
Trenchless Request for Information W&SS-086 50,000 50,000
Complete Water Meter Replacement W&SS-087 100,000 100,000 100,000 300,000
Water&Sewer Systems Total 2,690,000 1,765,000 2,250,000 2,260,000 2,050,000 11,015,000
Hennepin County Environment Response Fund 300,000 300,000
Water&Sewer Utility-Reserve 100,000 100,000 100,000 300,000
Water&Sewer Utility Fund 2,690,000 1,765,000 2,150,000 1,860,000 1,950,000 10,415,000
Water&Sewer Systems Total 2,690,000 1,765,000 2,250,000 2,260,000 2,050,000 11,015,000
Grand Total 2,690,000 1,765,000 2,250,000 2,260,000 2,050,000 11,015,000
Project# W&SS-001 Department Water&Sewer Systems
Contact
Project Name Sanitary Sewer& Water Line Repair/Recon. Type Unassigned
Useful Life
Category Water and Sewer
Description
Major repairs and reconstruction on the City's sanitary sewer and water systems as needed. Repairs will be done in conjunction with the City's Pavement
Management Program(See S#1).
Justification
— ---- --
To maintain City's water mains and sanitary sewer mains.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Total 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Total 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Project# W&SS-004 Department Water&Sewer Systems
Contact
Project Name Hook Dump Truck Type Unassigned
Useful Life
Category Water and Sewer
Desciiption
Utility truck to replace Unit#690,a 2010 F550 Hook dump truck.
Justification
Increased repair and maintenance expenditures on Unit#691,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 80,000 80,000
Total 80,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 80,000 80,000
Total 80,000 80,000
Project# W&SS-011 Department Water&Sewer Systems
Contact
Project Name Pickup Truck Type Unassigned
Useful Life
Category Water and Sewer
Description
-- - - --- -
Pickup truck to replace Unit#688,a 2010 F150 pickup truck.
Justification
Increased repair and maintenance expenditures on Unit 688,which will be tten(10)years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 40,000 40,000
Total 40,000 40,000
Project# W&SS-014 Department Water&Sewer Systems
Contact
Project Name PickupTruck
Type Unassigned
Useful Life
Category Water and Sewer
De ncsDe ption
Pickup/Utility truck for the Utility Department to replace Unit 604 a 2013 Ford F-550 4X4 with crane.
Justification
Increased repair and maintenance expenditures on Unit 604,which will be nine years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 100,000 100,000
Total 100,000 100,000
Project# W&SS-015 Department Water&Sewer Systems
Contact
Project Name Pickup Truck Type Unassigned
Useful Life
Category Water and Sewer
Description
Pickup/Utility truck for the Utility Department to replace Unit 600,a Ford 2012 F350
Justification
Increased repair and maintenance expenditures on Unit 600,which will be ten years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 75,000 75,000
Total 75,000 75,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 75,000 75,000
Total 75,000 75,000
Project# W&cSS-051 Department Water&Sewer Systems
Contact
Project Name Mill and Overlay Water/Sewer Repairs Type Improvement
Useful Life
Category Water and Sewer
Description A
Water and Sanitary Sewer repairs willl be made in conjuction with the annual Asphalt Overlay program.Repairs include but not limited to valve and hydrant
replacement,manhole adjustments,manhole sealing,and pipe replacement.
Justification l
To maintain the City's sanitary sewer and water systems.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 150,000 150,000 150,000 150,000 150,000 750,000
Total 150,000 150,000 150,000 150,000 150,000 750,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 150,000 150,000 150,000 150,000 150,000 750,000
Total 150,000 150,000 150,000 150,000 150,000 750,000
Project# W&SS-053 Department Water&Sewer Systems
Contact
Project Name Televising and Electroscan Equipment Type Equipment
Useful Life
Category Water and Sewer
Description 1
Sewer televising mainline computer and electronic equipment purchased with the televising truck will be five years old.The televising equipment will be replaced
�]
along with new Electroscan equipment.
Justiticatton
Update computer and electronic equipment that will televise and incorporate electroscan into the upgraded televising equipment.Enhanced sanitary sewer inspection 1
to identify,quantify and prioritize defects in the sanitary sewer system. J
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 150,000 150,000
Total 150,000 150,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 150,000 150,000
Total 150,000 150,000
Project# W&SS-063 Department Water&Sewer Systems
Contact
Project Name Radio Meter Reading System Type Equipment
Useful Life
Category Water and Sewer
Description
Fixed base radio metering reading system for utility billing.. - —
Justification -
i
Existing FCC radio frequency utilized for reading city water meters has been banned by the FCC and city is forced to comply with the rule changes. ll
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 700,000 100,000 800,000
Total 700,000 100,000 800,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 700,000 100,000 800,000
Total 700,000 100,000 800,000
Project# W&SS-066 Department Water&Sewer Systems
Contact
Project Name Valve Re lacement/Watermain Lining Type Unassigned
Useful Life
Category Unassigned
Description
Watermain valve replacement and strategic watennain lining associated with future overlay project.
Justification
Includes the cost to replace leaking water valves and line minor portions of the public watermain in conjunction with the future overlay program.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 100,000 100,000 200,000
'row 100,000 100,000 200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 100,000 100,000 200,000
Total 100,000 100,000 200,000
Project# W&SS-070 Department Water&Sewer Systems
Contact
Project Name Tractor Loader Backhoe Type Unassigned
Useful Life
Category Unassigned
Description
Tractor loader backhoe to replace Unit 675,a 2004 Cat tractor loader backhoe.
Justification
Increased repair and maintenance expenditures on Unit 675,which will be 14 years old.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 160,000 160,000
Total 160,000 160,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 160,000 160,000
Total 160,000 160,000
Project# W&SS-074 Department Water&Sewer Systems
Contact
Project Name I-394 Inflow/Infiltration Project T
J ype Unassigned
Useful Life
Category Unassigned
Descnphon
Reduce inflow/infiltration in the I-394 sewer shed district
Justification
The sanitary sewer in the I-394 sewer shed is currently near capacity following large storm events.The reduction of I/I in the sewer shed is necessary in order to
continue to allow future redevelopment of the corridor.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 250,000 250,000 250,000 750,000
Total 250,000 250,000 250,000 750,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 250,000 250,000 250,000 750,000
Total 250,000 250,000 250,000 750,000
Project# W&SS-076 Department Water&Sewer Systems
Contact
Project Name Sewer Flow Meters
Type Unassigned
Useful Life
Category Unassigned
Description
Portable sewer flow meters for monitoring inflow and infiltration in sanitary sewer system.
Justification J
Replace older portable sewer flow meters to accurately monitor sewer flows.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 35,000 35,000 70,000
Total 35,000 35,000 70,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 35,000 35,000 70,000
Total 35,000 35,000 70,000
Project# W&SS-077 Department Water&Sewer Systems
Contact
Project Name Winnetka Ave Utility Rehabilitation Type Unassigned
Useful Life
Category Unassigned
Description
Replacement and Rehabilitation of all sanitary sewer and watermain along Winnetka Avenue between Golden Valley Road and Medicine Lake Road.
Justification -- �-- -- -------_- --- --
Watermain and Sanitary sewer along Winnetka Avenue should be rehabilitated/replaced in conjunction with the future CenterPoint Energy Beltline Replacement.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 550,000 550,000
Total 550,000 550,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 550,000 550,000
Total 550,000 550,000
Project# W&SS-078 Department Water&Sewer Systems
Contact
Project Name Sanitary Sewer Lining 1/1 Reduction Type Unassigned
Useful Life
Category Unassigned
Description 1
Lining of Sanitary Sewer Mains outside of the PMP project area.
Justification
The City's aging sanitary sewer infrastructure requires maintenance and repair.As part of the maintenance and repair is the lining of sanitary sewer mains.The goal
is to maintain the sanitary sewer to reduce UI and to avoid an additional surcharge/demand charge from MCES,by investing in the sanitary sewer system to reduce
1/I.The proposed budget is for lining approximately 2,600 feet of sanitary sewer main annually.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 100,000 100,000 200,000
Total 100,000 100,000 200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 100,000 100,000 200,000
Total 100,000 100,000 200,000
Project# W&SS-081
Department Water&Sewer Systems
Contact
Project Name 800 MHz Radios
Type Equipment
Useful Life
ll Category Water and Sewer
Description
8-800 MHzrtable radios and accessories to be
portable purchased in 2019.
J su tification -- -
Replace current raidos purchased in 2008.Hennepiin County will no longer support the current 800 Mhz radios past December 31,2019.New radios P25 Phase II
modulation compliant.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Furnishings 40,000 40,000
Total 40,000 40,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 40,000 40,000
Total 40,000 40,000
Project# W&SS-083 Department Water&Sewer Systems
Contact
Project Name T.H. 55 Lift Station Relocation Type Unassigned
Useful Life
Category Unassigned
Description J
Relocate T.H.55 sanitary sewer lift station structure.
Justification l
[Design and construction to relocate T.H.55 lift station to remove the lift station from the flood plain.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 500,000 500,000
Total 500,000 500,000
Funding Sources 2019 2020 2021 2022 2023 Total
Hennepin County Environment 300,000 300,000
Response Fund
Water&Sewer Utility Fund 200,000 200,000
Total 500,000 500,000
Department Water&Sewer Systems
Project# W&SS-086
Contact
Project Name Trenchless Request for Information Type Unassigned
Useful Life
Category Unassigned
Description
Conduct a Request for Information on trenchless technologies.
Justification
A trenchless technologies Request for Information should be conducted so staffhas the newest facts before decisions are made pertaining to the Infrastructure
Renewal Plan. -
Expenditures 2019 2020 2021 2022 2023 Total
Planning/Design 50,000 50,000
Total 50,000 50,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility Fund 50,000 50,000
Total 50,000 50,000
Project# W&SS-087 Department Water&Sewer Systems
Contact
Project Name Complete Water Meter Replacement h p Type Unassigned
Useful Life
Category Unassigned
Description
Replacement of the entire water meter(water meter body,meter,and transmitter)throughout the whole City beginning in 2030.
Justification
The average expected water meter life is twenty years.The existing meters will be thirty years old by 2030.Water meters begin to underestimate water usage as they
age resulting inaccurate water and sewer usage and inaccurate billing.
Expenditures 2019 2020 2021 2022 2023 Total
EquipNehicles/Fumishings 100,000 100,000 100,000 300,000
Total 100,000 100,000 100,000 300,000
Funding Sources 2019 2020 2021 2022 2023 Total
Water&Sewer Utility- 100,000 100,000 100,000 300,000
Reserve
Total 100,000 100,000 100,000 300,000
city of
olden
!l
valley
Capital Improvement Program 2019-2023
Streets Section
The City of Golden Valley has over 120 miles of streets. The city is responsible for 90 miles of local
streets. Municipal State Aid streets account for the remainder or 30 miles. As streets deteriorate,
roads need to be reconstructed or repaired.
