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HomeMy WebLinkAbout2040 Chapter 12 - Implementation_AppendixCapital Improvement Program 2019 - 2023 Implementation Page 779 4646 Dakota Street SE Prior Lake, MN 55372 Date: August 8, 2018 To: Mayor Briggs, Council Members and Residents of Prior Lake From: Frank Boyles, City Manager Subject: 2019-2023 Capital Improvement Program One of the most fundamental responsibilities of local government is planning for, constructing and maintaining the community’s ½ billion dollars of infrastructure including streets, trails, sewer, water, parks and public buildings. Taken together, this investment in infrastructure is the physical fabric of our community which provides for our public safety and health. Prior Lake’s five-year Capital Improvement Program is directly responsive to the City’s 2040 Vision and Strategic Plan. The Strategic Plan serves as our vision and our “things to do” list. On August 6, 2018 the City Council established a city vision statement, goal areas and objectives in support of the 2040 Vision and Strategic Plan. (See the 2040 Vision and Strategic Fact Sheet attached.) The proposed vision statement is intended to be aspirational, inspirational, and long-term. The goal areas are purposefully broad and tell us where the city should focus its energy; whereas the objectives are more concrete and define what we will do. How the goals and specific objectives are prioritized, funded and converted into City projects is determined largely through the five-year Capital Improvement Program (often referred to as the CIP). The CIP is updated, evaluated and approved each year by the City Council as projects are completed and priorities change. The purpose of the CIP is to assure that funds are available when projects are required to meet community needs. I encourage you to review the attached 2019-2023 CIP. It contains new and continued projects critical to the development of our community and achievement of our 2040 Vision and Strategic Plan. It reflects an aggressive approach to upgrading the conditions of our streets and infrastructure in direct response to citizens’ feedback, including funding for four miles of street overlay and two miles of street reconstruction each year. For more information about the Capital Improvement Program, I encourage you to contact Finance Director Cathy Erickson or Public Works Director/City Engineer Jason Wedel. Implementation Page 780 www.cityofpriorlake.com /CityofPriorLake 2040 VISION AND STRATEGIC PLAN Prior Lake is a vibrant and welcoming life-long community, offering a high-quality of life and small-town feel. Establish financial stability for all funds. Design a comprehensive funding strategy for capital needs. Ensure sufficient resources and staffing to meet service demands. Attract, retain and train a high caliber workforce to ensure high-quality services. Grow collaborations to provide efficient and cost-effective services to the community. Seek community engagement through a variety of communication methods to reach all residents. 1 2 3 4 5 6 1 2 3 4 5 GOAL: PUBLIC SAFETY Objectives: Strengthen collaboration between police and local communities to reduce crime and increase trust. Enhance partnerships with community and public safety entities. Promote traffic safety through education, enforcement and engineering. Ensure a safe and quality built environment. Address threats to community standards through code enforcement. GOAL: HIGH-VALUE CITY SERVICES Objectives: Implementation Page 781 GOAL: DESIRABLE & SUSTAINABLE DEVELOPMENT Objectives: 4646 Dakota St. SE Prior Lake, MN 55372-1714(952) 447-9800 Intentional land use planning that facilitates commercial development for an expanded taxbase. Preserve and enhance Prior Lake’s small-town feel. Explore ways to encourage downtown as a vibrant destination. Encourage development and preservation of quality life-cycle residential housing options. Create appealing public spaces and transportation corridors to bring people together and foster a sense of place. 1 2 3 4 5 GOAL: TRANSPORTATION & MOBILITY Objectives: Maintain quality local street system based on a financially stable plan that meets Overall Condition Index targets. Promote neighborhood connectivity and safety through development and street reconstruction projects. Integrate trails to link neighborhoods with city and regional assets. Support complete street designs that ensure pedestrian mobility and multi-modal transportation options. Focus on key corridors that take advantage of collaboration with state and county projects. 1 2 3 4 5 GOAL: ENVIRONMENTAL STEWARDSHIP & RECREATION Objectives: Provide clean and safe drinking water for the community and protect drinking water sources. Protect and enhance the quality of Prior Lake’s surface waters. Develop recreation opportunities and park amenities for all stages of life and interests. Provide public spaces and amenities that attract the community to our natural environment. Employ emerging technologies to preserve and protect our natural resources. 1 2 3 4 5 Adopted on August 6, 2018 Implementation Page 782 2019 – 2023 CAPITAL IMPROVEMENT PROGRAM Adopted August 06, 2018 by the PRIOR LAKE CITY COUNCIL Term Expires Mayor Kirt Briggs December 31, 2020 Councilmember Zach Braid December 31, 2020 Councilmember Kevin Burkart December 31, 2020 Councilmember Mike McGuire December 31, 2018 Councilmember Annette Thompson December 31, 2018 STAFF City Manager Frank Boyles Assistant City Manager Lori Olson Finance Cathy Erickson City Engineer/Public Works Jason Wedel Police Chief Mark Elliott Fire Chief Rick Steinhaus Community Development Casey McCabe Implementation Page 783 TABLE OF CONTENTS 1. Demands versus Funding Sources ▪ This table shows the impact of the improvements identified in the CIP on each of the funding sources. 2. Projects by Department ▪ This table categorizes each of the projects by department. The associated funding source for each project is also shown. 3. Projects by Funding Source ▪ This table categorizes each of the projects by funding source. 4. Project Detail ▪ This table provides a detailed description, purpose, and cost/benefit impact statement for each of the projects. 5. Transportation Plan (2019-2028) ▪ This table provides a ten-year summary of street improvement projects. ▪ The Transportation Plan Map identifies the proposed CIP projects. ▪ The Street Reconstruction Plan (amended plan adopted 01/08/2018) identifies the projects that could potentially be funded by street reconstruction bonds 6. Street Overlay Plan (2019-2028) ▪ This table provides a summary of uses and sources of funds. 7. Equipment Replacement Plan (2019-2028) ▪ A table provides a summary of the uses and sources of funds. ▪ Detailed equipment schedules are included for the following departments: o Fire Department o Police Department o Public Works Department 8. Park Plan (2019-2028) ▪ This table provides a summary of uses and sources of funds for existing and proposed parks. ▪ It also identifies future community park referendum needs. 9. Technology Plan (2019-2028) ▪ This table provides a summary of uses and sources of funds. 10. Facilities Management Plan (2019-2028) ▪ This table provides a summary of uses and sources of funds. ▪ The Capital Improvement Plan (adopted 08/22/2016) identifies the projects that could potentially be funded by capital improvement plan bonds 11. Enterprise Funds ▪ These tables provide a summary of uses and sources of funds for Water, Sewer and Storm Water. 12. Debt Analysis & Tax Impact Implementation Page 784 2019 - 2023 CAPITAL IMPROVEMENT PROGRAM One of the goals of the city’s 2040 Vision and Strategic Plan is “High-Value City Services.” This goal contains objectives for financial stability and a comprehensive funding strategy to ensure sufficient resources. The CIP is a primary tool for meeting these objectives and providing a sound strategy for our capital needs. The Prior Lake Capital Improvement Program (CIP) addresses this goal by focusing on long-term planning for the expansion, replacement and/or maintenance of capital assets. Capital assets refer to infrastructure (water, sewer, storm water, and streets), vehicles and equipment, park equipment, facilities, and technology software and hardware. The CIP is reviewed on an annual basis to identify the need for expansion, replacement and/or maintenance; the timeframe to complete the project; and the appropriate funding source. The final document reflects the specific goals, policies and priorities of the City Council and the 2040 Vision and Strategic Plan. It is important to note that the CIP is a planning document and contains estimates for the project and equipment costs. Prior to the implementation of any individual improvement project, staff must prepare a feasibility study, conduct a public hearing, request bids for the construction costs, and obtain approval for all phases of the project from the City Council. The CIP also includes the following long-term plans: Transportation Plan, Street Overlay Plan, Equipment Replacement Plan, Park Equipment Replacement Plan, Technology Plan, Facilities Management Plan and plans for each of the three enterprise funds including Water, Sewer, and Storm Water. A ten (10) year Transportation Plan has been developed in an effort to coordinate city and county improvements that require a cooperative funding agreement between our two jurisdictions. In previous documents, a summary was provided that identified the street reconstruction projects. This year the document includes the full text version of the Street Reconstruction Plan to provide