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HomeMy WebLinkAboutMay 10, 200416200 Eagle Creek Avenue S.E. Prior Lake, MN 55372-1714 PARK ADVISORY COMMITTEE MEETING MONDAY, MAY 10, 2004 MAINTENANCE CENTER 6:00 p.m. 1. Call to Order 2. Approval of Meeting Minutes a. Approval of April 12, 2004 Meeting Minutes . . , Old Business a. DNR Boat Parking Meeting - May 12, 2004, 6:30 pm b. Park Naming Committee Recommendation c. Local Laker Link Circulator Route d. New Business a. CIP Budget Years 2005- 2009 b. Jeffers/Wilds Ridge Park c. Heritage Landing d. Comprehensive Park Plan Update e. Future Meetin_¢l Date a. June14, 2004 - Tour of Parks and Trails 6. Adjournment www. cityofpriorlake, com Phone 952.447.4230 / Fax 952.447.4245 PARKS ADVISORY COMMITTEE MEETING MINUTES FOR APRIL 12, 2004 The meeting was called to order at 6:00 pm, on Monday, April 12, 2004, at the Maintenance Facility. Members present were Pat McFadden, Tom Borger, Mike Feriancek, Lori Helgestad, and Ruth Harris. Also in attendance were Assistant City Manager Susan Walsh, Parks and Fleet Supervisor Al Friedges, and Recreation Supervisor Chris Esser. Ar~r~roval of the January 127 2003 Meeting Minutes: Motion by Borger to approve the March 8, 2004 Meeting Minutes. Second by McFadden. Ayes: 5. Nays: 0. FiN Program Update: Parks and Fleet Supervisor Friedges reviewed the progress of the Fishing in your Neighborhood (FIN) program in collaboration with the Minnesota Department of Natural Resources (DNR). Friedges reported that the City Council at their April 5, 2004 meeting approved the expense of a $20,000 donation from Norex to assist with the funding of the FiN program including an aerator, fountain and landscaping. Shore fishing blocks and other materials donated by the DNR have been ordered and the city crews will be installing them when they arrive. Other site preparation includes running the electrical for the fountain and aerator, constructing an ADA accessible bituminous path, and some shoreline landscaping to include plantings. The goal is to have the project completed by Lakefront Days in early August. Friedges also reported that this FiN site is one on a list of three sites being considered for a media event featuring the Governor's wife on August 21 to promote the DNR and fishing programs. Concession Agreement: Recreation Supervisor Esser provided an update regarding the solicitation of community groups to operate concessions at the athletic complexes of The Ponds and Thomas Ryan Memorial Park for the 2004 summer season. A letter was sent to the community groups of Prior Lake Athletics for Youth (PLAY), the Prior Lake Soccer Club, Prior Lake-Savage Hockey Association (PLSHA), and former concession operator St. Michael's Church. Esser reported that a representative from PLAY, PLSHA, and St. Michael's Church expressing interest contacted him by phone or e-mail. At the completion of the process, interested groups were requested to submit a letter of interest. PLAY was the only organization to submit a letter of interest. Esser has been in contact with Kevin Six from the PLAY Board of Directors and will facilitate the collaborative efforts with PLAY. Lakefront E.q.q Hunt and Re.qistration Night Report: Recreation Supervisor