The City's Pavement Management Program has outlined all roads to be reconstructed by the year
2023. The bond payments on the debt will go until 2044. This plan has been included in the five year
program.
The revenue sources are city-wide street reconstruction debt levy, state aid debt, benefiting property
owner assessments and Municipal State Aid Allotments.
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS & FUNDING SOURCES BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Streets
Pavement Management Program S-001 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Zane Ave.and Lindsay Street S-009 2,400,000 2,400,000
Pavement Management Overlays S-013 500,000 500,000 500,000 500,000 500,000 2,500,000
TH 100 Pedestrian Bridge Walk Maintenance S-014 200,000 200,000
Flashing Yellow Arrows S-016 45,000 45,000 90,000
Municipal State Aid(MSA)Street Maintenance S-017 125,000 125,000 125,000 125,000 125,000 625,000
Streetscape and City Hall Complex Renovation S-018 100,000 100,000 100,000 100,000 100,000 500,000
MSA Debt Service S-019 201,005 200,165 198,915 197,455 189,000 986,540
Sidewalks,Trails,&Bike Facility Upgrades S-030 325,000 150,000 150,000 150,000 150,000 925,000
Xenia Avenue and Golden Hills Dr Improvements S-031 1,350,000 1,350,000
Auto CAD Application S-032 12,100 12,100 12,100 12,100 12,100 60,500
Cartegraph Street Management Software S-034 20,000 20,000 20,000 20,000 80,000
Retaining Wall Repairs S-036 100,000 100,000 100,000 100,000 100,000 500,000
Highway 55 West Redevelopment Project S-038 63,500 182,310 179,900 182,450 179,950 788,110
Zenith Avenue Reconstruction S-041 1,500,000 1,500,000
Railroad Crossing Improvements S-042 250,000 250,000
Pavement Surface Treatments S-044 100,000 100,000
Streets Total 7,116,605 4,884,575 4,785,915 8,732,005 4,756,050 30,275,150
Capital Improvement Fund(6100) 907,100 482,100 382,100 382,100 362,100 2,515,500
City of Crystal 100,000 100,000
Municipal State Aid(MSA-5100) 1,094,005 370,165 323,915 4,267,455 314,000 6,369,540
Special Assessment Bonds 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Special Assessments 582,000 582,000
Street Improvement Fund 500,000 500,000 500,000 500,000 500,000 2,500,000
Tax Increment 63,500 182,310 179,900 182,450 179,950 788,110
Streets Total 7,116,605 4,884,575 4,785,915 8,732,005 4,756,050 30,275,150
Grand Total 7,116,605 4,884,575 4,785,915 8,732,005 4,756,050 30,275,150
Project# S-001 Department Streets
Contact
Project Name Pavement Management Program Type Improvement
Useful Life
Category Street Construction
Description
On-going program to manage the City's stmt system in a long term cost effective manner by reconstructing deficient roadways to City standards.
Justification
Reconstruction of sub-standard roadways to City standards followed by proper and effective maintenance will reduce the long range costs of street maintenance.
2018-1.30 miles
2019-1.56 miles
2020-1.27 miles
2021-1.33 miles
2022-1.25 miles
2023-1.22 miles J
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Total 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Funding Sources 2019 2020 2021 2022 2023 Total
Special Assessment Bonds 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Total 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Project# S-009 Department Streets
Contact
Project Name Zane Ave.and Lindsay Street Type Unassigned
Useful Life
Category Street Reconstruction
Description -
Reconstruction of Zane Avenue and Lindsay Street to Municipal State Aid standards
Justification
Upgrade deficient roadways to current MSA standards. J
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 2,400,000 2,400,000
Total 2,400,000 2,400,000
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 2,400,000 2,400,000
5100)
Total 2,400,000 2,400,000
Project# 5-013 Department Streets
Contact
Project Name Pavement Management Overlays Type Unassigned
Useful Life
Category Street Construction
Description
Pavement overlays for streets constructed to City standards to maximize the lifespan in a long term cost effective manner.
Future projects determined annually based upon needs.
Justification —71
Provides high quality street system in a long tern cost effective manner in accordance with the Payement Management Policy.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 500,000 500,000 500,000 500,000 500,000 2,500,000
Total 500,000 500,000 500,000 500,000 500,000 2,500,000
Funding Sources 2019 2020 2021 2022 2023 Total
Street Improvement Fund 500,000 500,000 500,000 500,000 500,000 2,500,000
Total 500,000 500,000 500,000 500,000 500,000 2,500,000
Project# 5-014 Department Streets
Contact
Project Name TH 100 Pedestrian Bridge Walk Maintenance Type Unassigned
Useful Life
Category Street Construction
Descnption
Replace approach sidewalk on the Golden Valley side of the Trunk Highway 100 Pedestrian Bridge and repaint/seal hand railings on entire bridge. -
Justification
The existing concrete sidewalk on the approach to the TH 100 Pedestrian Bridge has settled and created a large gap between concrete panels,resulting in a hazardous
condition for bicyclists using the bridge.Replacement walk will not have a center joint and will be reinforced to minimize settlement.The railings have been subject
to repeated graffiti and must be repainted and sealed.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 200,000 200,000
Total 200,000 200,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 100,000 100,000
(6100)
City of Crystal 100,000 100,000
Total 200,000 200,000
Project# 5-016 Department Streets
Contact
Project Name Flashing Yellow Arrows Type Unassigned
Useful Life
Category Street Construction
Description
Installation of flashing yellow arrows for left turns at eligible signalized intersections.
Justification
Flashing yellow arrows will reduce delay for left turning vehicles and increase the level of service of the intersection during non-peak hours.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 45,000 45,000 90,000
Total 45,000 45,000 90,000
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 45,000 45,000 90,000
5100)
Total 45,000 45,000 90,000
Project# 5-017 Department Streets
Contact
Project Name Municipal State Aid (MSA) Street Maintenance Type Unassigned
Useful Life
Category Unassigned
Description
Allotment of a portion of the City's annual Municipal State Aid construction funds to be used for maintenance of designated State Aid routes,including materials
and salaries.
Justification
- - --
Maintenance ofMunicipal-State Aid street system which is approximately 30 miles..
Expenditures 2019 2020 2021 2022 2023 Total
Other 125,000 125,000 125,000 125,000 125,000 625,000
Total 125,000 125,000 125,000 125,000 125,000 625,000
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 125,000 125,000 125,000 125,000 125,000 625,000
5100)
Total 125,000 125,000 125,000 125,000 125,000 625,000
Project# .S-U18 Department Streets
Contact
Project Name Streetscape and City Hall Complex Renovation Type Unassigned
Useful Life
Category Street Construction
Description
Comprehensive rehabilitation of the Winnetka Avenue Streetscape and City Hall Complex streetscape landscape and pedestrian facilities based upon the
recommendation in the 2012 Streetscape Asset Management Plan.
Justification
2019-Complex sidewalk replacement between Vehicle Maintenance and Library
2020-Rehab retaining wall planters
2021-Rehab bollards
2022-Rehab trellis posts/columns
2023-Banners
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 100,000 100,000 100,000 100,000 100,000 500,000
Total 100,000 100,000 100,000 100,000 100,000 500,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 100,000 100,000 100,000 100,000 100,000 500,000
(6100)
Total 100,000 100,000 100,000 100,000 100,000 500,000
Project# 5-019 Department Streets
Contact
Project Name MSA Debt Service Type Unassigned
Useful Life
Category Unassigned
Description
Debt Service payment on Municipal State Aid Bonds ending in 2027.
Justification
Necessary funding for State Aid roads to construct projects needed for safety.
Expenditures 2019 2020 2021 2022 2023 Total
Other 201,005 200,165 198,915 197,455 189,000 986,540
Tom 201,005 200,165 198,915 197,455 189,000 986,540
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 201,005 200,165 198,915 197,455 189,000 986,540
5100)
Total 201,005 200,165 198,915 197,455 189,000 986,540
Project# S-030 Department Streets
Contact
Project Name Sidewalks,Trails,& Bike Facility Upgrades Type Unassigned
Useful Life
Category Street Construction
Description
Upgrading the deficient portions of the City's sidewal and trail systems to current standards including compliance with accessibility standards.This project also
includes construction of new sidewalks and hails throughout the City consistent with the Comprehensive Transportation plan.
Justification
Completion of the City's sidewalk and trail system as identified in the Comprehensive Transportation Plan will provide greater mobility for non-motorized
transportation within the City that is fully accessible for users of all physical abilities.
Projects include Laurel Ave Sidewalk,Louisiana Avenue to Xenia Avenue,Plymouth Avenue bituminous trail removal and sidewalk construction,Golden Valley
Road Sidewalk extension on south side from Rhode Island to Luce Line,ADA Improvements:Duluth St,Lilac Dr,St Croix Av
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 325,000 150,000 150,000 150,000 150,000 925,000
Total 325,000 150,000 150,000 150,000 150,000 925,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 325,000 150,000 150,000 150,000 150,000 925,000
(6100)
Total 325,000 150,000 150,000 150,000 150,000 925,000
Project# S-031 Department Streets
Contact
Project Name Xenia Avenue and Golden Hills Dr Improvements Type Improvement
Useful Life
Category Street Reconstruction
Description
Modification to streets,traffic signals and pedestrian system at and near the intersection of Xenia Avenue and Golden Hills Drive. -
Justification
Modification to the traffic signals,street system and pedestrian system in the vicinity of Golden Hills Drive and Xenia Avenue to accommodate redevelopment in the
area.The proposed improvements include the railroad crossing improvements,installation of sidewalk on the north side of Golden Hills Drive between the railroad
tracks and Colorado Avenue,completing the sidewalk on the south side of Golden Hills Drive at the railroad crossing and a pavement overlay of portions of Xenia
Avenue,Laurel Avenue and Golden Hills Drive.This project was planned for fall of 2018.
Expenditures 2019 2020 2021 2022 2023 Total
Infrastructure Improvements 1,350,000 1,350,000
Total 1,350,000 1,350,000
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 768,000 768,000
5100)
Special Assessments 582,000 582,000
Total 1,350,000 1,350,000
Project# 5-032
Department Streets
Contact
Project Name Auto CAD Application Type Unassigned
Useful Life
Category Unassigned
Description
AutoCAD is a-CAD design,drafting,modeling,architectural drawing,and engineering software that helps with design and as-built drawings of infrastructure.
Justification - -
ihis software is the maintenance and upgrades for software to manage our street and utility systems.
Expenditures 2019 2020 2021 2022 2023 Total
Other 12,100 12,100 12,100 12,100 12,100 60,500
Total 12,100 12,100 12,100 12,100 12,100 60,500
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 12,100 12,100 12,100 12,100 12,100 60,500
(6100)
Total 12,100 12,100 12,100 12,100 12,100 60,500
Project# 5-034 Department Streets
Contact
Project Name Cartegraph Street Management Software Type Unassigned
Useful Life
Category Unassigned
Description
Implementation of Cartegraph Asset Management software applications to manage public utilities,roadways,bridges,sidealks,trails and utilities.