readers with a better understanding of the proposed projects and associated costs. The Street Overlay Plan identifies the City’s annual street overlay costs. The plan reflects four miles of street overlay annually. We anticipate that the City will bond for the special assessment portion of the cost and fund the remainder with prepayments of special assessments collected from prior year(s) improvements and an annual tax levy. The fund will be reviewed annually, to monitor cash flow and determine the tax levy needed. The Equipment Replacement Plan serves to identify the City’s equipment needs on a long-term basis and to provide a regular replacement schedule. The equipment purchases for the Fire, Police and Public Works departments are processed through a revolving equipment fund. Equipment purchases that are typically less than $5,000 are incorporated into the annual operating budgets for the specific departments. Implementation Page 785 The Park Plan – identifies the new park capital improvements and the equipment replacement demands for 55 neighborhood parks. The Technology Plan identifies the hardware and major software needs for each department and establishes a regular replacement schedule for over the next ten (10) years. The Facilities Management Plan identifies major repairs or improvements to all City-owned buildings over the next ten (10) years. The Enterprise Funds plans (Water, Sewer and Storm Water) identify the amount of capital necessary for infrastructure replacements and improvements over the next ten (10) years. Implementation Page 786 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM DEMANDS VS. FUNDING SOURCES Adopted 8/6/2018 2019 - 2023 1/1/2018 Six-Year Revenue CIP Construction 1/1/2024 Funding Source Balances Projection (Net)Demands Projected Balances Water Fund 2,787,136 7,229,309 5,484,674 4,531,771 Sewer Fund 1,289,682 5,539,657 4,299,795 2,529,544 Water Quality Fund 935,064 2,358,307 2,800,565 492,806 Capital Park Fund 1,326,454 2,797,000 810,000 3,313,454 Trunk Reserve Fund 2,541,060 5,420,740 1,587,500 6,374,300 Street Oversize Fund 842,061 1,788,317 - 2,630,378 Water Storage Fund 2,030,754 (207,813) 600,000 1,222,941 Revolving Equipment Fund 368,241 4,168,730 4,103,214 433,757 Revolving Park Equip Fund 487,350 2,594,628 2,556,963 525,015 Cable Franchise Fund 91,915 80,000 22,727 149,188 Facilities Management Fund 506,949 640,018 526,545 620,422 - - - Permanent Improvement Revolving Fund 259,833 3,056,212 3,029,915 286,129 Municipal State Aid - 2,396,000 2,396,000 - Project Tax Levy - 11,465,296 11,465,296 - Special Assessments - 7,037,383 7,037,383 - Referendum - - - Intergovernmental - 9,434,268 9,434,268 - Grants or Other Contributions - - - - General Fund - Technology 256,719 256,719 TOTALS $13,466,499 66,054,772 56,411,566 23,109,705 Implementation Page 787 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total Public Works (Parks) Capital Replacement Projects CIP1 47,762 - - 13,178 332,619 393,560 Revolving Park Equipment Fund 47,762 - - 13,178 332,619 393,560 Park Amenities Replacement CIP2 141,530 145,776 150,149 154,654 159,294 751,404 Revolving Park Equipment Fund 141,530 145,776 150,149 154,654 159,294 751,404 Trail, Sidewalk, and Boardwalk Replacement CIP3 100,000 200,000 300,000 400,000 412,000 1,412,000 Revolving Park Equipment Fund 100,000 200,000 300,000 400,000 412,000 1,412,000 Natural Area Restoration CIP4 - - - - - - Revolving Park Equipment Fund - - - - - - Existing Trail & Sidewalk Gap Priorities CIP5 - - - - - - Revolving Park Equipment Fund - - - - - - Neighborhood Park Development CIP6 170,000 - 170,000 - 170,000 510,000 Capital Park Fund 170,000 -170,000 -170,000 510,000 New Development Trail Alignments CIP7 250,000 - - - - 250,000 Capital Park Fund 250,000 - - - - 250,000 Community Park Development and Renovation CIP8 - - - - - - Capital Park Fund - - - - - Referendum - - - - - - General Parks CIP6 50,000 - - - - 50,000 Capital Park Fund 50,000 - - - - 50,000 Public Works (Parks) Total 759,292 345,776 620,149 567,832 1,073,913 3,366,963 Page 1 of 6Implementation Page 788 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total Public Works (Streets) Street Improvements (Partnership Projects)CIP9 11,622,268 983,500 - - - 12,605,768 Project Levy 1,000,000 138,000 - - - 1,138,000 Special Assessments - - - - - - State/Federal - - - - - - County 9,272,268 162,000 - - - 9,434,268 Other Municipality - - - - - - Grants or Other Contributions - - - - - City MSA Funds 1,000,000 396,000 - - - 1,396,000 Street Oversize Funds - - - - - - Trunk Reserve Fund - 287,500 - - - 287,500 Water Quality Fund - - - - - - Water Fund 100,000 - - - - 100,000 Sewer Fund 250,000 - - - - 250,000 Capital Park Fund - - - - - - Street Improvements (City Jurisdiction)CIP10.1 636,000 6,535,499 5,271,129 5,065,472 4,257,300 21,765,400 Project Levy 572,000 2,422,840 1,475,860 2,782,976 1,423,620 8,677,296 Special Assessments 64,000 1,444,783 782,184 1,003,856 1,292,560 4,587,383 Grants or Other Contributions - - - - - - City MSA Funds - 600,000 - 400,000 - 1,000,000 Street Oversize Fund - - - - - - Trunk Reserve Fund - - - - - - Water Quality Fund - 389,835 395,250 249,760 510,720 1,545,565 Water Fund - 1,193,640 1,407,370 427,840 582,400 3,611,250 Sewer Fund - 484,400 1,210,465 201,040 448,000 2,343,905 Street Improvements (Street Overlay)CIP10.2 886,306 997,174 1,113,043 1,223,812 1,259,580 5,479,915 Special Assessments 490,000 490,000 490,000 490,000 490,000 2,450,000 Permanent Improvement Revolving Fund 396,306 507,174 623,043 733,812 769,580 3,029,915 Public Works (Streets) Total 13,144,574 8,516,173 6,384,172 6,289,284 5,516,880 39,851,083 Page 2 of 6Implementation Page 789 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total Public Works (Water) Meter Replacement Program CIP11 - - - 100,000 100,000 200,000 Water Fund - - - 100,000 100,000 200,000 - Wells CIP12 - - - - - - Water Fund - - - - - - Watermain Improvements CIP13 - - - - - - Water Fund - - - - - - Trunk Reserve Fund - - - - - - Water System CIP14 2,009,273 112,551 1,065,955 119,405 122,987 3,430,172 Water Fund 109,273 112,551 1,065,955 119,405 122,987 1,530,172 Trunk Reserve Fund 1,300,000 - - - - 1,300,000 Water Storage Fund 600,000 Pressure Reducing Valves CIP15 - - - - - - Trunk Reserve Fund - - - - - - Water Storage CIP16 - - - - - - Water Storage Fund - - - - - - Public Works (Water) Total 2,009,273 112,551 1,065,955 219,405 222,987 3,630,172 Page 3 of 6Implementation Page 790 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total Public Works (Sanitary Sewer) Meter Replacement Program CIP 11 - - - - 100,000 100,000 Sewer Fund - - - - 100,000 100,000 Sanitary Improvement CIP17 - - - 200,000 225,000 425,000 Sewer Fund - - - 200,000 225,000 425,000 Inflow / Infiltration Prevention CIP18 150,000 154,500 159,135 163,909 168,826 796,370 Sewer Fund 150,000 154,500 159,135 163,909 168,826 796,370 Sewer System Equipment Replacement CIP19 64,279 66,208 68,194 70,240 72,347 341,267 Sewer Fund 64,279 66,208 68,194 70,240 72,347 341,267 Public Works (Sanitary Sewer) Total 214,279 220,708 227,329 434,149 566,173 1,662,638 Public Works (Storm Water) Stormwater Infrastructure Maintenance CIP20 60,000 60,000 20,000 20,000 20,000 180,000 Water Quality Fund 60,000 60,000 20,000 20,000 20,000 180,000 Pond Maintenance & Retrofit CIP21 300,000 25,000 300,000 25,000 300,000 950,000 Water Quality Fund 300,000 25,000 300,000 25,000 300,000 950,000 Stormwater Improvements CIP22 25,000 25,000 25,000 25,000 25,000 125,000 Water Quality Fund 25,000 25,000 25,000 25,000 25,000 125,000 Public Works (Storm Water) Total 385,000 110,000 345,000 70,000 345,000 1,255,000 Page 4 of 6Implementation Page 791 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total Vehicles & Equipment Equipment Replacement Plan CIP23 1,223,951 911,674 1,399,152 978,763 639,673 5,153,214 Revolving Equipment Fund 898,951 911,674 674,152 978,763 639,673 4,103,214 Project Levy 325,000 - 725,000 - - 1,050,000 Vehicle & Equipment Total 1,223,951 911,674 1,399,152 978,763 639,673 5,153,214 Facilities Facilities Management Plan CIP24 89,963 68,979 771,008 5,700 190,895 1,126,545 Facilities Management Fund 89,963 68,979 171,008 5,700 190,895 526,545 Project Levy - - 600,000 - - 600,000 Facilities Total 89,963 68,979 771,008 5,700 190,895 1,126,545 Technology Technology Plan CIP25 133,299 135,670 42,279 25,386 29,316 365,951 General Fund - Technology 83,194 82,229 42,279 19,700 29,316 256,719 Water Fund 17,553 22,857 - 2,843 - 43,253 Sewer Fund 17,553 22,857 - 2,843 - 43,253 Water Quality Fund - - - - - - Cable Franchise Fund 15,000 7,727 - - - 22,727 Technology Total 133,299 135,670 42,279 25,386 29,316 365,951 GRAND TOTALS 17,959,631 10,421,531 10,855,045 8,590,520 8,584,838 56,411,566 Page 5 of 6Implementation Page 792 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY DEPARTMENT Adopted 8/6/2018 2019 - 2023 CIP Project Reference 2019 2020 2021 2022 2023 Total TOTALS BY FUNDING SOURCES Project Levy 1,897,000 2,560,840 2,800,860 2,782,976 1,423,620 11,465,296 Special Assessments 554,000 1,934,783 1,272,184 1,493,856 1,782,560 7,037,383 Referendum - - - - - - Grants or Other Contributions - - - - - - State/Federal - - - - - - County 9,272,268 162,000 - - - 9,434,268 Other Municipality - - - - - - City MSA Funds 1,000,000 996,000 - 400,000 - 2,396,000 Capital Park Fund 470,000 - 170,000 - 170,000 810,000 Street Oversize Fund - - - - - - Trunk Reserve Fund 1,300,000 287,500 - - - 1,587,500 Water Quality Fund 385,000 499,835 740,250 319,760 855,720 2,800,565 Water Fund 226,825 1,329,048 2,473,325 650,088 805,387 5,484,674 Sewer Fund 481,832 727,965 1,437,794 638,032 1,014,173 4,299,795 Water Storage Fund 600,000 - - - - 600,000 General Fund - Technology 83,194 82,229 42,279 19,700 29,316 256,719 Revolving Equipment Fund 898,951 911,674 674,152 978,763 639,673 4,103,214 Revolving Park Equipment Fund 289,292 345,776 450,149 567,832 903,913 2,556,963 Cable Franchise Fund 15,000 7,727 - - - 22,727 Facilities Management Fund 89,963 68,979 171,008 5,700 190,895 526,545 Permanent Improvement Revolving Fund 396,306 507,174 623,043 733,812 769,580 3,029,915 17,959,631 10,421,531 10,855,045 8,590,520 8,584,838 56,411,566 Page 6 of 6Implementation Page 793 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY FUNDING SOURCE Adopted 8/6/2018 2019-2023 Project 2019 2020 2021 2022 2023 Total Project Levy Street Reconstruction (Co. Rd.)1,000,000 138,000 - - - 1,138,000 Street Improvements (City)572,000 2,422,840 1,475,860 2,782,976 1,423,620 8,677,296 Street Improvements ( Street Overlay)- - - - - - Equipment Replacement Plan 325,000 - 725,000 - - 1,050,000 Facilities Management Plan - - 600,000 - - 600,000 1,897,000 2,560,840 2,800,860 2,782,976 1,423,620 11,465,296 Special Assessments Street Reconstruction (Co. Rd.)