Esser reported that the first-ever Lakefront Egg Hunt that took place Saturday, April 3 at Lakefront Park was a huge success for the first year. An estimated 1,500 people were in attendance over the 1¼-hour event. The event featured an egg and candy hunt, divided up into three age groups, along with the donated Grammie Goose Pony Pals rides, an appearance by Ms. Bunny in costume for families to take photos, and the Scott County 4-Hers showcasing their award winning rabbits in the Lakefront Pavilion. Esser commended Recreation Specialist Heather Carlson for her set-up and programming of the event. Plans are to make this a regular event the Saturday of the weekend before Easter. Esser also announced the Summer Registration Night for all summer recreation programs is taking place Wednesday, April 21 from 5:30 - 7:00 p.m. at the Lakefront Park Pavilion. An estimated 500-800 people attend to register for summer activities. The event would not be possible without the help from other city department personnel, seasonal staff, and volunteers that pitch in to help out. Tot Trips: ECFE Collaboration: Recreation Supervisor Esser explained past and present collaboration efforts with School District #719 Community Education's Early Childhood Family Education (ECFE) and the City of Prior Lake and Savage in the area of Tot Trips. The collaborative efforts of the three organizations have provided trips and activities taking place during the school year (September- May) for children ages 3-5 accompanied by their parents. Esser reported that ECFE will be withdrawing from the collaboration beginning September 2004 due to budget cuts. The good news is that School District #719 will still provide the bussing for these trips at a considerable cost savings and will continue to assist with the advertising and promotion of the trips to be offered by the City of Prior Lake and Savage only. Esser also mentioned that there would be no budget impact for Prior Lake or Savage to continue offering these trips as long as lSD #719 bussing was still available. Laker Lines Circular Route: Assistant City Manager Walsh announced plans for a circular bus route taking place in collaboration with Scott County Transit this summer. The route will start at Lakefront Park and make stops at key facilities around the community including the Laker Lines lot on Franklin Trail, select schools, Sand Point Beach, Wal-Mart off of CR 18, and the CR 21, TH 13 intersection to name a few. The route is aimed at providing transportation primarily for youth throughout the city during the summer season. PAC Parks and Trail Tour: Assistant City Manager Walsh requested suggestions for a park and trail tour to take place during a PAC meeting. The committee agreed that the tour should take place during the next PAC meeting date and time on May 10, 2004. Park Naming Sub-Committee: Assistant City Manager Walsh requested a volunteer from the PAC to serve on the Park Naming Sub-Committee. The city recently received a request for the naming of a new public area. Pat McFadden was recommended and accepted the recommendation to serve on the committee with members of the City Council. MOTION by Harris to adjourn. Second by McFadden. Ayes: 5. Nays: 0. Respectfully