I
In 2017,a new version was purchased.
Justification
Infrastructure management software to maintain data on all spublic infrastructure including capiital and maintenance costs In 2018,software update and hardware 1
are included.Future applications include bridges,sidewalks and trails,call tracking,and others. J
Expenditures 2019 2020 2021 2022 2023 Total
Other 20,000 20,000 20,000 20,000 80,000
Total 20,000 20,000 20,000 20,000 80,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 20,000 20,000 20,000 20,000 80,000
(6100)
Total 20,000 20,000 20,000 20,000 80,000
Project# S-036 Department Streets
Contact
Project Name RetainingWall Repairs p Type Maintenance
Useful Life
Category Unassigned
Description
Repair and replacement of retaining walls and other assets within the city right-of-way. J
Justification
Retaining walls need to be repaired within the city right-of way
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 100,000 100,000 100,000 100,000 100,000 500,000
Total 100,000 100,000 100,000 100,000 100,000 500,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 100,000 100,000 100,000 100,000 100,000 500,000
(6100)
Total 100,000 100,000 100,000 100,000 100,000 500,000
Project# S-038 Department Streets
Contact
Project Name Highway 55 West Redevelopment Project Type Improvement
Useful Life
Category Street Construction
Deschon h - - -_
P
Rehabilitation and realignment of Golden Valley Road and Decatur Avenue,installation of pedestrian amenities and burial of overhead utilities.
- --
Justification
Due to a development project in the vicinity of this intersection and establishment of a Tax Increment District,infrastructure upgrades are proposed on Golden Valley
Road,Decatur Avenue,and 7th Avenue.New development will bring increased traffic and pedestrians to the area.The project aims to maintain safety and establish
an aeshetic and pedestrian friendly corridor.
Expenditures 2019 2020 2021 2022 2023 Total
Debt Service Payments 63,500 182,310 179,900 182,450 179,950 788,110
Total 63,500 182,310 179,900 182,450 179,950 788,110
Funding Sources 2019 2020 2021 2022 2023 Total
Tax Increment 63,500 182,310 179,900 182,450 179,950 788,110
Total 63,500 182,310 179,900 182,450 179,950 788,110
Project# S-041 Department Streets
Contact
Project Name Zenith Avenue Reconstruction Type Unassigned
Useful Life
Category Unassigned
I D se cription -
Reconstruct Zenith Avenue to State Aid standards along Theo Wirth Parkway to 36th J
Justification
Thi a road is in need of repair and will complete construction on the State Aid road system in Golden Valley.
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 1,500,000 1,500,000
Total 1,500,000 1,500,000
Funding Sources 2019 2020 2021 2022 2023 Total
Municipal State Aid(MSA- 1,500,000 1,500,000
5100)
Total 1,500,000 1,500,000
Project# S-042 Department Streets
Contact
Project Name Railroad Crossing Improvements Type Unassigned
Useful Life
Category Unassigned
Description
Replacement of railroad crossing pads at intersections with City streets.
Justification
This project aims to replace failed railroad crossing pads at the intersections of 10th Avenue and Union Pacific Railroad as well as Mendelssohn Avenue and Union
Pacific Railroad. J
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 250,000 250,000
Total 250,000 250,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 250,000 250,000
(6100)
Total 250,000 250,000
Project# S-044 Department Streets
Contact
Project Name Pavement Surface Treatments Type Unassigned
Useful Life
Category Street Construction
Description - -
Pavement surface treatments to streets to extend the life of the pavement.
Justification
Noble Avenue and Winnetka Avenue were both reconstructed approximately 15 years ago and have not received any treatments.The pavement is reaching the point
where the appropriate treatment will significantly extend its service life. - ---- -- -- - , ---- ]
Expenditures 2019 2020 2021 2022 2023 Total
Construction/Maintenance 100,000 100,000
Total 100,000 100,000
Funding Sources 2019 2020 2021 2022 2023 Total
Capital Improvement Fund 100,000 100,000
(6100)
Total 100,000 100,000
city 0
golden
alley
Capital Improvement Program 2019-2023
Appendix Section
Exhibit A
Special Assessment Policy
for
The City of Golden Valley
January 17, 1995
Amended February 21, 1995
Amended June 7, 2005
Amended July 18, 2006
Amended January 20, 2009
General
Minnesota State Law, Chapters 429.010 to 429.11, provides municipalities the ability to
make public improvements such as installation of sanitary sewer, water, storm sewer,
sidewalks, and street improvements (including grading, curb and gutter, surfacing, and
lighting). The procedures that Cities must follow, including reports, notices, and public
hearings, are well defined within the laws.
The Statute allows municipalities to assess all or portions of the costs of any
improvements to property owners based on the benefits received from the project. The
Statute is not specific regarding the determination of benefits to a property, or how to
apportion the costs to the benefiting properties. Rather, the law makes the municipality
responsible for developing an equitable method of cost sharing among the benefiting
property owners.
The purpose of this special assessment policy is to provide a guide, to be used by City
Staff, for preparing assessment rolls for approval by the City Council. This policy is
meant to assure uniform and consistent treatment to all properties within the City as
improvements occur.
The special assessment policy will not cover all possible assessment situations. Special
cases and variations of standard cases that are not specifically discussed under this
policy will be evaluated during preliminary project studies, and assessments will be
determined that do not violate the benefit principles as required by Statute.
No special assessments will be levied against designated floodplains, municipal storm
water ponds or wetland areas on private property as determined by criteria in the
Wetland Conservation Act of 1991 and the Minnesota Department of Natural
Resources. The limits of wetlands will be determined by the City on a case-by-case
basis at the time of preliminary project design and feasibility report preparation.
No special assessments will be levied against railroad, county highway or state highway
rights-of-way. Properties fronting County Roads and County Highways will be subject to
special assessments for reconstruction projects based upon this policy.
Special assessments levied by the City will include an administrative fee, to be
established annually by ordinance, to finance indirect costs associated with the
assessment that are incurred by the City.
Sanitary Sewer and Water Main Assessments
Reconstruction and Repairs
No special assessments will be levied for repair and reconstruction of existing
sanitary sewer and water main systems, except for properties that have not been
previously assessed for these utilities.
For properties not previously assessed that are adjacent to sanitary sewer or
water main reconstruction projects, the amount of special assessments will be
calculated on a case-by-case basis at the time of preliminary design and
feasibility report preparation.
Property owners are responsible for maintenance, repair and replacement of
sanitary sewer services from, and including the connection to the main, and the
building being served. Pavement Management street reconstruction projects will
include an opportunity for property owners to reconstruct or repair their sanitary
sewer services. All costs, including construction, administration and other indirect
costs, will be specially assessed to the property being served by the sanitary
sewer service.
The City is responsible for maintenance, repair and replacement of water
services from the connection to the water main up to and including the curb stop
or valve on the service line. The property owner is responsible for maintenance,
repair and replacement of the water service from the connection of the service
pipe to the valve or curb stop, to the building being served.
New Construction
In instances where property is developing or redeveloping, public sanitary sewer
and water main may need to be installed. The construction of City sanitary
sewer, water mains and storm sewer to serve these properties will be
constructed as public improvement projects, unless the City opts to have the
developer design and construct the improvements. The developer of such
properties will be responsible for the entire cost of public utilities, including
construction, administration and other indirect costs, whether construction is
performed as a City Improvement Project or by the developer.
At the time such a development project is proposed, the Public Works
Department will determine if the project is to be constructed publicly or privately.
If the utility installation is to be constructed privately, the developer will be
responsible for preparing construction plans and specifications consistent with
City standards. These construction plans and specifications must be reviewed
and approved by the Public Works Department. The utility installation must also
be inspected by the Public Works Department during construction. The
developer will be responsible for 100% of the costs of City construction
observation and plan review, which will be billed directly to the developer. Any
unpaid costs incurred for these services will be assessed against the developing
properties. An irrevocable letter of credit must be posted by the developer in an
amount equal to 150% of the estimated construction costs to ensure timely
completion of the project.
If a public sanitary sewer or water main project is to be installed as a City
Improvement Project, the developer will be responsible for 100% of the direct
and indirect costs incurred by the City. These costs may include, but are not
limited to: feasibility report preparation, preliminary survey, preliminary design,
final design, construction staking, construction observation, as-built surveying
and drafting, and administrative and legal costs. The developer may elect to
have these costs assessed against the property being developed or pay the
costs directly to the City.
Storm Water Drainage
Street Storm Sewer
No special assessments will be levied for construction or reconstruction of storm
sewer systems within the City right-of-way as part of the Pavement Management
Programa However, in instances where storm sewer construction is incorporated
into Pavement Management Projects to resolve rear yard drainage issues, as
discussed in this policy, the costs associated with these improvements will be
specially assessed to the benefiting property owners.
In instances where storm sewer installation is required for development and
redevelopment projects, it shall be specially assessed to the property being
developed according to the Sanitary Sewer and Water Main Assessments
section of this policy.
Rear Yard Storm Sewer
In certain instances, storm sewer is necessary in rear yard areas to correct
existing drainage problems. City staff will visit such problem areas at the request
of a homeowner to evaluate the situation and provide engineering assistance to
encourage property owners to remedy the drainage problems without City
involvement.
If a property owner or owners cannot remedy the rear yard drainage problems,
they may petition the City for installation of storm sewer. Upon receiving a
request for petition for rear yard storm sewer, engineering staff will determine the
properties that contribute storm water runoff to the problem area. The petitioner
must then circulate the petition to the contributing property owners for signatures.
Each contributing property owner must be made aware that special assessments
will be levied against their property for the corrective storm sewer work. A
minimum of 35% of the contributing property owners must sign the petition for
the City Council to consider the project. Upon receipt of the petition and after a
public hearing, the City Council may either deny the request or order the storm
sewer improvements. If the improvements are ordered, the contributing property
owners will be assessed for 100% of the construction and indirect costs for the
storm sewer installation. The method of assessment and the pro-ration of costs
will be determined on a project-specific basis.
Affected property owners in rear yard drainage projects will also be required to
dedicate all drainage and utility easements for the installation of the storm sewer
at no cost to the City. If the City must purchase or condemn in order to obtain the
easements, the entire acquisition costs will be included in the project costs for
assessment or the City may decline to undertake the project.
Street Improvements
Development/Redevelopment Projects
When property is developed or redeveloped that has street frontage on
roadways that are scheduled for construction or reconstruction, the development
will be required to pay an escrow for the future street rehabilitation. The escrow
shall be based upon the assessment methods and land uses contained in this
policy, and shall be based on the assessment rates in effect at the time the
development is approved. The property or properties within the development will
not be specially assessed at the time street rehabilitation occurs.