- - - - - - Street Improvements (City)64,000 1,444,783 782,184 1,003,856 1,292,560 4,587,383 Street Improvements ( Street Overlay)490,000 490,000 490,000 490,000 490,000 2,450,000 554,000 1,934,783 1,272,184 1,493,856 1,782,560 7,037,383 Referendum Community Park Development and Renovation - - - - - - - - - - - - Grants or Other Contributions Street Improvements (Partnership Projects)- - - - - - Street Improvements (City)- - - - - - - - - - - - State/Federal Street Reconstruction (Co. Rd.)- - - - - - - - - - - - County Street Reconstruction (Co. Rd.)9,272,268 162,000 - - - 9,434,268 9,272,268 162,000 - - - 9,434,268 Other Municipality Street Improvements (Partnership Projects)- - - - - - - - - - - - City MSA Funds Street Reconstruction (Co. Rd.)1,000,000 396,000 - - - 1,396,000 Street Improvements (City)- 600,000 - 400,000 - 1,000,000 1,000,000 996,000 - 400,000 - 2,396,000 Capital Park Fund Neighborhood Park Development 170,000 - 170,000 - 170,000 510,000 New Development Trail Alignments 250,000 - - - - 250,000 Community Park Development and Renovation - - - - - - General Parks 50,000 - - - - 50,000 Street Improvements (Partnership Projects)- - - - - - 470,000 - 170,000 - 170,000 810,000 Page 1 of 3Implementation Page 794 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY FUNDING SOURCE Adopted 8/6/2018 2019-2023 Project 2019 2020 2021 2022 2023 Total Street Oversize Fund Street Reconstruction (Co. Rd.)- - - - - - Street Improvements (City)- - - - - - - - - - - - Trunk Reserve Fund Street Reconstruction (Co. Rd.)- 287,500 - - - 287,500 Street Improvements (City)- - - - - - Water Treatment 1,300,000 - - - - 1,300,000 Pressure Reducing Valves - - - - - - 1,300,000 287,500 1 2 3 1,587,500 Water Quality Fund Street Reconstruction (Co. Rd.)- - - - - - Street Improvements (City)- 389,835 395,250 249,760 510,720 1,545,565 Stormwater Infrastructure Maintenance 60,000 60,000 20,000 20,000 20,000 180,000 Pond Maintenance & Retrofit 300,000 25,000 300,000 25,000 300,000 950,000 Stormwater Improvements 25,000 25,000 25,000 25,000 25,000 125,000 Technology Plan - - - - - - 385,000 499,835 740,250 319,760 855,720 2,800,565 Water Fund Street Reconstruction (Co. Rd.)100,000 - - - - 100,000 Street Improvements (City)- 1,193,640 1,407,370 427,840 582,400 3,611,250 Meter Replacement Program - -- 100,000 100,000 200,000 Wells - -- - - - Watermain Improvements - -- - - - Water System 109,273 112,551 1,065,955 119,405 122,987 1,530,172 Technology Plan 17,553 22,857 - 2,843 - 43,253 226,825 1,329,048 2,473,325 650,088 805,387 5,484,674 Sewer Fund Street Reconstruction (Co. Rd.)250,000 - - - - 250,000 Street Improvements (City)- 484,400 1,210,465 201,040 448,000 2,343,905 Meter Replacement Program - - - - 100,000 100,000 Sanitary Improvement - - - 200,000 225,000 425,000 Inflow / Infiltration Prevention 150,000 154,500 159,135 163,909 168,826 796,370 Sewer System Equipment Replacement 64,279 66,208 68,194 70,240 72,347 341,267 Technology Plan 17,553 22,857 - 2,843 - 43,253 481,832 727,966 1,437,795 638,033 1,014,174 4,299,795 Page 2 of 3Implementation Page 795 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECTS BY FUNDING SOURCE Adopted 8/6/2018 2019-2023 Project 2019 2020 2021 2022 2023 Total Water Storage Fund Water Storage 600,000 - - - - 600,000 600,000 - - - - 600,000 General Fund Technology Plan 83,194 82,229 42,279 19,700 29,316 256,719 83,194 82,229 42,279 19,700 29,316 256,719 Revolving Equipment Fund Equipment Replacement Plan 898,951 911,674 674,152 978,763 639,673 4,103,214 898,951 911,674 674,152 978,763 639,673 4,103,214 Revolving Park Equipment Fund Capital Replacement Projects 47,762 - - 13,178 332,619 393,560 Park Amenities Replacement 141,530 145,776 150,149 154,654 159,294 751,404 Trail, Sidewalk, and Boardwalk Replacement 100,000 200,000 300,000 400,000 412,000 1,412,000 Natural Area Restoration - - - - - - Existing Trail & Sidewalk Gap Priorities - - - - - - 289,292 345,776 450,149 567,832 903,913 2,556,963 Cable Franchise Fund Technology Plan 15,000 7,727 - - - 22,727 15,000 7,727 - - - 22,727 Facilities Management Fund Facilities Management Plan 89,963 68,979 171,008 5,700 190,895 526,545 89,963 68,979 171,008 5,700 190,895 526,545 Permanent Improvement Revolving Fund Street Improvements ( Street Overlay)396,306 507,174 623,043 733,812 769,580 3,029,915 396,306 507,174 623,043 733,812 769,580 3,029,915 17,959,631 10,421,531 10,855,045 8,590,520 8,584,838 56,411,566 Page 3 of 3Implementation Page 796 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECT DETAIL Adopted 8/6/2018 2019-2023 CIP Cost / BenefitProjectReferenceDescriptionPurposeImpact Statement Public Works (Parks) Capital Replacement Projects CIP1 Replacement or Renovation of Existing Facilities including buildings, parking lots, fields, and lighting. To replace and renovate park facilities that have served their useful life and need to be replaced or rehabilitated to ensure safety of use. Replacement or renovation would be completed within the context of full community park needs and development. Park Amenities Replacement CIP2 Park amenity replacements including regular replacement of park furniture, play structures, enclosures, shelters, courts, etc. To replace and renovate park amenities that have served their useful life and need to be replaced or rehabilitated to ensure safety of use. Replacements necessary to maintain City park system. Trail, Sidewalk, and Boardwalk Replacement CIP3 Replace trail, sidewalk and boardwalks. Trail and Sidewalk Inventory, condition rating, and priority being analyzed. To replace trails, sidewalks or boardwalks that have a degraded pavement surface, ADA compliance issues or have other structural defects. Improved trail, sidewalk and boardwalk surfaces will improve the user experience and limit any potentially liability for ADA claims. Natural Area Restoration CIP4 Restoration of natural areas Inventory, Condition Rating, and Priority being completed. N/A N/A Existing Trail & Sidewalk Gap Priorities CIP5 Replacement of trails, sidewalk and boardwalks. Trail and Sidewalk Gaps Analysis in progress. N/A N/A Neighborhood Park Development CIP6 Neighborhood Park Development 2019 - Undefined Park 2021 - Undefined Park Construction of neighborhood parks to support development. The Comprehensive Plan and Park Dedication Fees have anticipated the construction of additional neighborhood parks to serve growth of the community. New Development Trail Alignments CIP7 Construction of new trail segments in newly developing areas or as part of an existing state project. 2019- TH 13 trail gap for MNDOT TH13 Reconstruction Project To ensure a connected network of trails and sidewalks for transportation and recreational purposes. The Comprehensive Plan, Trail and sidewalk Gaps Study and Park Dedication Fees Study have anticipated the development of additional trails to serve the growing and changing needs of the community. Community Park Development and Renovation CIP8 Development of new community parks.Construction of community parks to support communities recreational needs. The Comprehensive Plan, Master Park Plan and Park Dedication Fees Study have anticipated the development of additional community parks to serve the growing and changing needs of the community. Page 1 of 4 Implementation Page 797 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECT DETAIL Adopted 8/6/2018 2019-2023 CIP Cost / BenefitProjectReferenceDescriptionPurposeImpact Statement Public Works (Streets) Street Reconstruction (Project Partnerships)CIP9 2019 - CR 21 / TH 13 / Main Ave / Arcadia Signal These are Scott County or MNDOT projects. City will participate in storm sewer and other improvements on a cost sharing basis through a cooperative agreement. These County or State Highway Improvement Projects will restore the driving surface and improve storm drainage in these respective areas. 2020 - CSAH 42 (CR83 to CR17) 2020 - Colorado Street Parking Lot Street Improvements (City Jurisdiction)CIP10.1 2019 - Fish Pt Road (Fawn Meadows to CR 21)To rehabilitate, reconstruct, or construct streets to extend useable life or reconstruct streets to a 7- ton or 9-ton standard. Improved streets will reduce maintenance for the streets and for vehicles. 