submitted, Christopher J. Esser Project Description CAPSULE PROJECT SUMMARY 5/4/04 2005 CIP PROJECTS Fire Department (Buildings & Plant) Satellite Fire Station/110' Ladder Platform Fire Truck Project Amount Transit 2. Park & Ride Lot Acquisition 2,000,000.00 250,000.00 Park Department (Develonment) 3. Park Entrance Signs 4. Sand Point Beach Curb 5. Pleasure Rink Lights 6. Tree Planting Program 7. Softball Backstops 8. Park Appurtenant Equipment 9. Basketball Courts - Sand Point, Wilds North, Hawk Ridge 10. Ponds Concession Stand Addition/Bathroom Upgrade 11. Gazebo - Woods at the Wilds, Meadow View 12. Picnic Shelters (4) - Cardinal/Northwood/Ponds/Hawk Rdg 13. Playground Equipment - Sand Point Beach, Hawk Ridg (Trails.) 14. Hawk Ridge & Jeffers Pond 5,000.00 5,000.00 10,000.00 10,000.00 10,000.00 15,000.00 20,000.00 35,000.00 40,000.00 80,000.00 115,000.00 95,000.00 Public Works (Buildino_s & Plant_) 15. Lift Station Telemetry 16. Lift Station Renovation 17. Lift Station - Stemmer Development 18. Lift Station - Meadow View Development 19. Municipal Well (Irnnrovements} 20. Centennial Street Reconstruction 21. Sanitary Sewer Replacement (Franklin Trail) 22. Street Overlay (Northwood area) 23. Trunk Watermain (CSAH 42 from CSAH 83 to W. Limit) 24. Fountain Hills Drive to McKenna thru Jeffers Develop. 25. Trunk Watermain (CSAH 18) 26. Prior Lake Outlet Channel Repairs 27. Trunk Sanitary Sewer Replacement (Duluth area N. of TH 28. CSAH 82 Reconstruction 25,000.00 345,000.00 200,000.00 200,000.00 500,000.00 75,000.00 95,000.00 100,000.00 125,000.00 200,000.00 200,000.00 300,000.00 400,000.00 3,625,000.00 29. Fish Point Rd/Fairlawn West Reconstruction 3,535,000.00 Water Resources (Improvements) 30. Undesirable Fish Containment Program 31. Pondweed Removal Program 32. Pleasant Street Drainage Improvements 33. Lake Bank Stabilization 34. Storm Water Pond Dredging 35. Storm Drainage Improvements Financing Source Summary $ Project Tax Levy o.b. Operating Budget g.r. Grant Contribution u.f, Sewer & Water Utility Fund s.w. Storm Water Utility Fund c.p. Capital Park Fund t.r. Trunk Reserve Fund c.s. Collector Street Fund m.s. Municipal State Aid s.a. Special Assessments J.g. Intergovernmental b.b.G.O. Building Bonds Totals ... Totals ... 5,000.00 5,000.00 20,000.00 20,000.00 20,000.00 80.000.00 12,765,000.00 Project Amount 1,300,000.00 100,000.00 500,000.00 2,300,000.00 200,000.00 440,000.00 4,100,000.00 200,000.00 1,000,000.00 875,000.00 250,000.00 1.500.000.00 12,765,000.00 Financing City Cost Tax Impact Dollar Percenta_ae 1,500,000.00 b.b. 500,000.00 g.r. 250,000.00 I.g. 5,000.00 c.p. 5,000.00 c.p. 10,000.00 c.p. 10,000.00 c.p. 10,000.00 c.p. 15,000.00 c.p. 20,000.00 c.p. 35,000.00 c.p. 40,000.00 c.p. 80,000.00 c.p. 115,000.00 c.p. 95,000.00 c.p. 25,000.00 u.f. 345,000.00 u.f. 200,000.00 t.r. 200,000.00 t.r. 500,000.00 t.r. 75,000.00 s.a. 95,000.00 u.f. 100,000.00 o.b. 125,000.00 t.r. 200,000.00 c.s. 200,000.00 t.r. 300,000.00 t.r. 400,000.00 u.f. 50,000.00 s.w. 1,000,000.00 m.s. 2,575,000.00 t.r. 1,300,000.00 21.40 800,000.00 s.a 1,435,000.00 u.f. 2.92% 5,000.00 s.w. 5,000.00 s.w. 20,000.00 s.w. 20,000.00 s.w. 20,000.00 s.w. 80.000.00 s.w. 12,765,000.00 Taxlmpact Dollar Percentage $21.40 2.92% CAPSULE PROJECT SUMMARY 514/04 2006 CIP PROJECTS Project Description Project Amount General Government city HaIFPolice Station/Community Use Center 13,000,000.00 Park Department (Development) 2. Park Entrance Signs Pleasure Rink Lights 4. Tree Planting Program 5. Park Appurtenant Equipment 6. Basketball Courts - Cardinal Ridge & Jeffers Pond 7. Picnic Shelters (3) - Westbury/Jeffers/Busacker 8. Playground Equipment - Jeffers Pond & Busacker (Trails.) 