Sidewalks
No special assessments will be levied for sidewalk construction that is in
accordance with the goals and recommendations of the City of Golden Valley
Sidewalk Committee. Requests for sidewalks that are not on the current
Sidewalk and Trail Plan will be forwarded to the Sidewalk Committee for
consideration. The Sidewalk Committee will forward its recommendations for the
requested sidewalks to the City Council, which will determine if the proposal
should be included in the Sidewalk Plan.
Street Lightinq
Street lighting is available to the residents of Golden Valley on a petition basis
according to the Street Lighting Policy.
New Street Construction
As property within the City develops or redevelops, it may be necessary to install
public streets. The Public Works Department will determine if the project is to be
installed publicly or privately. The procedures, policies, and requirements for
street construction will be the same as discussed for new sanitary sewer
installations.
Sealcoating
No special assessments will be levied for street sealcoating.
Bituminous Milling and Overlays
No special assessments will be levied for bituminous milling and overlays.
Street Reconstruction
Special assessments for street reconstruction projects will be in accordance with this
policy and Minnesota Statutes, Chapter 429. The total amount of the special
assessments will be a minimum of 20% of the street reconstruction costs not to exceed
the benefit received by each property. Special assessment rates for all land uses and
street classifications will be determined annually by ordinance.
Local Streets
1. Properties with residential and duplex residential land use, parks and other City-
owned properties subject to reconstruction will be assessed on a per-unit basis,
with one unit assessed to each property unless the property has the potential to
be further subdivided into two or more lots that each meets City subdivision
ordinance requirements. Such lots that may be so subdivided shall be assessed
for the number of units that equals the number of such lots that the property may
be subdivided into. However, residential properties that are subject to multiple
unit assessments will have all but one of such unit assessments deferred at the
time of the initial assessment. Such deferral will be made each year until such
time as the property is subdivided. At that time, the deferred unit assessments
shall be due.
2. Special assessments against properties with Multiple Dwelling land use will be
on a front-foot basis, with 100% of the frontage being improved subject to
assessment.
3. Properties with church, school and other tax exempt land uses will be assessed
on a front-foot basis, with 100% of the frontage being improved subject to
assessment.
4. All other land uses, including commercial, industrial, business and offices will be
assessed on a front-foot basis, with 100% of the frontage being improved subject
to assessment.
5. Residential properties adjacent to local streets being reconstructed may
participate in voluntary programs to have their driveways reconstructed and
sanitary sewer service repaired or reconstructed at contract unit prices.
Residents will be notified of these programs at informational meetings for each
street project. If a resident participates in these programs, staff will coordinate
construction with the contractor and will measure the quantities installed. The
construction costs, along with an administrative fee, established annually by
ordinance, will be assessed to the property owner.
6. When a corner residential lot has frontage on two local streets, it will be
assessed for one-half unit assessment for each street subject to reconstruction.
No more than one total unit assessment will be charged against a parcel for
street reconstruction. Corner properties adjacent to State Aid and local streets
will be charged one-half of the appropriate unit assessment at the time of
reconstruction of each street.
7. Corner residential properties adjacent to a local street and a state or county
roadway will not be subject to special assessments by the City for state highway
or county road reconstruction. However, these properties will be assessed the
appropriate number of unit assessments for the entire frontage along the local
streets when reconstruction occurs on the local street.
8. Residential properties adjacent to frontage roads of state highways will be
considered to be on local or Municipal State Aid streets and will be assessed
consistent with this policy.
9. Special Assessments for properties not specifically covered in any of the above
cases will be addressed on a parcel-specific basis at the time of the feasibility
report.
State Aid Streets
1. Properties with residential and duplex residential land uses that have frontage on
a Municipal State Aid Street will be assessed on a per-unit basis. The per-unit
assessment rate will be approximately 25% of the standard residential rate for
properties on local streets. Assessments for oversized parcels with the potential
for subdivision are to be consistent with the previously discussed policy for local
streets.
2. Properties with Multiple Dwelling land use that front on a Municipal State Aid
Street will be assessed on a front-foot basis for the frontage being improved.
Properties with church, school, and other tax-exempt land uses that front on a
Municipal State Aid Street will be assessed on a front-foot basis for the frontage
being improved.
All other land uses, including commercial, industrial, business and offices that
front on a Municipal State Aid Street will be assessed on a front-foot basis for the
frontage being improved.
3. Special assessments for properties not specifically covered in any of the above
cases will be addressed on a parcel-specific basis at the time of the feasibility
report.
4. Residential properties adjacent to State Aid streets being reconstructed will be
given the option of having their driveways and sanitary sewer services repaired
or reconstructed under the same terms discussed in the local street
reconstruction portion of this policy.
County Roads
1. Properties with residential and duplex residential land uses adjacent to county
roads will be assessed according to the previously discussed methods for local
streets, except for corner lots with local streets, which will be assessed in full at
the time the intersecting local street is reconstructed. Special assessments to
residential properties will be at State Aid street rates.
2. All other land uses, including commercial, industrial, business, and tax-exempt
uses will be assessed on a front-foot basis, with 100% of the frontage being
improved subject to assessment. The assessment rate shall be the rates used
for State Aid streets as established by ordinance.
Low Income Senior Citizen and Disability Deferments
As required by Minnesota Statute, the City has a special assessment deferral policy for
low income senior citizens and disabled persons meeting all of the following criteria:
1. The property upon which the assessment is deferred must be homesteaded;
2. The property is owned by a person at least 65 years of age on January 1 st of the
year in which payment of the first installment of the subject assessment is due; or is
owned by a person who is retired due to permanent and total disability.
3. The applicant must have a "financial hardship" defined as:
a) An annual income at or below a level established annually by ordinance and;
b) The aggregate total of all special assessments levies will exceed one and one-
half percent (1-1/2%) of the applicant's annual income.
More information is available at General Services Office (763.593.8020).
Street Reconstruction Special Assessment Rates
Special assessment rates as discussed in this policy will be established yearly with the
Annual Fee Resolution. The rates will be based on the percentages of construction and
indirect costs as discussed above. Indirect costs are estimated to be 30% of the
construction costs and include administration, engineering, construction observation,
and legal fees. These rates will be subject to revision each year based on the actual
construction costs in the City from the previous year and for inflation based upon the
ENR Index for construction costs.
city of
golden l•1\e�y1
Fleet Operation ,
Maintenance , and
Replacement Policy
Message from the Manager
Motor vehicles and equipment are vital to day-to-day operations and service delivery
activities of the City of Golden Valley. The Public Works Department Vehicle
Maintenance Division is responsible for the stewardship of the City's fleet and
equipment assets and for meeting the fleet and equipment service requirements of City
departments. The division also develops fleet and equipment utilization and
replacement policies and schedules. The Vehicle Maintenance Division is an internal
service division of the Public Works Department of which the costs are allocated to the
other City departments for services provided.
The main goal of the Public Works Department Vehicle Maintenance Division is to
provide vehicles that are dependable, flexible, efficient, and responsive so that City
departments and divisions can operate in a cost-effective manner, minimizing the City's
vehicle equipment budget. The division is also committed to maintaining the City's fleet
and equipment so that the equipment is readily available for performing City operations
and keeping downtime to a minimum. The Public Works staff works with all departments
to embrace a philosophy which emphasizes the value of the importance of vehicle and
equipment availability, safety, reliability, and efficiency as well as preserving the City of
Golden Valley's major capital investment in fleet and equipment.
The City has established a capital replacement schedule to replace aging vehicle and
equipment. The vehicle and equipment replacement schedule, in conjunction with the
5-year Capital Improvement Program (CIP) and operating budgets, is used to plan any
major capital investment (the CIP reflects only those investments that exceed $10,000).
New equipment or other items, which are not part of a replacement schedule, are
funded annually out of the originating or requesting department's operating budget.
Approved February 2010
Purpose
The purpose of this policy is to assign responsibility to the City of Golden Valley's Public
Works Department Vehicle Maintenance Division for the operation, maintenance,
acquisition, and replacement of vehicles and equipment owned and operated by the
City, with the exception of vehicles and equipment used by Brookview Golf Course,
which are acquired, operated, maintained, and replaced by Golf Maintenance.
Policy
This policy is intended to ensure the availability of funds for the operation, maintenance,
acquisition, and replacement of fleet and equipment. Adherence to this policy will
provide effective and efficient fleet and equipment services for operating
departments/divisions to provide the best services for the residents and businesses of
Golden Valley. This policy establishes a sound business approach associated with the
evaluation of vehicle and equipment cost and capabilities, purchasing and funding
methodology, and making decisions on acquisition and replacement considering the
level of usage and demonstrated needs. Departments are asked to review vehicle and
equipment needs with a goal of increasing fuel efficiency, consideration of alternative
and/or flexible fuels, reducing the number of vehicles, conversion of the diesel vehicle
and equipment to bio-diesel, and promoting the anti-idling policy.
1. Vehicle and Equipment Replacement
A vehicle and equipment replacement schedule is maintained by the Public Works
Department Vehicle Maintenance Division and Finance Department. Replacement of
vehicle and equipment will generally follow the attached Equipment and Vehicle
Replacement Guidelines and are summarized as follows and listed as Attachment A:
a. Description
b. Unit number
c. Classification
d. Year purchased
e. Purchase price
f. Expected service life
g. Projected replacement cost
h. Annual fuel, maintenance, and overhead costs by vehicle classification
2. Vehicle and Equipment Maintenance
Vehicle and equipment preventative maintenance schedules are maintained by the
Public Works Department Vehicle Maintenance Division with the goal of keeping
vehicles and equipment available 95% of the demand time.
a. Generally, maintenance standards and procedures are as recommended by the
vehicle/equipment manufacturer or other recognized authority, or utilizing the
Public Works Department Vehicle Maintenance Division Preventative
Maintenance Schedules.
L Daily maintenance inspections are performed by operators and
maintenance personnel using the Pre-operation Inspection Form.
ii. Scheduled maintenance is performed by the maintenance mechanics
considering the above-referenced Preventative Maintenance Schedules.
iii. Demand maintenance is generated by user activities and may require
outside services. The Service Request Form is used to request demand
maintenance.
iv. All maintenance done by the operator shall be coordinated with the
Vehicle Maintenance Division.
b. The Public Works Department Vehicle Maintenance Division may remove
equipment or vehicles from service based on the Commercial Vehicle Safety
Alliance (CVSA) Out-of—Service Criteria (OSC) or other recognized criteria.
3. Vehicle and Equipment Operation
The use of City vehicles or equipment is approved only for matters related to City job
responsibilities or for City business. Operation of City vehicles and equipment shall
be in accordance with the Employee Handbook, Section 5.0, Subd. 5.25, Vehicle
Use, January 1, 2006. Care and cleaning of vehicle and equipment is the
responsibility of the user.
The Public Works Department Vehicle Maintenance Division will manage and
maintain the central fuel system. This includes fuel system access assignments and
records management.
a. Dedicated department vehicles shall be assigned to departments whose job
duties require the immediate availability of a vehicle.