2020 - Hidden Oaks/Timberview/Timber, Millers/Omega/Glory, Fish Point Road (CR 44 to TH 13) 2021 - Pershing/Dunkirk/Dutch/Roanoke/Green Hts/Spring, Park Ave, Private streets:Inguadona/Roosevelt/Ramsey/Green Hts Trail/Park 2022 - Northwood Road (Fremont to Knollridge), Northwood Road (Knollridge to CSAH 12), Knollridge/Hawk Ridge/Viewcrest/Lake Haven/Shady Cove/Lake Bluff/Fremont Cir/Fremont St/Crystal, Frost Point Circle 2023 - Martindale/Henning Circle/Hickory Lane, Lakeside Avenue (CR21 to Pleasant), Colorado (Duluth to Arcadia), Duluth (CR21 to TH13) Street Improvements (City Street Overlay)CIP10.2 2019 - Pike Lake Trail from CSAH 42 to Carriage Hills Parkway and streets in the Wilds neighborhood. 2020-2023: Specific streets have not been identified yet. Annual street mill and overlay project.Improved streets will reduce maintenance for the streets and for vehicles. Page 2 of 4 Implementation Page 798 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECT DETAIL Adopted 8/6/2018 2019-2023 CIP Cost / BenefitProjectReferenceDescriptionPurposeImpact Statement Public Works (Water) Meter Replacement Program CIP11 Replacement of Automatic Meter Reading System (AMRS). The AMRS is nearing the end of it's life and has started showing signs of MTU failures. In addition, water meters deteriorate with age, resulting in inaccurate readings. American Water Works replacement guidelines estimate a 15-year life on residential meters. Battery failures may begin in the existing AMR system in 2017. The City will want to consider how the system will be replaced prior to significant failures. In addition, replacement of any meters will show a decrease in apparent loss and in increase in revenue. Wells CIP12 Construction of additional Wells for source water. NO additional wells needed with JPA with SMSC. Provide additional source water.Wells are needed to provide City firm pumping capacity and to utilize the Water Treatment Facility at full capacity. Watermain Improvements CIP13 Watermain replacements outside of replacements that are completed in conjunction with street projects. No projects currently planned for 2017-2021 Proactive replacement of deteriorated or undersized watermain. New watermain to provide looping and system redundancies. Reduces the potential for costly emergency repairs due to leaks and breaks. Water System CIP14 Additional treatment capacity to accommodate demand growths within the City. Replacement of equipment at the Water Treatment Plant. 2019 - 2023 Annual Equipment Replacement Joint Agreement with SMSC to provide future finished water. Replacement of existing equipment at Water Treatment Facility. Replacement of key equipment necessary as it reaches its life expectancy. Additional capacity needed with current water supply deficit. 2019- Extend Raw Watermain from Well #6 to SMSC Joint Water Treatment Facility 2021 - Tower Street Elevated Storage Recondition Pressure Reducing Valves CIP15 No projects currently planned for 2019-2023.Reduce pressure in service areas that have a lower elevation within the Prior Lake community. Reducing pressure in the distribution system will assist in water conservation and water loss. Water Storage CIP16 Additional water storage facilities. Joint Agreement with SMSC to provide additional storage. Increase water storage to provide adequate supply for high usage periods, fire protection and system pressure. Provides better water quality by increasing ability to circulate system. Providing water pressure and fire flows to meet ISO and Ten State Standards ensures fire protection for properties within the community and better ISO ratings. 2019 - SMSC Joint Water Facility (Filter Cells for water storage) Page 3 of 4 Implementation Page 799 CITY OF PRIOR LAKE CAPITAL IMPROVEMENT PROGRAM PROJECT DETAIL Adopted 8/6/2018 2019-2023 CIP Cost / BenefitProjectReferenceDescriptionPurposeImpact Statement Public Works (Sanitary Sewer) Meter Replacement Program CIP11 Replacement of Automatic Meter Reading System (AMRS). Project planned for 2018. No project costs planned for 2019-2023. The AMRS is nearing the end of it's life and has started showing signs of MTU failures. In addition, water meters deteriorate with age, resulting in inaccurate readings. American Water Works replacement guidelines estimate a 15-year life on residential meters. Battery failures began in the existing AMR system in 2017. The City is addressing this prior to significant failures. In addition, replacement of any meters will show a decrease in apparent loss and in increase in revenue. Sanitary Improvement CIP17 Sanitary Sewer replacements outside of replacements that are completed in conjunction with street projects. 2022/2023 Sewer Rehabilitation/Concrete 15" Sewer Lining Improve sanitary sewer main line which services Commercial area, reduce infiltration issues and improve flow. Reduction of infiltration and settlements in sanitary sewer which could be cause for sanitary back-ups and impede flow design of main line pipe. Inflow / Infiltration Prevention CIP18 Sanitary Sewer rehabilitation or replacement. Resume in 2019 Repairs or replacement of Sewers to reduce water infiltration into collection system. Reduction of lift station pumping and treatment flow costs to the Met Council. Sewer System Equipment Replacement CIP19 Replacement of equipment associated with lift stations, etc. (pumps and controls) To replace vital equipment in lift stations to minimize risk of failure. Reduce risk of failures creating sanitary sewer backups and emergency situations. Public Works (Stormwater) Stormwater Infrastructure Maintenance CIP20 Maintaining existing structural stormwater practices and adding new treatment. (locations vary) Maintenance, retrofit and creation of other structural practices such as; sump manholes, bioretention, infiltration and filtration. Using a targeted maintenance and retrofit program to continually renew and improve the overall water quality system effectiveness and cost efficiency. Pond Maintenance & Retrofit CIP21 Maintaining existing stormwater treatment ponds and maximizing treatment (locations vary). Maintenance, retrofit and creation of storm water ponds to restore and enhance overall system treatment efficiency. Using a targeted maintenance and retrofit program to continually renew and improve the overall water quality system effectiveness and cost efficiency. Stormwater Improvements CIP22 No projects currently planned for 2019-2023.Address flooding of street, washout of dam, and lack of treatment. Minimize street flooding, risk of dam failure and improve overall conveyance efficiency and treatment capacity. Vehicles & Equipment Equipment Replacement Plan CIP23 Replace vehicles and equipment as identified in the replacement schedule. To identify the City’s vehicle and equipment needs and establish a regular replacement schedule. Maximize the useful life of the City's vehicles and equipment. Facilities Facilities Management Plan CIP24 Repair or replace major components in City-owned facilities. To identify major repairs or improvements to all City-owned facilities. Maximize the useful life of the major components in City-owned facilities. Technology Technology Plan CIP25 Replace hardware and software as identified in the replacement schedule. To identify hardware and software needs and establish a regular replacement schedule. Maximize the useful life of the City's hardware. Upgrade software to utilize technology currently available in order to deliver services in a cost- effective manner. Page 4 of 4 Implementation Page 800 CITY OF PRIOR LAKE Adopted 8/6/2018 2019-2028 TRANSPORTATION PLAN Year Improvement Project Type Length Pavement Utility MSA Street Tax Bond Assessments Water Sewer Stormwater/Watermain Sanitary Storm Grant or Other Total City Municipal County State Federal TOTAL PROJECT Miles OCI*OCI*Oversizing Levy Type Utility Fund Utility Fund Water Quality Trunk Fund Trunk Fund Trunk Fund Contribution Cost Cost Cost Cost Cost COST 2019 CR 21/ TH 13 / Main Ave / Arcadia Partnership NA NA NA 1,000,000 - 1,000,000 475 - 100,000 250,000 - - - - - 2,350,000 - 9,272,268 - 11,622,268 2019 Fish Point Road (Fawn Meadows to CR 21)Pavement/Rehab 0.28 28 78 572,000 475 64,000 636,000 636,000 2019 Project Totals 0.28 1,000,000$ -$ 1,572,000$ 64,000$ 100,000$ 250,000$ -$ -$ -$ -$ -$ 2,986,000$ -$ 9,272,268$ -$ -$ 12,258,268$ - 2020 CSAH 42 (CR83 to CR17)Partnership NA 396,000 - 475 - - - - 162,500 125,000 - - 683,500 - - - - 683,500 2020 Hidden Oaks/Timberview/Timber (1986)Pavement/Recon 0.4 22 39 - - 747,300 429 263,043 424,000 106,000 118,964 - - - - 1,659,307 - - - - 1,659,307 2020 Millers/Omega/Glory (1982)Pavement/Rehab 0.31 25 79 - - 413,400 429 222,600 41,340 - - - - - 677,340 - - - - 677,340 2020 Fish Point Road (CR 44 to TH 13)Pavement/Recon 0.66 22 40 600,000 - 1,096,000 429 794,421 636,000 307,400 189,931 - - - - 3,623,752 - - - - 3,623,752 2020 Colorado Street (Arcadia to Main)Pavement/Recon 0.14 166,140 429 164,720 92,300 71,000 80,940 575,100 575,100 2020 Colorado Street Parking Lot Partnership NA 138,000 429 138,000 162,000 300,000 2020 Project Totals 1.51 996,000$ -$ 2,560,840$ 1,444,783$ 1,193,640$ 484,400$ 389,835$ 162,500$ 125,000$ -$ -$ 7,356,999$ -$ 162,000$ -$ -$ 7,518,999$ 2021 Inguadona/Roosevelt/Ramsey/Green Hts Trail/Park (private)Pavement/Recon 0.59 475 702,685$ 608,785$ 150,000$ 1,461,470 - - - - 1,461,470 2021 Pershing/Dunkirk/Dutch/Roanoke/Green Hts/Spring (1985)Pavement/Recon 0.76 26 34 - - 1,306,910 429 666,644 647,460 601,680 245,250 - - - - 3,467,944 - - - - 3,467,944 2021 Park Avenue (1985)Pavement/Rehab 0.14 24 78 - - 168,950 429 115,540 57,225 - - - - - 341,715 - - - - 341,715 - - - - - - - - - - 2021 Project Totals 1.49 -$ -$ 1,475,860$ 782,184$ 1,407,370$ 1,210,465$ 395,250$ -$ -$ -$ -$ 5,271,129$ -$ -$ -$ -$ 5,271,129$ 2022 Northwood Road (Fremont to