9. Fremont Avenue & Busacker Development 5,000.00 10,000.00 10,000.00 15,000.00 10,000.00 60,000.00 70,000.00 180,000.00 Financing City Cost Tax Impact Dollar Percentage 3,000,000.00 g.f. 10,000,000.00 b.b. 5,000.00 c.p. 10,000.00 c.p. 10,000.00 c.p. 15,000.00 c.p. 10,000.00 c.p. 60,000.00 c.p. 70,000.00 c.p. 180,000.00 c.p. Public Works (Buildings & Plant} 10. Lift Station Telemetry 11. Lift Station Renovation 12. Municipal Well 13. Water Filtration Plant (Irnprovements} 14. Street Overlay (Brooksville Hills area) 15. Carriage Hills Parkway (east of Knob Hill) 16. Trunk Sanitary Sewer (annexation area) 17. McKenna Road Realignment 18. Collector Street (Stemmer Development) 19. Shady Beach Street Phase I Reconstruction 20. CSAH 12 Reconstruction Water Resources (Irn.orovements.) 21. Undesirable Fish Containment Program 22. Pondweed Removal Program 23. Lake Bank Stabilization 24. Storm Water Pond Dredging 25. Storm Drainage Improvements Totals ... 20,000.00 400,000.00 500,000.00 6,000,000.00 100,000.00 200,000.00 200,000.00 250,000.00 250,000.00 1,900,000.00 3,090,000.00 5,000.00 5,000.00 20,000.00 20,000.00 80.000.00 26,400,000.00 20,000.00 u.f. 400,000.00 u.f. 500,000.00 t.r. 6,000,000.00 w.r. 100,000.00 o.b. 200,000.00 c.s. 200,000.00 t.r. 50,000.00 t.r. 200,000.00 c.s. 250,000.00 c.s. 900,000.00 14.40 600,000.00 s.a 400,000.00 u.f. 90,000.00 g.f. 200,000.00 c.s. 300,000.00 s.a. 1,000,000.00 t.r. 1,500,000.00 m.s. 5,000.00 s.w. 5,000.00 s.w. 20,000.00 s.w. 20,000.00 s.w. 80.000.00 s.w. 26,400,000.00 1.91% Financing Source Summary $ Project Tax Levy o.b. Operating Budget g.f. General Fund u.f. Sewer & Water Utility Fund s.w. Storm Water Utility Fund c.p. Capital Park Fund t.r. Trunk Reserve Fund c.s. Collector Street Fund m.s. Municipal State Aid s.a. Special Assessments w.r. Water Revenue Bonds b.b.G.O. Building Bonds Totals ... Project Amount 900,000.00 100,000.00 3,090,000.00 820,000.00 130,000.00 360,000.00 1,750,000.00 850,000.00 1,500,000.00 900,000.00 6,000,000.00 10.000.000.00 26,400,000.00 Tax Impact Dollar Percentage $14.40 1.91% CAPSULE PROJECT SUMMARY 5~4~04 2007 ClP PROJECTS Project Description Project Amount Park Department (Develo_oment) 1. Park Entrance Signs 2. Softball Backstops 3. Basketball Courts- Stemmer Development 4. Pleasure Rink Lights 5. Tree Planting Program 6. Park Appurtenant Equipment 7. Gazebo - Markely Lake 8. Picnic Shelters (3) - Jeffers/Watzl's/Stemmer 9. Hockey Rink w/Lights 10. Playground Equipment - Watzl's & Stemmer (Trails) 11. Markley Lake & Stemmer Development 5,000.00 5,000.00 5,000.00 10,000.00 10,000.00 15,000.00 20,000.00 60,000.00 65,000.00 55,000.00 60,000.00 Public Works (Buildings & Plant_} 12. Lift Station Telemetry 20,000.00 13. Lift Station Renovation 385,000.00 (Imorovement$) 14. Street Overlay (Willows