L Dedicated vehicle use shall be subject to the same limitations and
conditions as identified in the Vehicle Use Policy.
b. Shared vehicles should be considered for employees with similar job duties and
should be considered in lieu of a dedicated vehicle.
Funding
Vehicle and equipment replacement will be funded through the CIP. The Public Works
Department Vehicle Maintenance Division will maintain a current and complete
inventory of all vehicles and equipment in coordination with all users and the Finance
Department. These inventories will establish all divisions/department vehicle and
equipment replacement schedule. All vehicles and equipment maintained by the Vehicle
Maintenance Division will be reviewed on an annual basis for replacement. If a
department/division has requested replacement or an addition to the fleet, Vehicle
Maintenance will make a recommendation on the purchase for the CIP to the City
Manager. The CIP will be presented to the City Council for consideration and approval
during the budget process.
1. Funding New and Replacement Vehicles and Equipment
Fleet and equipment projected for replacement, or additional vehicles and
equipment, will be funded through the CIP process. Upon acquisition, all fleet and
equipment purchased shall be included in the vehicle and equipment inventory
database. Requests for fleet and equipment replacement will be addressed through
the normal budget process.
a. Fleet and equipment with a value in excess of$10,000 purchased for the first
time must be included in the CIP.
b. Fleet and equipment with a valueless than $10,000 purchased for the first time
does not have to be included in the CIP, but must be included in the operating
budget.
2. Funding of Operational Expenses
a. Fuel Allocation
Fuel is allocated based on usage by each piece of equipment or vehicle and
billed monthly to the responsible department. Pricing for fuel is based on average
total cost of inventory and an overhead charge, as set by the Finance
Department.
3. Reassigned Equipment
a. Reassigned equipment may be used in lieu of new vehicles/equipment with
written approval by the City Manager. Reassignment duration will be as
determined annually by the Public Works Department Vehicle Maintenance
Division. Reassignments moved within or across departments/divisions will be
charged for conversion costs to the receiving department/division by internal
service charges. Reassignments with no conversion costs will not be charged.
The Finance Department will be notified of all reassignments for fixed assets and
insurance reports.
4. Equivalent Replacement/Upgrades
a. The CIP fund is structured to replace each vehicle or piece of equipment with an
equivalent unit, unless specified/justified, during the budget process.
b. Cost increases due to upgrades, changes in type of fleet or equipment, addition
of options, or other upgrades associated with vehicles scheduled for
replacement, shall be highlighted and clearly summarized as an element of the
CIP by the department requesting the upgrade or addition in options.
Responsibilities
1. Department Directors shall be responsible for:
a. Ensuring that all vehicles and equipment for replacement requests are of the
appropriate type and have only those items/options that are operationally
required.
b. Submitting requests for replacement with cost estimates to the Finance
Department and the Public Works Maintenance Manager prior to the CIP and
budget process.
2. The Public Works Department Vehicle Maintenance Division shall be
responsible for:
a. Submitting a 5-year Capital Improvement Program to the Finance Department
and City Manager during the budget process.
b. Reviewing replacement schedule annually with departments during the budget
process to ensure all vehicles and equipment are replaced as appropriate.
c. Establishing the Vehicle and Equipment Replacement Schedule.
d. Tracking fuel, labor and repair parts annually, and provide this information to
Finance and responsible departments.
e. Identifying the actual historical cost and variations in cost performance based on
lifetime-accumulated age and usage of the various vehicle and equipment types
(classifications).
3. The Finance Department shall be responsible for:
a. Completing an analysis and reconciliation of the vehicle replacement CIP on an
annual basis.
Purchasing and Disposal
1. Purchasing Procedures
a. New vehicles and equipment will be purchased by the Public Works Maintenance
Manager, as assigned by the Director of Public Works and in accordance with
Minnesota Statute 471.345. Acquisitions require the cooperation and assistance
of many departments.
b. When possible, purchases will be made from the State of Minnesota, Hennepin
County, or other Joint Purchasing Agreement contracts, as permitted by State
Statute. These purchases will also follow the City's purchasing policy.
c. Details for budgeting will be provided by the Finance Director when providing the
overall budget guidelines.
2. Equipment Disposal
a. Disposal of equipment shall be in accordance with the City's business standard
of disposing all vehicles and equipment by auction, trade-in, or other approved
methods.
b. When vehicles and equipment are replaced, there may be reassignment of
vehicles or equipment, but there will be no fleet or equipment hold over on the
fleet after a replacement is purchased. Adding fleet or equipment to the inventory
without City Manager authorization is not permitted.
c. In order to address the seasonal or short-term needs, fleet or equipment may be
retained temporarily for a period not to exceed nine months from the date the
replacement fleet or equipment is placed into service.
Request for Vehicles, Equipment, and Service
1. Requesting Vehicles or Equipment
a. New vehicles or equipment in excess of$10,000 must be made and approved
through the CIP budget process, and have a life of more than three (3) years.
The request shall be discussed with the Public Works Maintenance Manager and
Vehicle Maintenance Division to avoid duplication of equipment and to discuss
the appropriate type and size of vehicle or equipment requested.
b. Request for new vehicle or equipment less than $10,000 must be made and
approved through the normal budget process.
2. Repair and Maintenance of Vehicle or Equipment Requests
a. All repair and maintenance of vehicles and equipment will be made by
completing the Vehicle Maintenance Repair Slip, as provided by the Vehicle
Maintenance Division.
Acquisition Request(s)
The 5-year CIP will be reviewed and evaluated annually as part of the budget process.
In any given year, vehicle or equipment originally planned for replacement may be
adjusted as necessary to account for current needs.
city 0
olden
valley
VEHICLE AND EQUIPMENT REPLACEMENT GUIDELINES
Public Works Department Vehicle Maintenance Division Management
Methodology
To manage the City's fleet in a manner that theoretically all of the City's motorized
equipment and vehicles are maintained and disposed of by the Public Works
Department Vehicle Maintenance Division. The Vehicle Maintenance Division has full
responsibility for vehicle and equipment maintenance and the equipment users are
charged an hourly repair rate for all service and repairs.
1. Expected Life
When new vehicles or equipment are purchased, it is given an expected life (years
in service) based on a variety of factors. Below are the estimated life expectancies
for some of the significant pieces of equipment:
a. Engine Pumpers 20+ years (refurbish half way through life cycle)
b. Tandem Dump Trucks 12 years
c. Single Axle Dump Trucks 12-14 years-some longer
d. Wheel Loaders 15-18 years
e. Backhoe/Excavators 10-12 years
f. Jet Truck 10 years
g. One-Ton Trucks 9-10 years
h. 3/ and Y2 Ton Pickups 10 years-some longer
i. Skid Steers 8-10 years
j. Street Sweeper 8 years
k. Tractors Varies (15 years average)
I. Vactor Truck 10 years
m. Mowers Varies (6-10 years)
n. Sport Utility Vehicle 10 years
o. Passenger Cars/Vans 10 years
p. Squad Cars 100,000 miles/4 years
q. Trailers 15 years
r. Sidewalk Machines 10-12 years
2. Replacement Factors
When a particular piece of vehicle or equipment achieves its expected life and
reaches its anticipated replacement year, it is analyzed to determine if it should be
replaced based on the following factors:
a. Critical nature of the equipment or vehicle and the availability of a backup or
alternative equipment or vehicle. For example, the Sewer Jet is a critical piece of
equipment for which there is no backup except to contract for those services. It is
important to have this equipment operational with minimal downtime.
b. Use of the equipment or vehicle (hours and/or miles). The duration and intensity
of use are also important factors. For example, squad cars typically achieve their
expected life of 100,000 miles and are retired in approximately 4 years while
other vehicles (cars and light trucks) may never achieve 100,000 miles and can
last for many years.
c. Appropriateness of the equipment or vehicle for the assigned tasks. Public Works
and the user examines whether the equipment or vehicle is still capable of doing
its intended work, whether it is the right equipment, and determine if the work
changed causing the equipment or vehicle to be obsolete.
d. Repair history, costs, and downtime. Mechanics provide critical input and
assessments of the overall condition of the equipment. Near the end of the
expected life of the equipment or vehicle, repair costs can exceed the value of
the equipment or vehicle and replacement is appropriate.
e. Suitability of the equipment or vehicle for other tasks. Other departments provide
input regarding the ability to reassign equipment and vehicles to other less
frequent or intense duties. For example, Public Works have re-assigned used
marked squad cars and light pickup trucks to other departments.
3. Life Cycle Costing
This accounting method is used as much as possible in managing the City's fleet
management. Life cycle costing includes the purchase cost of the equipment or
vehicle, lifetime maintenance and operation costs, and the residual value at the time
of disposal. This is the true cost of equipment or vehicle ownership. The goal is to
replace the equipment during its economic life. This is the period when the
maintenance costs are the lowest.
4. Fire Department Vehicle Replacement Practice
Fire apparatus is historically refurbished half way through its life cycle
(approximately 10-12 years) and replaced after 20 to 24 years of service, or a couple
of years longer depending on condition. This general rule applies to "major"
apparatus, engine, and ladder trucks. The replacement of a particular piece of
apparatus is based upon several factors including the general mechanical and
structural condition, required vehicle and safety upgrades, technological changes,
current and anticipated use, anticipation of future mission changes, and the current
mechanical history (including mileage).
The apparatus replacement schedule is revised to reflect a philosophy of validating
the replacement of a vehicle, as opposed to replacement based solely upon the age
of the vehicle. To this end, vehicles have been moved back in the replacement
schedule and not replaced at the time mark historically associated with replacement
schedules. Refurbishing pumpers and ladders to extend the "life" of fire apparatus is
a common practice. Refurbishing pumper and ladder fire vehicles extends vehicle
life.