Knollridge) (1994)Pavement/Rehab 0.52 29 84 - - 658,560 429 439,040 - - - - - - - 1,097,600 - - - - 1,097,600 2022 Northwood Road (Knollridge to CSAH 12) (1994)Pavement/Recon 0.6 16 79 400,000 - 1,611,456 475 246,848 231,840 61,040 193,760 - - - - 2,744,944 - - - - 2,744,944 2022 Knollridge/Hawk Ridge/Viewcrest (1998) Lake Haven/Shady Cove/Lake Bluff(2000)Fremont Cir/Fremont St/Crystal (1986)Pavement/Rehab NA 37 85 - - 207,200 429 97,664 - - - - - - - 304,864 - - - - 304,864 2022 Frost Point Circle (1974)Pavement/Recon 0.17 24 35 - - 305,760 429 220,304 196,000 140,000 56,000 - - - - 918,064 - - - - 918,064 2022 Project Totals 1.29 400,000$ -$ 2,782,976$ 1,003,856$ 427,840$ 201,040$ 249,760$ -$ -$ -$ -$ 5,065,472$ -$ -$ -$ -$ 5,065,472$ 2023 Martindale/Henning Circle/Hickory Lane Pavement/Rehab 0.6 379,800$ 429 253,200$ 633,000 633,000 2023 Lakeside Avenue (CR21 to Pleasant)Pavement/Recon 0.34 418,860$ 429 415,280$ 232,700$ 179,000$ 204,060$ 1,449,900 1,449,900 2023 Colorado (Duluth to Arcadia)Pavement/Recon 0.08 102,960$ 429 102,080$ 57,200$ 44,000$ 50,160$ 356,400 356,400 2023 Duluth (CR21 to TH13)Pavement/Recon 0.43 522,000$ 429 522,000$ 292,500$ 225,000$ 256,500$ 1,818,000 1,818,000 - - - - - - - - - - - - 2023 Project Totals 1.45 -$ -$ 1,423,620$ 1,292,560$ 582,400$ 448,000$ 510,720$ -$ -$ -$ -$ 4,257,300$ -$ -$ -$ -$ 4,257,300$ 2024 Street Reconstruction Non-Specific Pavement/Recon 1.5 - - 2,850,000 429 1,340,768 825,000 425,000 361,152 - - - - 5,801,920 - - - - 5,801,920 2024 Project Totals 1.5 -$ -$ 2,850,000$ 1,340,768$ 825,000$ 425,000$ 361,152$ -$ -$ -$ -$ 5,801,920$ -$ -$ -$ -$ 5,801,920$ 2025 Street Reconstruction Non-Specific Pavement/Recon 1.5 - - 2,850,000 429 1,340,768 825,000 425,000 361,152 - - - - 5,801,920 - - - - 5,801,920 2025 Project Totals 1.5 -$ -$ 2,850,000$ 1,340,768$ 825,000$ 425,000$ 361,152$ -$ -$ -$ -$ 5,801,920$ -$ -$ -$ -$ 5,801,920$ 2026 Street Reconstruction Non-Specific Pavement/Recon 1.5 - - 2,850,000 429 1,340,768 825,000 425,000 361,152 - - - - 5,801,920 -$ -$ -$ -$ 5,801,920 2026 Project Totals 1.5 -$ -$ 2,850,000$ 1,340,768$ 825,000$ 425,000$ 361,152$ -$ -$ -$ -$ 5,801,920$ -$ -$ -$ -$ 5,801,920$ 2027 Street Reconstruction Non-Specific Pavement/Recon 1.5 - - 2,850,000 429 1,340,768 825,000 425,000 361,152 - - - - 5,801,920 -$ -$ -$ -$ 5,801,920 2027 Project Totals 1.5 -$ -$ 2,850,000$ 1,340,768$ 825,000$ 425,000$ 361,152$ -$ -$ -$ -$ 5,801,920$ -$ -$ -$ -$ 5,801,920$ 2028 Street Reconstruction Non-Specific Pavement/Recon 1.5 - - 2,850,000 429 1,340,768 825,000 425,000 361,152 - - - - 5,801,920 -$ -$ -$ -$ 5,801,920 2028 Project Totals 1.5 -$ -$ 2,850,000$ 1,340,768$ 825,000$ 425,000$ 361,152$ -$ -$ -$ -$ 5,801,920$ -$ -$ -$ -$ 5,801,920$ Program Totals 2,396,000$ -$ 24,065,296$ -$ 11,291,223$ 7,836,250$ 4,718,905$ 3,351,325$ 162,500$ 125,000$ -$ -$ 53,946,500$ -$ 9,434,268$ -$ -$ 63,380,768$ Implementation Page 801 #( #( #( #( BLINDLAKETRL S E DUFFERIN DR MAINAVSEDULUTHAVSEGLEN DALEA V S E RUTGER S STNEBASSST SEMCKENNARDNW PIKELAKETRLNECROSS ANDRASTSEDOVECTNERAVENC I RN EBL UEBIR DTRLNETURNERDRSWJEFFERSPASSNWC O N N EL LY P K W Y 154 ST W 135 ST W WI L D E RNESS T R L SE SOUTHPARKDR CREDITRIVERRDSE CARRIAGE HILLS PKWY NE 144 STWSUMTE RAVS 148STW 1 43STW NORTON DR GLYNWATER TRL NWNORTHWOODRDNW CONROY ST NE144 STW JERSEYAVSFISHPOINTR D S E HIDDE N O A K S CIR S EMARTINDALE DRELO RD S ST NE TIMOTHYAVNEDE E R F IEL DD R S EMARYLANDAVSGREENOAKSTRL S E 133ST W MALCOLMCT SW 169 ST EQUEBECAVSSHADYBEACHTRLNE BROOKLN CREDITRIVERRDSE HILLSIDE TRL149CIR PENI NSULAPOI NTDR170 ST E OAKVIEWCTPHEASANTRUNCTNWWIL DS PATH N WCO AC H MAN LNN EM 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DRSE LAK EVIEW DRMUR P H Y L A KER D HILLSBOR OWAY CREEKWOODDRPROMISE AV COTTONWOOD LNSESTEMMERRIDGERDNWPRIORWOODSTSE JEN NIFER LN JEF FE R SP KWYNWMA P LET RLSECREE KWOODCIR CREEKWOOD LNFISHERAVNEHUNTE RSLNCREDITVIEWDR 175 ST ESTEMMERRIDGERDNWSUNSETAVPEBBLE BROOK CTSUNRAYCIRSW WESTSIDE DRDAKOTA AVHAMPSHIREAVSKOPPKWYSE 165 ST E O AK RID GECIR SE456712 456742 456783 456744 456727 456781 456716 456727 456727 456718456717 456742 456723 456787 456721 456721 456717 456782 456781 456742456742 456782 456714 456721 ?A13 ?A13 ?A13 ?A13 LowerPrior Lake PikeLake MysticLake HaasLake CampbellLake UpperPriorLake Spring Lake Cleary Lake ArcticLake Rice Lake BlindLake JeffersPond HowardLake This drawing is neither a legally recorded map nor a surveyand is not intended to be used as one. This drawing is acompilation of records, information and data from variouscity, county and state offices and other sources. Thisdocument should be used for reference only. Norepresentation is made that features presented accuratelyreflect true location. The City of Prior Lake, or any otherentity from which data was obtained, assumes no liability forany errors or omissions herein. If discrepancies are found,please contact the City of Prior Lake. 0 0.50.25 Miles City of Prior Lake²Minnesota 2018 Proposed CIPProjects Last Updated June 2018City of Prior Lake GIS Intersection by Year#(2018 #(2019 #(2020 #(2021 #(2022 #(2023 Overlay (2019 CIP) 2018 2019 2020 2021 2022 2023 Reclaim (2019 CIP) 2018 2019 2020 2021 2022 2023Reconstruct (2019 CIP)2018 2019 2020 2021 2022 2023 Implementation Page 802 CITY OF PRIOR LAKE, MN 2017 to 2021 AMENDED STREET RECONSTRUCTION PLAN ORIGINAL PLAN ADOPTED: AUGUST 22, 2016 AMENDED PLAN ADOPTED: JANUARY 8, 2018 Implementation Page 803 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 2 of 7 City of Prior Lake , MN 2017-2021 Amended Street Reconstruction Plan I. Introduction The City of Prior Lake (the “City”) historically has conducted street maintenance and reconstruction as part of its annual operational budget or as part of a street improvement capital improvement project. The maintenance and reconstruction has included seal coating, mill and overlay, complete reconstruction, and other such items incidental to the maintenance of city streets. The City finds that it does not always have the resources for reconstructing streets as quickly as required, due to increased need for major reconstruction projects. Due to this fact, the City has in the past and plans to in the future finance a portion of its street reconstruction through the issuance of General Obligation Street Reconstruction Bonds. The City adopted the 2017 to 2021 Street Reconstruction Plan on August 22, 2016 (the “Original Plan”. The 2017 to 2021 Amended Street Reconstruction Plan (the “Amended Plan”) was adopted on _______________, 2018, following a public hearing. II. Statutory Authority and Requirements Minnesota Statutes, Section 475.58, Subdivision 3b (the “Act”) authorizes Minnesota cities to adopt a Street Reconstruction Plan. The Plan must cover at least a five-year period and set forth the streets to be reconstructed, the estimated costs, and any planned reconstruction of other streets in the municipality over the next five years. Street Reconstruction Bonds can be used to finance the reconstruction and bituminous overlay of existing city streets. Eligible improvements may include turn lanes and other improvements having a substantial public safety function, realignments, other modifications to intersect with state and county roads, and the local share of state and county road projects. Except in the case of turn lanes, safety improvements, realignments, intersection modifications, and the local share of state and county road projects, street reconstruction does not include the portion of project cost allocable to widening a street or adding curbs and gutters where none previously existed. Street Reconstruction Bonds are subject to the debt limit. The Act sets forth specific requirements for the issuance of Street Reconstruction Bonds, which are as follows: Implementation Page 804 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 3 of 7 • The projects financed under this authority must be described in a street reconstruction plan, as described above. • The city must publish notice of and hold a public hearing on the proposed plan and the related issuance of bonds. The notice must be published at least ten days but not more than 28 days prior to the hearing date. • The Original Plan approved on August 22, 2016 was approved by a vote of all of the members of the governing body present at the meeting following a public hearing. • The Amended Plan must be approved by a vote of a two-thirds majority of the members of the governing body present at the meeting following a public hearing. • The issuance of bonds is subject to a reverse referendum. An election is required if voters equal to 5% of the votes cast in the last municipal general election file a petition with the city clerk within 30 days of the public hearing. If the city decides not to undertake an election, it may not propose the issuance of Street Reconstruction Bonds for the same purpose and in the same amount for a period of 365 days from the date of receipt of the petition. If the question of issuing the bonds is submitted and not approved by the voters, the provisions of section 475.58, subdivision 1a, shall apply (no resubmission for same purpose/amount for 180 days). III. History and Existing Street Reconstruction Bonds At the time of the approval of the Original Plan, the following Street Reconstruction (issued under Chapter 475) were outstanding: At the time of the approval of the Amended Plan, the following Street Reconstruction Bonds (issued under Chapter 475) were outstanding: Bond Issue Amount Outstanding $1,400,000 G.O. Street Reconstruction Bonds, Series 2007B $ 330,000 $3,240,000 G.O. Bonds, Series 2011A 295,000 $5,780,000 G.O. Bonds, Series 