City of Golden Valley, Minnesota
Capital Plan
2019 d ru 2023
PROJECTS BY DEPARTMENT
Department Project# 2019 2020 2021 2022 2023 Total
Buildings
Generators B-012 50,000 50,000
Air Compressors B-013 5,000 5,000
Replace CoRayVac Heating Systems B-018 175,000 175,000
Installation of Building Security Systems B-027 10,000 10,000 10,000 10,000 10,000 50,000
Council Chambers Remodeling B-036 300,000 300,000
Public Buildings Roof Replacements B-041 150,000 150,000 150,000 450,000
City Hall Boiler Replacement B-043 225,000 225,000
10th Avenue Storage Building-Insulate and Heat B-046 375,000 375,000
10th Ave South Side Storage Yard B-048 125,000 125,000 125,000 375,000
Park Shelters Buidling Improvements B-049 50,000 50,000 100,000
Brookview Shelter Sewer Service Repair B-050 50,000 50,000
10th Avenue Storage Yard Improvements B-051 100,000 100,000
Buildings Total 635,000 610,000 390,000 510,000 110,000 2,255,000
Cablecasting Improvements
Cable Equipment Replacement C-001 200,000 200,000
Cablecasting Improvements Total 200,000 200,000
Golf Course A
Green/Tee Mowers GC-003 45,000 45,000
Utility Cart GC-005 11,000 11,000 22,000
Point of Sale System GC-007 30,000 30,000
Rough Mowers GC-010 70,000 70,000 140,000
Fairway Mower GC-014 50,000 52,000 102,000
Bridge Improvements GC-023 40,000 40,000 80,000
Turf Sprayer GC-031 50,000 50,000
Beverage Cart GC-035 25,000 25,000
Hole 18 Tee Improvements GC-041 50,000 50,000
Range Nets GC-045 19,675 20,000 39,675
Aerator GC-046 25,000 25,000
Lightning Alarm System GC-047 22,000 22,000
Golf Course Total 102,675 106,000 162,000 120,000 140,000 630,675
arks
Bleacher,Soccer Goal,Team Bench&Picnic Tables P-001 25,000 15,000 25,000 25,000 25,000 115,000
Park Trail and Parking Lot Improvement P-002 90,000 40,000 50,000 75,000 75,000 330,000
Play Structure Replacement P-003 60,000 60,000 60,000 60,000 240,000
Outdoor Hard Surface Replacement P-015 23,000 20,000 25,000 25,000 25,000 118,000
Park Signage Replacement P-016 10,000 5,000 5,000 5,000 5,000 30,000
Sun Shelter Replacements and Additions P-017 25,000 50,000 75,000
Tennis&Pickle Ball Court Resurfacing P-018 15,000 15,000 15,000 15,000 15,000 75,000
Re-Lamp Athletic Field and Rink Lights(LED) P-023 25,000 18,000 18,000 18,000 18,000 97,000
Wildwood Park Athletic Field P-024 50,000 50,000
Department Project# 2019 2020 2021 2022 2023 Total
Community Gardens P-025 30,000 30,000 60,000
Off-Leash Pet Exercise Area P-026 60,000 60,000
Dugout,Fence and Felled Replacement P-027 55,000 35,000 55,000 55,000 55,000 255,000
Scoreboard Updats/Replacement P-028 25,000 25,000 25,000 75,000
Soft Fall Wood Fiber Replacement P-031 15,000 15,000 30,000
Sand Volleyball Courts P-032 15,000 15,000 30,000
Tennis Court Lights P-033 150,000 150,000
Parks Total 358,000 358,000 358,000 358,000 358,000 1,790,000
[Storm Water
Residential Storm Sewer Improvements SS-01 850,000 750,000 750,000 750,000 750,000 3,850,000
Brookview Golf Course-Buffer Zone Implementation SS-12 50,000 50,000 100,000
Pickup Truck(Stone Water Utility) SS-22 35,000 35,000
Storm Water Pond Dredging SS-23 300,000 300,000 600,000
V-Box Spreader and Anti-Ice(tandem) SS-25 67,000 67,000
V-Box Spreader and Anti-Ice(tandem) SS-26 67,000 67,000
Sidewalk Sweeper SS-27 20,000 20,000
Flood Mitigation SS-34 250,000 250,000 250,000 250,000 250,000 1,250,000
Bobcat Toolcat SS-41 55,000 55,000
Zane Avenue&Lindsay St Reconstruction SS-46 335,000 335,000
DeCola Ponds B and C SS-48 3,900,000 700,000 4,600,000
Medley Park Stormwater Treatment Facility SS-49 220,000 330,000 550,000
800 MHz Radios SS-51 40,000 40,000
Storm Sewer Repairs-MS4 and Overlay Program SS-53 150,000 150,000 150,000 150,000 150,000 750,000
Decola Pond F Diversion SS-54 1,600,000 620,000 3,480,000 5,700,000
Janalyn Pond Lift Station SS-58 125,000 125,000
Sidewalk Sweeper SS-59 20,000 20,000
Bassett Creek Regional Trail-Storm Sewer Repairs SS-60 50,000 50,000
Storm Water Total 5,365,000 2,287,000 2,800,000 2,680,000 5,082,000 18,214,000
Streets
Pavement Management Program S-001 3,870,000 3,350,000 3,400,000 3,400,000 3,400,000 17,420,000
Zane Ave.and Lindsay Street S-009 2,400,000 2,400,000
Pavement Management Overlays S-013 500,000 500,000 500,000 500,000 500,000 2,500,000
TH 100 Pedestrian Bridge Walk Maintenance S-014 200,000 200,000
Flashing Yellow Arrows S-016 45,000 45,000 90,000
Municipal State Aid(MSA)Street Maintenance S-017 125,000 125,000 125,000 125,000 125,000 625,000
Streetscape and City Hall Complex Renovation S-018 100,000 100,000 100,000 100,000 100,000 500,000
MSA Debt Service S-019 201,005 200,165 198,915 197,455 189,000 986,540
Sidewalks,Trails,&Bike Facility Upgrades S-030 325,000 150,000 150,000 150,000 150,000 925,000
Xenia Avenue and Golden Hills Dr Improvements S-031 1,350,000 1,350,000
Auto CAD Application S-032 12,100 12,100 12,100 12,100 12,100 60,500
Cartegraph Street Management Software S-034 20,000 20,000 20,000 20,000 80,000
Retaining Wall Repairs S-036 100,000 100,000 100,000 100,000 100,000 500,000
Highway 55 West Redevelopment Project S-038 63,500 182,310 179,900 182,450 179,950 788,110
Zenith Avenue Reconstruction S-041 1,500,000 1,500,000
Railroad Crossing Improvements S-042 250,000 250,000
Pavement Surface Treatments S-044 100,000 100,000
Streets Total 7,116,605 4,884,575 4,785,915 8,732,005 4,756,050 30,275,150
Vehicles and Equipment
Marked Squad Cars(Police) V&E-001 80,000 80,000 120,000 120,000 120,000 520,000
Computers and Printers(Finance) V&E-002 95,000 95,000 95,000 95,000 95,000 475,000
Chipper(Street) V&E-006 35,000 35,000
Department Project# 2019 2020 2021 2022 2023 Total
Pickup Truck(Engineering) V&E-008 35,000 35,000
Passenger Vehicle(Fire) V&E-011 40,000 40,000
Portable Computers(Police) V&E-020 50,000 50,000
Unmarked Police Vehicle(Police) V&E-024 40,000 40,000
Pickup Truck(Park) V&E-026 35,000 35,000
Dump Truck(Park) V&E-029 80,000 80,000
Rotary Mower(Park) V&E-030 110,000 110,000
Skylift Man Lift(Park&Street V&E-033 40,000 40,000
Crime Prevention Vehicle(Police) V&E-034 30,000 30,000
Utility Tractor(Park) V&E-039 75,000 75,000
Pickup Truck(Engineering) V&E-044 35,000 35,000
Rescue Vehicle(Fire) V&E-045 200,000 200,000
Pickup Truck(Park) V&E-047 65,000 65,000
Rotary Mower(Park) V&E-048 50,000 50,000
Dump Truck(Street) V&E-053 270,000 270,000
Pickup Truck(Vehicle Maintenance) V&E-054 100,000 100,000
Pickup Truck(Street) V&E-063 40,000 40,000
Tandem Axle Dump Truck(Street) V&E-066 270,000 270,000
Sidewalk/Maintenance Tractor(Street) V&E-089 55,000 55,000
Pickup Truck(Park) V&E-100 50,000 50,000
Pickup Truck(Fire) V&E-102 40,000 40,000
Polaris 6 X 6(Fire) V&E-106 15,000 15,000
Bobcat Utility Truckster(Park) V&E-107 55,000 4,500 4,500 4,500 4,500 73,000
Single Axle Dump Truck(Street) V&E-109 230,000 230,000
Dump Truck(Street) V&E-110 230,000 230,000
Portable Message Sign Trailer V&E-115 25,000 25,000
Bobcat Toolcat(Park) V&E-116 4,500 4,500 4,500 4,500 4,500 22,500
Sidwalk Tractor(Street) V&E-118 160,000 160,000
Tasers(Police) V&E-121 16,000 16,000
800 MHz Radios(Public Works Maintenance) V&E-133 100,000 100,000
Body Cameras(Police) V&E-135 24,070 24,070 24,070 24,070 24,070 120,350
Zodiac Boat(Fire) V&E-136 5,500 5,500
Outboard Motor(Fire) V&E-137 5,500 5,500
Passenger Vehicle(Fire) V&E-138 40,000 40,000
Passenger Vehicle(Fire) V&E-139 40,000 40,000
Utility Trailer(Park) V&E-140 5,500 5,500
Pickup Truck(Park) V&E-141 35,000 35,000
Dump Truck(Park) V&E-142 80,000 80,000
Trash Compactor(Park) V&E-143 65,000 65,000
Single Axle Dump Truck(Street) V&E-144 230,000 230,000
Skid Steer Loader(Street) V&E-145 5,000 5,000 5,000 5,000 5,000 25,000
Dump Truck(Street) V&E-146 80,000 80,000
Police Commander Vehicle(Police) V&E-147 50,000 50,000
SWAT Van(Police) V&E-148 100,000 100,000
Passenger Vehicle(Fire) V&E-152 40,000 40,000
Equipment Trailer(Street) V&E-153 20,000 20,000
Traffic Trailer(Police) V&E-154 30,000 30,000
Trailer(Street) V&E-155 5,000 5,000
Trailer(Fire) V&E-156 5,000 5,000
Passenger Car(Police) V&E-158 40,000 40,000
Vehicles and Equipment Total 728,570 978,570 864,070 849,070 1,213,070 4,633,350
ater&Sewer Systems
Sanitary Sewer&Water Line Repair/Recon. W&SS-001 1,400,000 1,200,000 1,200,000 1,200,000 1,200,000 6,200,000
Hook Dump Truck W&SS-004 80,000 80,000
Pickup Truck W&SS-011 40,000 40,000
Department Project# 2019 2020 2021 2022 2023 Total
Pickup Truck W&SS-014 100,000 100,000
Pickup Truck W&SS-015 75,000 75,000
Mill and Overlay Water/Sewer Repairs W&SS-051 150,000 150,000 150,000 150,000 150,000 750,000
Televising and Electroscan Equipment W&SS-053 150,000 150,000
Radio Meter Reading System W&SS-063 700,000 100,000 800,000
Valve Replacement/Watermain Lining W&SS-066 100,000 100,000 200,000
Tractor Loader Backhoe W&SS-070 160,000 160,000
1-394 Inflow/Infiltration Project W&SS-074 250,000 250,000 250,000 750,000
Sewer Flow Meters W&SS-076 35,000 35,000 70,000
Winnetka Ave Utility Rehabilitation W&SS-077 550,000 550,000
Sanitary Sewer Lining 1/1 Reduction W&SS-078 100,000 100,000 200,000