2011B 400,000 $3,240,000 G.O. Bonds, Series 2013A 425,000 $2,665,000 G.O. Bonds, Series 2014A 1,985,000 $2,490,000 G.O. Taxable Bonds, Series 2015B 2,330,000 $3,505,000 G.O. Bonds, Series 2016A 350,000 Total Outstanding Street Reconstruction Bonds $ 6,115,000 Bond Issue Amount Outstanding $3,240,000 G.O. Bonds, Series 2011A $ 205,000 $5,780,000 G.O. Bonds, Series 2011B 290,000 Implementation Page 805 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 4 of 7 IV. Net Debt Limits Minnesota Statutes Section 475.53, Subd. 1 states that no municipality, except a school district or a city of the first class, shall incur or be subject to a net debt in excess of three percent of the market value of taxable property in the municipality. Bonds issued under the authority granted by this Street Reconstruction Plan are subject to the net debt limit restriction described above. The net debt capacity for the City at time of approval of the Original Plan is shown below under Statutory Debt Limit. Statutory Debt Limit1 Minnesota Statutes, Section 475.53 states that a city or county may not incur or be subject to a net debt in excess of three percent (3%) of its estimated market value. Net debt is, with limited exceptions, debt paid solely from ad valorem taxes. Computation of Legal Debt Margin as of May 2, 2016: 1 Effective June 2, 1997 and pursuant to Minnesota Statutes 465.71, any lease revenue or public project revenue bond issues/agreements of $1,000,000 or more are subject to the statutory debt limit. Lease revenue or public project revenue bond issues/agreements less than $1,000,000 are not subject to the statutory debt limit. $3,240,000 G.O. Bonds, Series 2013A 325,000 $2,665,000 G.O. Bonds, Series 2014A 1,605,000 $2,490,000 G.O. Taxable Bonds, Series 2015B 1,860,000 $3,505,000 G.O. Bonds, Series 2016A 320,000 Total Outstanding Street Reconstruction Bonds $ 4,605,000 2015/2016 Estimated Market Value $2,981,761,500 Multiplied by 3% x 0.03 Statutory Debt Limit $ 89,452,845 $6,260,000 G.O. Refunding Bonds, Series 2005A ( 1,535,000) $1,400,000 G.O. Street Reconstruction Bonds, Series 2007B ( 330,000) $3,240,000 G.O. Bonds, Series 2011AError! Bookmark not defined. ( 295,000) $5,780,000 G.O. Bonds, Series 2011B ( 3,780,000) $9,825,000 G.O. Capital Improvement Plan Bonds, Series 2012A ( 8,240,000) $3,240,000 G.O. Bonds, Series 2013A ( 425,000) $2,665,000 G.O. Bonds, Series 2014A ( 1,985,000) $2,490,000 Taxable G.O. Bonds, Series 2015B ( 2,330,000) $3,630,000 G.O. Bonds, Series 2016A ( 760,000) Less outstanding debt applicable to debt limit: ($ 19,680,000) Legal debt margin $ 69,772,845 Implementation Page 806 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 5 of 7 At time of the approval of the Original Plan, the City approved the issuance of an amount not to exceed $2,680,000 in General Obligation Street Reconstruction Bonds between August 22, 2016 and August 22, 2021. (The maximum amount included estimated cost of issuance of bonds and rounding.) The not to exceed bond issuance amount was within the City's Legal Debt Margin. At time of approval of the Amended Plan the City’s Statutory Debt Limit is as follows: Computation of Legal Debt Margin as of January 2, 2018: Amended Plan provides for the issuance of a not to exceed amount of $4,015,000 in General Obligation Street Reconstruction Bonds between August 22, 2016 and August 22, 2021. (The maximum amount includes estimated cost of issuance of bonds and rounding). The proposed bond issuance is within the current City’s Legal Debt Margin, as of the date of adoption of the Amended Plan. V. Proposed Street Reconstruction and Cost Estimate The Original Plan is detailed in Table A. The Amended Plan is detailed in Table B. The City reserves the right to adjust the amount of annual spending between years, as long as the overall 2017 to 2021 Street Reconstruction Plan is not increased. 2016/2017 Estimated Market Value $3,076,199,800 Multiplied by 3% x 0.03 Statutory Debt Limit $ 92,285,994 $3,240,000 G.O. Bonds, Series 2011AError! Bookmark not defined. ( 205,000) $5,780,000 G.O. Bonds, Series 2011B ( 3,400,000) $9,825,000 G.O. Capital Improvement Plan Bonds, Series 2012A ( 7,395,000) $3,240,000 G.O. Bonds, Series 2013A ( 325,000) $2,665,000 G.O. Bonds, Series 2014A ( 1,605,000) $2,490,000 Taxable G.O. Bonds, Series 2015B ( 1,860,000) $3,630,000 G.O. Bonds, Series 2016A ( 675,000) $4,505,000 G.O. Bonds, Series 2017A ( 370,000) Less outstanding debt applicable to debt limit: ($ 15,835,000) Legal debt margin $ 76,450,994 Implementation Page 807 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 6 of 7 CITY OF PRIOR LAKE 2017-2022 STREET RECONSTRUCTION PLAN Amounts August 22, 2016 through August 22, 2017 County wide flashing yellow signal conversion $75,000 TOTAL 2017 $75,000 August 23, 2017 through August 22, 2018 TOTAL 2018 $0 August 23, 2018 through August 22, 2019 Fish Point Road (Fawn Meadows to CR 21) Reconstruction $600,000 CSAH 21 Bridge Deck Replacement $175,000 CR 21 / TH 13 / Main Ave Reconstruction and / Arcadia Signal $500,000 TOTAL 2019 $1,275,000 August 23, 2019 through August 22, 2020 CSAH 21 and CASH 87 Reconstruction $350,000 TOTAL 2020 $350,000 August 23, 2020 through August 22, 2021 Northwood Road (Fremont to Knollridge) (1994) Reconstruction $900,000 TOTAL 2021 $900,000 GRAND TOTAL (3/30/17 THROUGH 3/30/22)$2,600,000 Bond Issuane Costs, Capitalized Interest, and Rounding $80,000 GRAND TOTAL $2,680,000 TABLE A Implementation Page 808 City of Prior Lake 2017-2021 Street Reconstruction Plan Page 7 of 7 CITY OF PRIOR LAKE 2017-2021 AMENDED STREET RECONSTRUCTION PLAN Amounts August 22, 2016 through August 22, 2017 County wide flashing yellow signal conversion $75,000 TOTAL 2017 $75,000 August 23, 2017 through August 22, 2018 Duluth Avenue / TH 13 Signal $1,300,000 TOTAL 2018 $1,300,000 August 23, 2018 through August 22, 2019 Fish Point Road (Fawn Meadows to CR 21) Reconstruction $600,000 CSAH 21 Bridge Deck Replacement $175,000 CR 21 / TH 13 / Main Ave Reconstruction and / Arcadia Signal $500,000 TOTAL 2019 $1,275,000 August 23, 2019 through August 22, 2020 CSAH 21 and CASH 87 Reconstruction $350,000 TOTAL 2020 $350,000 August 23, 2020 through August 22, 2021 Northwood Road (Fremont to Knollridge) (1994) Reconstruction $900,000 TOTAL 2021 $900,000 GRAND TOTAL (3/30/17 THROUGH 3/30/22)$3,900,000 Bond Issuance Costs, Capitalized Interest, and Rounding $115,000 GRAND TOTAL $4,015,000 TABLE B Implementation Page 809 CITY OF PRIOR LAKE Adopted 8/6/2018 CITY OF PRIOR LAKE 2019 - 2028 STREET OVERLAY PLAN (PIR F450) 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 PIR Fund (F450) Use of Funds: Street Overlay Project 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ 700,000$ Transfer to Debt Service Funds 186,306 297,174 413,043 523,812 559,580 561,343 561,343 561,343 561,343 561,343 Total Use of Funds 886,306$ 997,174$ 1,113,043$ 1,223,812$ 1,259,580$ 1,261,343$ 1,261,343$ 1,261,343$ 1,261,343$ 1,261,343$ Sources of Funds: Special Assessment Revenue 230,089 356,227 446,498 532,065 574,968 565,754 560,560 560,560 560,560 560,560 Bond Proceeds 490,000 490,000 490,000 490,000 490,000 490,000 490,000 490,000 490,000 490,000 Tax Levy 95,000 175,000 195,000 205,000 205,000 205,000 205,000 210,000 210,000 210,000 Interest Earnings (1.5%)4,231 3,226 3,635 3,967 4,075 4,292 4,347 4,326 4,379 4,433 Total Source of Funds 819,320$ 1,024,453$ 1,135,133$ 1,231,031$ 1,274,043$ 1,265,046$ 1,259,907$ 1,264,886$ 1,264,939$ 1,264,993$ Change in Fund Balance (66,986)$ 27,279$ 22,090$ 7,220$ 14,463$ 3,703$ (1,436)$ 3,543$ 3,596$ 3,650$ Beginning Fund Balance 282,064$ 215,078$ 242,357$ 264,447$ 271,667$ 286,129$ 289,832$ 288,396$ 291,939$ 295,535$ Ending Fund Balance 215,078$ 242,357$ 264,447$ 271,667$ 286,129$ 289,832$ 288,396$ 291,939$ 295,535$ 299,185$ Implementation Page 810 Adopted 8/6/2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Use of Funds: Fire Dept Total 323,575$ 46,933$ 703,443$ 99,698$ 71,643$ -$ -$ 859,846$ -$ -$ Police Dept Total 207,823 198,198 229,505 255,287 92,738 134,056 221,263 155,485 150,519 216,863 Public Works Dept Total 692,553 666,544 466,205 623,779 475,292 472,225 687,144 447,966 699,416 842,373 Total Use of Funds 1,223,951$ 911,674$ 1,399,152$ 978,763$ 639,673$ 606,281$ 908,407$ 1,463,297$ 849,934$ 1,059,237$ Source of Funds: Interest Earnings (1.5%)7,775 6,851 4,859 7,005 4,159 6,506 9,765 8,540 11,574 11,253 Annual Equipment Levy 600,000 600,000 600,000 600,000 600,000 625,000 625,000 625,000 625,000 625,000 General Fund Contribution - - - .- - - - - - Water Fund Contribution 70,000 70,000 75,000 75,000 80,000 80,000 80,000 80,000 80,000 80,000 Sewer Fund Contribution 70,000 70,000 75,000 75,000 80,000 80,000 80,000 80,000 80,000 80,000 Water Quality Fund Contribution 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 20,000 Forfeiture Funds / Donations 57,600 - 30,389 - - - - - - - Watershed District Grant Auction Proceeds 12,000 12,000 12,000 12,000 12,000 12,000 12,000 12,000 12,000 12,000 Bond Proceeds 325,000 725,000 - - - - 840,000 - - Total Source of Funds 1,162,375$ 778,851$ 1,542,248$ 789,005$ 796,159$ 823,506$ 826,765$ 1,665,540$ 828,574$ 828,253$ Change in Fund Balance (61,576)$ (132,823)$ 143,095$ (189,758)$ 156,486$ 217,225$ (81,642)$ 202,243$ (21,360)$ (230,983)$ Beginning Fund Balance 518,332$ 456,756$ 323,933$ 467,029$ 277,271$ 433,757$ 650,982$ 569,340$ 771,583$ 750,223$ Ending Fund Balance 456,756$ 323,933$ 467,029$ 277,271$ 433,757$ 650,982$ 569,340$ 771,583$ 750,223$ 519,240$ CITY OF PRIOR LAKE 2019 - 2028 EQUIPMENT REPLACEMENT PLAN Page 1 of 1 Implementation Page 811 CITY OF PRIOR LAKE Adopted 8/6//2018 2019 - 2028 PARK PLAN 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Capital Park Fund (F225) Use of Funds: Neighborhood Park Development 170,000 - 170,000 - 170,000 - 170,000 - 170,000 New DevelopmentTrail Alignments 250,000 - -- -- - - -- Community Park Development 3,200,000 General Parks 50,000 - - - - 470,000 - 170,000 - 170,000 - 3,370,000 - 170,000 - Sources of Funds: Bond Proceeds - Park Referendum Park Dedication Fees 450,000 450,000 450,000 450,000 450,000 450,000 450,000 450,000 450,000 450,000 Miscellaneous Revenues (including interest)48,000 48,000 56,000 61,000 68,000 74,000 82,000 39,000 46,000 51,000 Total Source of Funds 498,000 498,000 506,000 511,000 518,000 524,000 532,000 489,000 496,000 501,000 Change in Fund Balance 28,000$ 498,000$ 336,000$ 511,000$ 348,000$ 524,000$ (2,838,000)$ 489,000$ 326,000$ 501,000$ Beginning Fund Balance 1,592,454$ 1,620,454$ 2,118,454$ 2,454,454$ 2,965,454$ 3,313,454$ 3,837,454$ 999,454$ 1,488,454$ 1,814,454$ Ending Fund Balance 1,620,454$ 2,118,454$ 2,454,454$ 2,965,454$ 3,313,454$ 3,837,454$ 999,454$ 1,488,454$ 1,814,454$ 2,315,454$ Revolving Park Equipment Fund (F430) Use of Funds: Capital Replacement Projects 47,762 13,178 332,619 257,658 43,856 266,333 241,636 1,387,163 Park Amenity Replacements 141,530 145,776 150,149 154,654 159,294 164,072 168,995 174,064 179,286 184,665 Trail, Sidewalk, and Boardwalk Replacement 100,000 200,000 300,000 400,000 412,000 424,360 437,091 450,204 463,710 477,621 Natural Area Restoration - - - - - - - - - - Existing Trail and Sidewalk Gap Priorities - - - - - - - - - - Total Use of Funds 289,292 345,776 450,149 567,832 903,913 846,090 649,942 890,601 884,632 2,049,449 Sources of Funds: Interest Earnings (1.5%)7,310 7,420 7,531 7,644 7,759 7,875 7,993 8,113 8,235 8,358 Tax Levy 289,292 345,776 450,149 567,832 903,913 846,090 649,942 890,601 884,632 849,449 Bond Proceeds 1,200,000 - - ... Total Source of Funds 296,603 353,196 457,681 575,476 911,672 853,965 657,935 898,714 892,867 2,057,807 Change in Fund Balance 7,310$ 7,420$ 7,531$ 7,644$ 7,759$ 7,875$ 7,993$ 8,113$ 8,235$ 8,359$ Beginning Fund Balance 487,350$ 494,660$ 502,080$ 509,612$ 517,256$ 525,015$ 532,890$ 540,883$ 548,996$ 557,231$ Ending Fund Balance 494,660$ 502,080$ 509,612$ 517,256$ 525,015$ 532,890$ 540,883$ 548,996$ 557,231$ 565,590$ Community Park Referendum Needs* - Large scale projects developing new community park facilities or renovating existing facilities to serve changing and expanding community needs. Funding from referendum, donations, or other project partners. Capital Facility Replacements & Renovation Lakefront $714,494 Memorial Sand Point Beach The Ponds $303,152 Thomas Ryan Memorial Watzl Park Development Projects* Spring Lake Park Athletic Fields $8,835,969 Campbell Lake Park Lakefront Park $846,321 Radanke Farm Park Thomas Ryan Park $1,656,164 The Ponds Athletic Fields $1,445,619 Vierling Community Park TOTAL REFERENDUM NEEDS -$ -$ -$ -$ -$ -$ 13,801,719$ -$ -$ -$ Implementation Page 812 Adopted 08/06/2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Use of Funds: Hardware Administration 7,534$ 10,976$ 7,393$ 6,997$ 6,168$ 10,468$ 8,465$ 10,578$ 7,541$ 7,120$ Building Inspection/Engineering 3,570 1,133 - - 6,263 2,984 3,790 1,203 - - Community/Economic Development 2,150 6,800 1,041 2,102 1,168 1,179 - 7,218 1,105 1,116 Finance 1,122 2,576 - 3,363 1,000 2,573 1,191 2,734 - 3,570 Fire - 8,655 - - - - - - - - Police 16,934 2,885 8,949 10,993 6,062 14,903 21,007 8,312 5,413 8,880 Public Works 7,161 3,503 7,284 7,462 5,095 6,218 7,905 3,719 5,744 7,921 Cable Television 17,805 18,958 - 7,883 - 37,413 - 2,734 4,584 77,323 Printers/Scanners 3,162 3,946 22,576 24,504 21,316 15,975 1,083 7,929 3,424 6,694 Network Infrastructure 19,117 22,258 30,867 14,322 14,752 68,801 15,650 25,416 25,993 17,101 Miscellaneous 250 6,697 3,642 1,997 - - - - - - Total Hardware 78,805$ 88,385$ 81,752$ 79,623$ 61,824$ 160,514$ 59,092$ 69,843$ 53,803$ 129,724$ Software Existing / Maintenance / Upgrades 169,958$ 173,217$ 138,278$ 139,591$ 143,760$ 148,055$ 152,479$ 157,035$ 166,558$ 166,562$ Proposed Software 101,400 78,414 9,500 9,500 8,000 - - - - - Total Software 271,358$ 251,631$ 147,778$ 149,091$ 151,760$ 148,055$ 152,479$ 157,035$ 166,558$ 166,562$ Total Use of Funds 350,163$ 340,016$ 229,531$ 228,713$ 213,585$ 308,570$ 211,570$ 226,879$ 220,361$ 296,286$ Source of Funds: General Fund 232,542$ 207,140$ 163,031$ 143,115$ 142,687$ 197,107$ 134,502$ 143,428$ 138,097$ 133,680$ Water Fund 49,500$ 58,202$ 33,980$ 35,914$ 34,063$ 36,800$ 39,873$ 41,651$ 38,594$ 39,488$ Sewer Fund 48,378$ 55,317$ 32,107$ 41,379$ 35,230$ 36,800$ 36,733$ 38,588$ 38,594$ 45,289$ Water Quality Fund 1,938$ 400$ 412$ 424$ 1,604$ 450$ 463$ 477$ 492$ 506$ Cable Franchise Fund 17,805$ 18,958$ -$ 7,883$ -$ 37,413$ -$ 2,734$ 4,584$ 77,323$ Total Source of Funds 350,163$ 340,016$ 229,531$ 228,713$ 213,585$ 308,570$ 211,570$ 226,879$ 220,361$ 296,286$ Net Source (Use) of Funds -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ Operating Budget 216,864$ 204,346$ 187,252$ 203,327$ 184,268$ 214,054$ 211,570$ 217,582$ 210,972$ 212,270$ Capital Improvement Plan 133,299$ 135,670$ 42,279$ 25,386$ 29,316$ 94,515$ -$ 9,296$ 9,389$ 84,017$ Source of Funds (Operating Budget): General Fund 149,348$ 124,911$ 120,752$ 123,414$ 113,371$ 131,063$ 134,502$ 134,132$ 128,708$ 126,986$ Water Fund 31,947$ 35,345$ 33,980$ 33,071$ 34,063$ 35,728$ 39,873$ 41,651$ 38,594$ 39,488$ Sewer Fund 30,825$ 32,460$ 32,107$ 38,536$ 35,230$ 35,728$ 36,733$ 38,588$ 38,594$ 45,289$ Water Quality Fund 1,938$ 400$ 412$ 424$ 1,604$ 450$ 463$ 477$ 492$ 506$ Cable Franchise Fund 2,805$ 11,230$ -$ 7,883$ -$ 11,086$ -$ 2,734$ 4,584$ -$ Total Source of Funds: Op. Budget 216,864$ 204,346$ 187,252$ 203,327$ 184,268$ 214,054$ 211,570$ 217,582$ 210,972$ 212,270$ Source of Funds (CIP): General Fund 83,194$ 82,229$ 42,279$ 19,700$ 29,316$ 66,044$ -$ 9,296$ 9,389$ 6,694$ Water Fund 17,553$ 22,857$ -$ 2,843$ -$ 1,072$ -$ -$ -$ -$ Sewer Fund 17,553$ 22,857$ -$ 2,843$ -$ 1,072$ -$ -$ -$ -$ Water Quality Fund -$ -$ -$ -$ -$ -$ -$ -$ -$ -$ Cable Franchise Fund 15,000$ 7,727$ -$ -$ -$ 26,327$ -$ -$ -$ 77,323$ Total Source of Funds: CIP 133,299$ 135,670$ 42,279$ 25,386$ 29,316$ 94,515$ -$ 9,296$ 9,389$ 84,017$ CITY OF PRIOR LAKE 2019 - 2028 TECHNOLOGY PLAN Implementation Page 813 CITY OF PRIOR LAKE 2019 - 2028 FACILITIES MANAGEMENT PLAN Adopted 8/6/2018 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Use of Funds: City Hall - - 303,610 - - 255,374 - 699,287 - - Police Station - - 168,262 - - 309,638 - 513,891 - - Fire Station #1 67,998 64,479 - - 11,743 110,147 - - 12,336 - Fire Station #2 - - - - 40,154 29,029 - 255,385 - 153,286 Library & Club Prior 21,965 - - - - 137,580 - - 228,210 - Maintenance Center - 4,500 299,136 5,700 - 40,317 - 307,052 209,205 5,445 Maintenance Center Roof Water Treatment Facility - - - - 138,997 40,317 - - 266,916 447,475 Transfer to GESP Debt Service Fund Pike Lake Buildings - - - - - - - - - - Old Maintenance Shop - - - 16220 Main Avenue - - - - - - - - - - 16244 Main Avenue - - - - - - - - - - Other(1) Total Use of Funds 89,963 68,979 771,008 5,700 190,895 922,404 - 1,775,614 716,667 606,207 Source of Funds: Interest Earnings (1.5%)4,762 4,908 5,864 6,097 8,859 9,306 8,211 11,609 11,275 6,623 Transfer from General Fund - - - - - - - - - - Transfer from Water Fund 84,000 86,520 89,116 91,789 94,543 97,379 100,300 103,309 106,409 109,601 Transfer from Sewer Fund 10,927 11,255 11,593 11,941 12,299 12,668 13,048 13,439 13,842 14,258 Annual Property Tax Levy - 30,000 80,000 80,000 105,000 130,000 105,000 275,000 275,000 275,000 Capital Facility Charge - -- - - - - - - - Bond Proceeds - -600,000 - - 600,000 - 1,350,000 - - Other(1)- -- - - - - - Bond Proceeds - Referendum - -- - - - - - - - Total Source of Funds 99,690 132,683 786,572 189,827 220,701 849,353 226,559 1,753,358 406,526 405,482 Change in Fund Balance 9,727 63,705 15,564 184,126 29,806 (73,051) 226,559 (22,257) (310,141) (200,725) Beginning Fund Balance 317,495 327,221 390,926 406,490 590,616 620,422 547,372 773,930 751,674 441,533 Ending Fund Balance 327,221 390,926 406,490 590,616 620,422 547,372 773,930 751,674 441,533 240,807 Implementation Page 814 ImplementationPage 815 ImplementationPage 816 ImplementationPage 817 ImplementationPage 818 ImplementationPage 819 ImplementationPage 820 ImplementationPage 821 CITY OF PRIOR LAKE Adopted 8/6/2018 2019 - 2028 WATER OPERATING PLAN 2019-2028 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Totals Use of Funds: Operations & Maintenance 2,028,101$ 2,129,506$ 2,235,981$ 2,347,780$ 2,465,169$ 2,588,428$ 2,717,849$ 2,853,742$ 2,996,429$ 3,146,250$ 25,509,236 Capital Projects 2,126,825 1,329,048 2,473,325$ 650,088$ 805,387$ 2,090,924$ 1,055,477$ 1,059,392$ 1,063,423$ 1,067,576$ 13,721,467 Interfund Transfer 350,220 358,630 372,286$ 381,209$ 395,393$ 404,859$ 414,600$ 424,639$ 434,979$ 445,631$ 3,982,446 Debt Service 729,186 728,500 740,170$ 749,300$ 779,870$ 785,085$ 793,962$ 793,807$ 799,533$ 811,300$ 7,710,712 Total Use of Funds 5,234,332 4,545,684 5,821,762 4,128,377 4,445,819 5,869,296 4,981,889 5,131,580 5,294,364 5,470,757 50,923,861 Source of Funds: Water Usage Charge 4,071,504 4,237,529 4,409,881 4,588,792 4,774,504 4,967,268 5,025,398 5,083,527 5,141,656 5,346,639 47,646,697 Special Utility Billing District 100,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 900,000 Other Revenues 115,000 117,300 119,646 122,039 124,480 126,969 129,509 132,099 134,741 137,436 1,259,218 Bond Proceeds - - - - - - - - - - 0 Trunk Fund Contribution 1,900,000 - - - - - - - - - 1,900,000 Total Source