800 MHz Radios W&SS-081 40,000 40,000
T.H.55 Lift Station Relocation W&SS-083 500,000 500,000
Trenchless Request for Information W&SS-086 50,000 50,000
Complete Water Meter Replacement W&SS-087 100,000 100,000 100,000 300,000
Water&Sewer Systems Total 2,690,000 1,765,000 2,250,000 2,260,000 2,050,000 11,015,000
GRAND TOTAL 17,195,850 10,989,145 11,609,985 15,509,075 13,709,120 69,013,175
City of Golden Valley, Minnesota
Capital Plan
2019 thm 2023
PROJECTS BY YEAR
Project Name Department Project# Project Cost
2019
Replace CoRayVac Heating Systems Buildings B-018 175,000
Installation of Building Security Systems Buildings B-027 10,000
Council Chambers Remodeling Buildings B-036 300,000
Public Buildings Roof Replacements Buildings B-041 150,000
Cable Equipment Replacement Cablecasting Improvements C-001 200,000
Utility Cart Golf Course GC-005 11,000
Turf Sprayer Golf Course GC-031 50,000
Range Nets Golf Course GC-045 19,675
Lightning Alarm System Golf Course GC-047 22,000
Bleacher,Soccer Goal,Team Bench&Picnic Tables Parks P-001 25,000
Park Trail and Parking Lot Improvement Parks P-002 90,000
Play Structure Replacement Parks P-003 60,000
Outdoor Hard Surface Replacement Parks P-015 23,000
Park Signage Replacement Parks P-016 10,000
Tennis&Pickle Ball Court Resurfacing Parks P-018 15,000
Re-Lamp Athletic Field and Rink Lights(LED) Parks P-023 25,000
Community Gardens Parks P-025 30,000
Dugout,Fence and Failed Replacement Parks P-027 55,000
Scoreboard Updats/Replacement Parks P-028 25,000
Residential Storm Sewer Improvements Storm Water SS-01 850,000
Brookview Golf Course-Buffer Zone Implementation Storm Water SS-12 50,000
Flood Mitigation Storm Water SS-34 250,000
DeCola Ponds B and C Storm Water SS-48 3,900,000
800 MHz Radios Storm Water SS-51 40,000
Storm Sewer Repairs-MS4 and Overlay Program Storm Water SS-53 150,000
Janalyn Pond Lift Station Storm Water SS-58 125,000
Pavement Management Program Streets S-001 3,870,000
Pavement Management Overlays Streets S-013 500,000
TH 100 Pedestrian Bridge Walk Maintenance Streets S-014 200,000
Municipal State Aid(MSA)Street Maintenance Streets S-017 125,000
Streetscape and City Hall Complex Renovation Streets S-018 100,000
MSA Debt Service Streets S-019 201,005
Sidewalks,Trails,&Bike Facility Upgrades Streets S-030 325,000
Xenia Avenue and Golden Hills Dr Improvements Streets S-031 1,350,000
Auto CAD Application Streets S-032 12,100
Cartegraph Street Management Software Streets S-034 20,000
Retaining Wall Repairs Streets S-036 100,000
Highway 55 West Redevelopment Project Streets S-038 63,500
Railroad Crossing Improvements Streets S-042 250,000
Marked Squad Cars(Police) Vehicles and Equipment V&E-001 80,000
Computers and Printers(Finance) Vehicles and Equipment V&E-002 95,000
Skylift Man Lift(Park&Street Vehicles and Equipment V&E-033 40,000
Pickup Truck(Fire) Vehicles and Equipment V&E-102 40,000
Polaris 6 X 6(Fire) Vehicles and Equipment V&E-106 15,000
Project Name Department Project# Project Cost
Bobcat Utility Truckster(Park) Vehicles and Equipment V&E-107 55,000
Single Axle Dump Truck(Street) Vehicles and Equipment V&E-109 230,000
Bobcat Toolcat(Park) Vehicles and Equipment V&E-116 4,500
800 MHz Radios(Public Works Maintenance) Vehicles and Equipment V&E-133 100,000
Body Cameras(Police) Vehicles and Equipment V&E-135 24,070
Pickup Truck(Park) Vehicles and Equipment V&E-141 35,000
Skid Steer Loader(Street) Vehicles and Equipment V&E-145 5,000
Trailer(Fire) Vehicles and Equipment V&E-156 5,000
Sanitary Sewer&Water Line Repair/Recon. Water&Sewer Systems W&SS-001 1,400,000
Mill and Overlay Water/Sewer Repairs Water&Sewer Systems W&SS-051 150,000
Televising and Electroscan Equipment Water&Sewer Systems W&SS-053 150,000
Radio Meter Reading System Water&Sewer Systems W&SS-063 700,000
1-394 Inflow/Infiltration Project Water&Sewer Systems W&SS-074 250,000
800 MHz Radios Water&Sewer Systems W&SS-081 40,000
Total for 2019 17,195,850
2020
Installation of Building Security Systems Buildings B-027 10,000
Public Buildings Roof Replacements Buildings B-041 150,000
City Hall Boiler Replacement Buildings B-043 225,000
10th Ave South Side Storage Yard Buildings B-048 125,000
Park Shelters Buidling Improvements Buildings B-049 50,000
Brookview Shelter Sewer Service Repair Buildings B-050 50,000
Utility Cart Golf Course GC-005 11,000
Fairway Mower Golf Course GC-014 50,000
Range Nets Golf Course GC-045 20,000
Aerator Golf Course GC-046 25,000
Bleacher,Soccer Goal,Team Bench&Picnic Tables Parks P-001 15,000
Park Trail and Parking Lot Improvement Parks P-002 40,000
Outdoor Hard Surface Replacement Parks P-015 20,000
Park Signage Replacement Parks P-016 5,000
Tennis&Pickle Ball Court Resurfacing Parks P-018 15,000
Re-Lamp Athletic Field and Rink Lights(LED) Parks P-023 18,000
Off-Leash Pet Exercise Area Parks P-026 60,000
Dugout,Fence and Feiled Replacement Parks P-027 35,000
Tennis Court Lights Parks P-033 150,000
Residential Storm Sewer Improvements Storm Water SS-01 750,000
Storm Water Pond Dredging Storm Water SS-23 300,000
V-Box Spreader and Anti-Ice(tandem) Storm Water SS-25 67,000
Sidewalk Sweeper Storm Water SS-27 20,000
Flood Mitigation Storm Water SS-34 250,000
DeCola Ponds B and C Storm Water SS-48 700,000
Storm Sewer Repairs-MS4 and Overlay Program Storm Water SS-53 150,000
Bassett Creek Regional Trail-Storm Sewer Repairs Storm Water SS-60 50,000
Pavement Management Program Streets S-001 3,350,000
Pavement Management Overlays Streets S-013 500,000
Flashing Yellow Arrows Streets S-016 45,000
Municipal State Aid(MSA)Street Maintenance Streets S-017 125,000
Streetscape and City Hall Complex Renovation Streets S-018 100,000
MSA Debt Service Streets S-019 200,165
Sidewalks,Trails,&Bike Facility Upgrades Streets S-030 150,000
Auto CAD Application Streets S-032 12,100
Cartegraph Street Management Software Streets S-034 20,000
Retaining Wall Repairs Streets S-036 100,000
Highway 55 West Redevelopment Project Streets S-038 182,310
Project Name Department Project# Project Cost
Pavement Surface Treatments Streets S-044 100,000
Marked Squad Cars(Police) Vehicles and Equipment V&E-001 80,000
Computers and Printers(Finance) Vehicles and Equipment V&E-002 95,000
Pickup Truck(Engineering) Vehicles and Equipment V&E-008 35,000
Pickup Truck(Park) Vehicles and Equipment V&E-026 35,000
Crime Prevention Vehicle(Police) Vehicles and Equipment V&E-034 30,000
Pickup Truck(Street) Vehicles and Equipment V&E-063 40,000
Tandem Axle Dump Truck(Street) Vehicles and Equipment V&E-066 270,000
Bobcat Utility Truckster(Park) Vehicles and Equipment V&E-107 4,500
Bobcat Toolcat(Park) Vehicles and Equipment V&E-116 4,500
Body Cameras(Police) Vehicles and Equipment V&E-135 24,070
Passenger Vehicle(Fire) Vehicles and Equipment V&E-138 40,000
Utility Trailer(Park) Vehicles and Equipment V&E-140 5,500
Dump Truck(Park) Vehicles and Equipment V&E-142 80,000
Skid Steer Loader(Street) Vehicles and Equipment V&E-145 5,000
Dump Truck(Street) Vehicles and Equipment V&E-146 80,000
Police Commander Vehicle(Police) Vehicles and Equipment V&E-147 50,000
SWAT Van(Police) Vehicles and Equipment V&E-148 100,000
Sanitary Sewer&Water Line Repair/Recon. Water&Sewer Systems W&SS-001 1,200,000
Hook Dump Truck Water&Sewer Systems W&SS-004 80,000
Pickup Truck Water&Sewer Systems W&SS-011 40,000
Mill and Overlay Water/Sewer Repairs Water&Sewer Systems W&SS-051 150,000
Radio Meter Reading System Water&Sewer Systems W&SS-063 100,000
Tractor Loader Backhoe Water&Sewer Systems W&SS-070 160,000
Sewer Flow Meters Water&Sewer Systems W&SS-076 35,000
Total for 2020 10,989,145
2021
Generators Buildings B-012 50,000
Air Compressors Buildings B-013 5,000
Installation of Building Security Systems Buildings B-027 10,000
Public Buildings Roof Replacements Buildings B-041 150,000
10th Ave South Side Storage Yard Buildings B-048 125,000
Park Shelters Buidling Improvements Buildings B-049 50,000
Rough Mowers Golf Course GC-010 70,000
Fairway Mower Golf Course GC-014 52,000
Bridge Improvements Golf Course GC-023 40,000
Bleacher,Soccer Goal,Team Bench&Picnic Tables Parks P-001 25,000
Park Trail and Parking Lot Improvement Parks P-002 50,000
Play Structure Replacement Parks P-003 60,000
Outdoor Hard Surface Replacement Parks P-015 25,000
Park Signage Replacement Parks P-016 5,000
Tennis&Pickle Ball Court Resurfacing Parks P-018 15,000
Re-Lamp Athletic Field and Rink Lights(LED) Parks P-023 18,000
Wildwood Park Athletic Field Parks P-024 50,000
Community Gardens Parks P-025 30,000
Dugout,Fence and Feiled Replacement Parks P-027 55,000
Scoreboard Updats/Replacement Parks P-028 25,000
Residential Storm Sewer Improvements Storm Water SS-01 750,000
Brookview Golf Course-Buffer Zone Implementation Storm Water SS-12 50,000
Flood Mitigation Storm Water SS-34 250,000
Storm Sewer Repairs-MS4 and Overlay Program Storm Water SS-53 150,000
Decola Pond F Diversion Storm Water SS-54 1,600,000
Pavement Management Program Streets S-001 3,400,000
Pavement Management Overlays Streets S-013 500,000