of Funds 6,086,504 4,454,829 4,629,527 4,810,831 4,998,984 5,194,238 5,254,906 5,315,626 5,376,397 5,584,075 51,705,915 Change in Fund Balance 852,171$ (90,855)$ (1,192,236)$ 682,453$ 553,165$ (675,059)$ 273,017$ 184,046$ 82,033$ 113,318$ 782,054$ Beginning Fund Balance 3,727,072$ 4,579,244$ 4,488,388$ 3,296,153$ 3,978,606$ 4,531,771$ 3,856,712$ 4,129,729$ 4,313,775$ 4,395,809$ Ending Fund Balance 4,579,244$ 4,488,388$ 3,296,153$ 3,978,606$ 4,531,771$ 3,856,712$ 4,129,729$ 4,313,775$ 4,395,809$ 4,509,126$ Implementation Page 822 CITY OF PRIOR LAKE Adopted 8/6/2018 2019 - 2028 SANITARY SEWER OPERATING PLAN 2019-2028 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Totals Use of Funds: Operations & Maintenance 1,065,866$ 1,097,842$ 1,130,777$ 1,164,701$ 1,199,642$ 1,235,631$ 1,272,700$ 1,310,881$ 1,350,207$ 1,390,713$ 12,218,959 MCES Fees 1,600,363 1,701,185 1,808,089 1,921,431 2,041,586 2,168,953 2,303,953 2,447,031 2,598,657 2,759,327 21,350,575 Capital Improvement Projects 481,832 727,965 1,437,794 638,032 1,014,173 1,024,480 1,055,861 1,088,536 1,121,443 1,154,586 9,744,701 Interfund Transfer 277,147 283,365 294,763 301,361 313,149 320,148 327,348 334,769 342,412 350,288 3,144,749 Debt Service 183,200 174,450 169,650 169,850 169,850 169,650 164,250 162,500 165,500 168,000 1,696,900 Total Use of Funds 3,608,408 3,984,807 4,841,073 4,195,373 4,738,399 4,918,862 5,124,111 5,343,717 5,578,219 5,822,914 48,155,884 Source of Funds: Wastewater Collection Revenue 3,805,778 4,165,057 4,368,762 4,582,526 4,806,861 5,042,302 5,289,414 5,467,112 5,653,357 5,932,186 49,113,356 Special Utility Billing District 100,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 100,000 900,000 Other Revenues 15,300 15,606 15,918 16,236 16,561 16,892 17,230 17,575 17,926 18,285 167,531 Bond Proceeds - - - - - - - - - - - Total Source of Funds 3,821,078 4,280,663 4,484,680 4,698,763 4,923,422 5,159,195 5,406,645 5,584,686 5,771,283 6,050,471 50,180,886 Change in Fund Balance 212,671$ 295,856$ (356,393)$ 503,389$ 185,023$ 240,333$ 282,533$ 240,969$ 193,065$ 227,557$ 2,025,003$ Beginning Fund Balance 1,688,999$ 1,901,669$ 2,197,526$ 1,841,132$ 2,344,522$ 2,529,544$ 2,769,877$ 3,052,410$ 3,293,379$ 3,486,444$ Ending Fund Balance 1,901,669$ 2,197,526$ 1,841,132$ 2,344,522$ 2,529,544$ 2,769,877$ 3,052,410$ 3,293,379$ 3,486,444$ 3,714,001$ Implementation Page 823 CITY OF PRIOR LAKE Adopted 8/6/2018 2019-2028 2019 2020 2021 2022 2023 2024 2025 2026 2027 2028 Totals Use of Funds: Operations & Maintenance 631,581$ 511,707$ 524,207$ 537,072$ 560,313$ 563,942$ 577,972$ 592,415$ 607,281$ 622,586$ 5,729,078$ Capital Projects 385,000 499,835 740,250 319,760 855,720 431,152 706,152 706,152 706,152 706,152 6,056,325 Total Use of Funds 1,016,581 1,011,543 1,264,457 856,832 1,416,033 995,094 1,284,124 1,298,567 1,313,433 1,328,738 11,785,403 Source of Funds: Interest Earnings (1.5%)11,688$ 6,243$ 5,915$ 6,324$ 4,356$ 8,322$ 6,160$ 9,541$ 9,519$ 9,759$ 77,827$ Charges for Services 978,675 1,038,056 1,101,040 1,167,846 1,238,705 1,257,285 1,276,145 1,308,240 1,341,142 1,374,871 12,082,004 Grants - - - - - - - - - - - Total Source of Funds 990,363 1,044,299 1,106,955 1,174,170 1,243,060 1,265,607 1,282,305 1,317,782 1,350,663 1,384,633 12,159,837$ Change in Fund Balance (26,218)$ 32,756$ (157,502)$ 317,338$ (172,973)$ 270,514$ (1,820)$ 19,215$ 37,229$ 55,896$ 374,434$ Beginning Fund Balance 499,406$ 473,188$ 505,943$ 348,441$ 665,779$ 492,806$ 763,319$ 761,499$ 780,713$ 817,941$ Ending Fund Balance 473,188$ 505,943$ 348,441$ 665,779$ 492,806$ 763,319$ 761,499$ 780,713$ 817,941$ 873,833$ 2019 - 2028 WATER QUALITY OPERATING PLAN Implementation Page 824 Page 1 of 4 DEBT ANALYSIS AND TAX IMPACT In reviewing the 2019-2023 Capital Improvement Program, the City Council should consider the level of debt as well as the annual tax impact of the scheduled projects. As of 12/31/2017, the City of Prior Lake had $39,034,452 in debt. The following chart reflects the type of debt that comprised the $39M: Debt Type Amount Purpose G.O. Special Assessment Bonds 16,365,000 Street Improvement Projects G.O. Tax Increment 185,000 Tax Increment Project G.O. Bonds (MV) 3,110,000 Referendum Project (Fire Station #2) G.O. Bonds 2,180,000 Street Reconstruction Projects G.O. Bonds 370,000 Public Works Building Project G.O. Bonds 355,000 Equipment G.O. Revenue Bonds 7,000,000 Maintenance Facility & Water Treatment Facility G.O. Capital Improvement Bonds 7,395,000 City Hall & Police Station Energy Lease Loan Payable (GESP) 2,074,452 Guaranteed Energy Savings Program projects Total $ 39,034,452 The 2019-2023 CIP includes projects that are funded by bond proceeds. Bonds are issued for the project costs that the City is funding through tax levies as well as the costs that are specially assessed to property owners. The CIP anticipates $14,403,000 in bonding for projects in the Transportation Plan for 2019- 2023, and the following major facility repairs, equipment replacement and water/sewer plan capital projects by year: Major Facility Repairs Equipment Replacements Water & Sewer Plan 2019 - 325,000 - 2020 - - - 2021 600,000 725,000 - 2022 - - - 2023 - - - Implementation Page 825 Page 2 of 4 Major projects scheduled for 2019 which involve a property tax levy (payable 2020) are listed below: Project Description Project Levy CR21/TH13/Main Ave/Arcadia $1,000,000 Fish Point Road (Fawn Meadows to CR 21) 572,000 Total $1,572,000 There is a Fire tanker truck equipment replacement scheduled for 2019 which would be funded with bonds and the debt service paid with debt service tax levy: Project Description Project Levy Equipment Replacement $ 325,000 Total $ 325,000 The following tables reflect all bonding requirements referenced in the CIP, Transportation Plan, Facilities Management Plan, Equipment Replacement Plan and Street Overlay Plan. It does NOT include the bonding that may be presented to residents by referendum for community park improvements (identified in the Park Plan). It reflects the cumulative effect of new debt issued as indicated in the CIP (blue line) and the retirement of existing debt (red line). The top green line is the resulting debt balance at the end of the year. Implementation Page 826 Page 3 of 4 The following chart reflects the cumulative effect of new debt issued as indicated in the proposed CIP and the retirement of existing debt on a per capita basis. Based on Population Growth of 150 permits/year x 2.5 persons per household The impact of the 2019-2023 CIP and other anticipated bond payment adjustments on the debt service property tax levy are reflected in the following tables: Each year, certain bond issues mature, and the corresponding debt service payments are eliminated. In the early 2000’s, the level of bonding was lower due to the capital improvement projects being much smaller in scope. Current projects are larger because we have accelerated the street reconstruction plan to address maintenance issues and to follow the County transportation plan. The amount of debt service dropping off each year is less than the amount that we are adding for new CIP projects in 2019 and subsequent years. This results in an increase in the debt service property tax levy. 2019-2023 CIP Projected Debt Levy 2018 2019 2020 2021 2022 2023 Debt Service 3,370,172 3,497,188 3,594,294 3,926,327 4,258,358 4,401,778 The debt service for 2019 is already established. The Council approved the sale of bonds for the 2018 projects at the council meeting on July 16, 2018. The 2018 capital projects are noted below: • Fire Pumper Replacement • Fire Station #1 SCBA and Parking Lot Replacement • 2018 Street Improvement Projects o Franklin Area o Huron Area • 2018 Street Reconstruction Projects o Duluth Ave/TH 13 o County Wide Flashing Yellow Signal Conversion 2019 2020 2021 2022 2023 Debt: Change in Debt Levy 127,016 97,107 332,032 332,031 143,421 2019-2023 CIP Projected Change in Debt Levy Implementation Page 827 Page 4 of 4 The first levy associated with this bond issue will be in 2019. The proposed CIP projects will impact the debt service levy beginning in 2020. The City works cooperatively with other agencies such as Scott County, MNDOT, and SMSC to coordinate the timing and funding of transportation projects. One of the bigger projects in the transportation plan is the TH 13 and CSAH 21 project slated for 2019 (2020 debt service tax levy impact). As noted above, the CIP includes bonding for significant facilities work and replacement of fire truck in 2021 (2021 debt service tax levy impact). While not directly impacting the tax levy, revenue bonds have been issued in 2018 to fund the implementation of the new Automated Meter Reading System (AMRS) and the utility work on the Huron area street project. The debt service for the utility revenue bonds is funded through the water/sewer user fees. The projected debt service levy estimated for years 2019-2023 is based on ten-year level annual debt service payments. City staff annually reviews debt service fund revenue/cash to potentially allow for a portion of the debt service tax levy to be reduced. The table below summarized the projected CIP tax levy by component. Tax Levies:2019 2020 2021 2022 2023 Equipment Revolving Fund 600,000 600,000 600,000 600,000 600,000 Revolving Park Equip Fund 339,292 433,276 527,649 632,832 903,913 Facilities Management Fund - 30,000 80,000 80,000 105,000 PIR Fund 95,000 175,000 175,000 185,000 185,000 Debt Service 3,497,188 3,594,294 3,926,327 4,258,358 4,401,778 Total CIP Tax Levies 4,531,480 4,832,570 5,308,976 5,756,190 6,195,691 2019-2023 CIP Projected CIP Tax Levy Implementation Page 828