Project Name Department Project# Project Cost
Municipal State Aid(MSA)Street Maintenance Streets S-017 125,000
Streetscape and City Hall Complex Renovation Streets S-018 100,000
MSA Debt Service Streets S-019 198,915
Sidewalks,Trails,&Bike Facility Upgrades Streets S-030 150,000
Auto CAD Application Streets S-032 12,100
Cartegraph Street Management Software Streets S-034 20,000
Retaining Wall Repairs Streets S-036 100,000
Highway 55 West Redevelopment Project Streets S-038 179,900
Marked Squad Cars(Police) Vehicles and Equipment V&E-001 120,000
Computers and Printers(Finance) Vehicles and Equipment V&E-002 95,000
Portable Computers(Police) Vehicles and Equipment V&E-020 50,000
Dump Truck(Park) Vehicles and Equipment V&E-029 80,000
Rotary Mower(Park) Vehicles and Equipment V&E-030 110,000
Bobcat Utility Truckster(Park) Vehicles and Equipment V&E-107 4,500
Dump Truck(Street) Vehicles and Equipment V&E-110 230,000
Bobcat Toolcat(Park) Vehicles and Equipment V&E-116 4,500
Tasers(Police) Vehicles and Equipment V&E-121 16,000
Body Cameras(Police) Vehicles and Equipment V&E-135 24,070
Passenger Vehicle(Fin;) Vehicles and Equipment V&E-139 40,000
Trash Compactor(Park) Vehicles and Equipment V&E-143 65,000
Skid Steer Loader(Street) Vehicles and Equipment V&E-145 5,000
Equipment Trailer(Street) Vehicles and Equipment V&E-153 20,000
Sanitary Sewer&Water Line Repair/Recon. Water&Sewer Systems W&SS-001 1,200,000
Mill and Overlay Water/Sewer Repairs Water&Sewer Systems W&SS-051 150,000
1-394 Inflow/Infiltration Project Water&Sewer Systems W&SS-074 250,000
Winnetka Ave Utility Rehabilitation Water&Sewer Systems W&SS-077 550,000
Complete Water Meter Replacement Water&Sewer Systems W&SS-081 100,000
Total for 2021 11,609,985
2022
Installation of Building Security Systems Buildings B-027 10,000
10th Avenue Storage Building-Insulate and Heat Buildings B-046 375,000
10th Ave South Side Storage Yard Buildings B-048 125,000
Point of Sale System Golf Course GC-007 30,000
Bridge Improvements Golf Course GC-023 40,000
Hole 18 Tee Improvements Golf Course GC-041 50,000
Bleacher,Soccer Goal,Team Bench&Picnic Tables Parks P-001 25,000
Park Trail and Parking Lot Improvement Parks P-002 75,000
Play Structure Replacement Parks P-003 60,000
Outdoor Hard Surface Replacement Parks P-015 25,000
Park Signage Replacement Parks P-016 5,000
Sun Shelter Replacements and Additions Parks P-017 25,000
Tennis&Pickle Ball Court Resurfacing Parks P-018 15,000
Re-Lamp Athletic Field and Rink Lights(LED) Parks P-023 18,000
Dugout,Fence and Felled Replacement Parks P-027 55,000
Scoreboard Updats/Replacement Parks P-028 25,000
Soft Fall Wood Fiber Replacement Parks P-031 15,000
Sand Volleyball Courts Parks P-032 15,000
Residential Storm Sewer Improvements Storm Water SS-01 750,000
Pickup Truck(Storrs Water Utility) Storm Water SS-22 35,000
Storm Water Pond Dredging Storm Water SS-23 300,000
Flood Mitigation Storm Water SS-34 250,000
Zane Avenue&Lindsay St Reconstruction Storm Water SS-46 335,000
Medley Park Stormwater Treatment Facility Storm Water SS-49 220,000
Storm Sewer Repairs-MS4 and Overlay Program Storm Water SS-53 150,000
Project Name Department Project# Project Cost
Decola Pond F Diversion Storm Water SS-54 620,000
Sidewalk Sweeper Storm Water SS-59 20,000
Pavement Management Program Streets S-001 3,400,000
Zane Ave.and Lindsay Street Streets S-009 2,400,000
Pavement Management Overlays Streets S-013 500,000
Flashing Yellow Arrows Streets S-016 45,000
Municipal State Aid(MSA)Street Maintenance Streets S-017 125,000
Streetscape and City Hall Complex Renovation Streets S-018 100,000
MSA Debt Service Streets S-019 197,455
Sidewalks,Trails,&Bike Facility Upgrades Streets S-030 150,000
Auto CAD Application Streets S-032 12,100
Cartegraph Street Management Software Streets S-034 20,000
Retaining Wall Repairs Streets S-036 100,000
Highway 55 West Redevelopment Project Streets S-038 182,450
Zenith Avenue Reconstruction Streets S-041 1,500,000
Marked Squad Cars(Police) Vehicles and Equipment V&E-001 120,000
Computers and Printers(Finance) Vehicles and Equipment V&E-002 95,000
Unmarked Police Vehicle(Police) Vehicles and Equipment V&E-024 40,000
Pickup Truck(Engineering) Vehicles and Equipment V&E-044 35,000
Pickup Truck(Park) Vehicles and Equipment V&E-100 50,000
Bobcat Utility Truckster(Park) Vehicles and Equipment V&E-107 4,500
Bobcat Toolcat(Park) Vehicles and Equipment V&E-116 4,500
Sidwalk Tractor(Street) Vehicles and Equipment V&E-118 160,000
Body Cameras(Police) Vehicles and Equipment V&E-135 24,070
Zodiac Boat(Fire) Vehicles and Equipment V&E-136 5,500
Outboard Motor(Fire) Vehicles and Equipment V&E-137 5,500
Single Axle Dump Truck(Street) Vehicles and Equipment V&E-144 230,000
Skid Steer Loader(Street) Vehicles and Equipment V&E-145 5,000
Passenger Vehicle(Fire) Vehicles and Equipment V&E-152 40,000
Traffic Trailer(Police) Vehicles and Equipment V&E-154 30,000
Sanitary Sewer&Water Line Repair/Recon. Water&Sewer Systems W&SS-001 1,200,000
Pickup Truck Water&Sewer Systems W&SS-015 75,000
Mill and Overlay Water/Sewer Repairs Water&Sewer Systems W&SS-051 150,000
Valve Replacement/Watermain Lining Water&Sewer Systems W&SS-066 100,000
Sewer Flow Meters Water&Sewer Systems W&SS-076 35,000
Sanitary Sewer Lining 1/1 Reduction Water&Sewer Systems W&SS-078 100,000
T.H.55 Lift Station Relocation Water&Sewer Systems W&SS-083 500,000
Complete Water Meter Replacement Water&Sewer Systems W&SS-087 100,000
Total for 2022 15,509,075
2023
Installation of Building Security Systems Buildings B-027 10,000
10th Avenue Storage Yard Improvements Buildings B-051 100,000
Green/Tee Mowers Golf Course GC-003 45,000
Rough Mowers Golf Course GC-010 70,000
Beverage Cart Golf Course GC-035 25,000
Bleacher,Soccer Goal,Team Bench&Picnic Tables Parks P-001 25,000
Park Trail and Parking Lot Improvement Parks P-002 75,000
Play Structure Replacement Parks P-003 60,000
Outdoor Hard Surface Replacement Parks P-015 25,000
Park Signage Replacement Parks P-016 5,000
Sun Shelter Replacements and Additions Parks P-017 50,000
Tennis&Pickle Ball Court Resurfacing Parks P-018 15,000
Re-Lamp Athletic Field and Rink Lights(LED) Parks P-023 18,000
Dugout,Fence and Failed Replacement Parks P-027 55,000
Project Name Department Project# Project Cost
Soft Fall Wood Fiber Replacement Parks P-031 15,000
Sand Volleyball Courts Parks P-032 15,000
Residential Storm Sewer Improvements Storm Water SS-01 750,000
V-Box Spreader and Anti-Ice(tandem) Storm Water SS-26 67,000
Flood Mitigation Storm Water SS-34 250,000
Bobcat Toolcat Storm Water SS-41 55,000
Medley Park Stormwater Treatment Facility Storm Water SS-49 330,000
Stone Sewer Repairs-MS4 and Overlay Program Storm Water SS-53 150,000
Decola Pond F Diversion Stone Water SS-54 3,480,000
Pavement Management Program Streets S-001 3,400,000
Pavement Management Overlays Streets S-013 500,000
Municipal State Aid(MSA)Street Maintenance Streets S-017 125,000
Streetscape and City Hall Complex Renovation Streets S-018 100,000
MSA Debt Service Streets S-019 189,000
Sidewalks,Trails,&Bike Facility Upgrades Streets S-030 150,000
Auto CAD Application Streets S-032 12,100
Retaining Wall Repairs Streets S-036 100,000
Highway 55 West Redevelopment Project Streets S-038 179,950
Marked Squad Cars(Police) Vehicles and Equipment V&E-001 120,000
Computers and Printers(Finance) Vehicles and Equipment V&E-002 95,000
Chipper(Street) Vehicles and Equipment V&E-006 35,000
Passenger Vehicle(Fire) Vehicles and Equipment V&E-011 40,000
Utility Tractor(Park) Vehicles and Equipment V&E-039 75,000
Rescue Vehicle(Fire) Vehicles and Equipment V&E-045 200,000
Pickup Truck(Park) Vehicles and Equipment V&E-047 65,000
Rotary Mower(Park) Vehicles and Equipment V&E-048 50,000
Dump Truck(Street) Vehicles and Equipment V&E-053 270,000
Pickup Truck(Vehicle Maintenance) Vehicles and Equipment V&E-054 100,000
Sidewalk/Maintenance Tractor(Street) Vehicles and Equipment V&E-089 55,000
Bobcat Utility Truckster(Park) Vehicles and Equipment V&E-107 4,500
Portable Message Sign Trailer Vehicles and Equipment V&E-115 25,000
Bobcat Toolcat(Park) Vehicles and Equipment V&E-116 4,500
Body Cameras(Police) Vehicles and Equipment V&E-135 24,070
Skid Steer Loader(Street) Vehicles and Equipment V&E-145 5,000
Trailer(Street) Vehicles and Equipment V&E-155 5,000
Passenger Car(Police) Vehicles and Equipment V&E-158 40,000
Sanitary Sewer&Water Line Repair/Recon. Water&Sewer Systems W&SS-001 1,200,000
Pickup Truck Water&Sewer Systems W&SS-014 100,000
Mill and Overlay Water/Sewer Repairs Water&Sewer Systems W&SS-051 150,000
Valve Replacement/Watermain Lining Water&Sewer Systems W&SS-066 100,000
1-394 Inflow/Infiltration Project Water&Sewer Systems W&SS-074 250,000
Sanitary Sewer Lining 1/1 Reduction Water&Sewer Systems W&SS-078 100,000
Trenchless Request for Information Water&Sewer Systems W&SS-086 50,000
Complete Water Meter Replacement Water&Sewer Systems W&SS-087 100,000
Total for 2023 13,709,120
GRAND TOTAL 69,013,175