area) 100,000.00 15. Collector Street (Stemmer N. to CSAH 82) 250,000.00 16. Fish Point Road extension to CSAH 21 250,000.00 17. Industrial Park Sewer & Water Extension 2,200,000.00 18. CSAH 21 N'. Coop Share 790,000.00 19. Shady Beach Street Phase II Reconstruction 1,700,000.00 Water Resources (Im_~rovements) 20. Undesirable Fish Containment Program 5,000.00 21. Pondweed Removal Program 5,000.00 22. Lake Bank Stabilization 20,000.00 23. Storm Water Pond Dredging 20,000.00 24. Woodside Road Pond 60,000.00 25. Storm Drainage Improvements 80.000.00 Totals ... 6,195,000.00 Financing Source Summary Project Amount $ Project Tax Levy 800,000.00 o.b. Operating Budget 100,000.00 g.f. General Fund 90,000.00 u.f. Sewer & Water Utility Fund 805,000.00 s.w. Storm Water Utility Fund 190,000.00 c.p. Capital Park Fund 310,000.00 t.r. Trunk Reserve Fund 650,000.00 c.s. Collector Street Fund 750,000.00 s.a. Special Assessments 2.500.000.00 Totals ... 6,195,000.00 Financing City Cost Tax Impact Dollar Percentage 5,000.00 5,000.00 5,000.00 10,000.00 10,000.00 15,000.00 20,000.00 60,000.00 65,000.00 55,000.00 c.p. C.;). C.). C.;). C.:). C.;). C.:). C. 3. 60,000.00 c.p. 20,000.00 u.f. 385,000.00 u.f. 100,000.00 o.b. 250,000.00 c.s. 50,000.00 t.r. 200,000.00 c.s. 200,000.00 t.r. 2,000,000.00 s.a. 90,000.00 g.f. 300,000.00 c.s. 400,000.00 t.r. 800,000.00 12.60 500,000.00 s.a 400,000.00 u.f. 1.64% 5,000.00 s.w. 5,000.00 s.w. 20,000.00 s.w. 20,000.00 s.w. 60,000.00 s.w. 80.000.00 s.w. 6,195,000.00 Tax Impact Dollar percentage $12.60 1.64% 10 , 2. 3. 4. 5. 6. 8. 9. 10. 11. Project Description CAPSULE PROJECT SUMMARY 5~4~04 2008 ClP PROJECTS Project Amount Park Department (Develo.~)ment) Park Entrance Signs Softball Backstops Basketball Courts Pleasure Rink Lights Tree Planting Program Park Appurtenant Equipment l Picnic Shelters / N~,,,~I~ ~/~~ Sand Point Beach Boat Slips ~-\uv Playground Equipment (Trails.) Annexation Area Public Works (Im.~)rovements.) Traffic/Feasibility Study (TH 13 & 150th Street) 5,00O.00 5,000.00 5,000.00 10,000.00 10,000.00 15,000.00 20,000.00 30,000.00 35,000.00 30,000.00 12. Street Overlay (Sand Point area I) 13. Collector Street (Stemmer N. to CSAH 82) 14. CSAH 42 W. Coop Share 90,000.00 100,000.00 250,000.00 340,000.00 1,000,000.00 2,500,000.00 15. Trunk Sanitary Sewer Extension N. of CSAH 42 16. Credit River/Grainwood Reconstruction Water Resources (Im.~rovements) 17. Undesirable Fish Containment Program 18. Pondweed Removal Program 19. Lake Bank Stabilization 20. Storm Water Pond Dredging 21. Prior Lake Alum Treatment 22. Storm Drainage Improvements $ t.r. C.S. s.a. J.g. Totals ... Financing Source Summary Project Tax Levy Operating Budget General Fund Sewer & Water Utility Fund Storm Water Utility Fund Capital Park Fund Trunk Reserve Fund Collector Street Fund Special Assessments Intergovernmental Totals ... 5,000.00 5,000.00 20,000.00 20,000.00 50,000.00 80.000.00 4,625,000.00 Project Amount 1,000,000.00 100,000.00 90,000.00 800,000.00 180,000.00 165,000.00 1,000,000.00 530,000.00 700,000.00 60.000.00 4,625,000.00 Financing 5,000.00 5,000.00 5,000.00 10,000.00 10,000.00 15,000.00 20,000.00 30,000.00 35,000.00 30,000.00 30,000.00 60,000.00 100,000.00 250,000.00 90,000.00 250,000.00 1,000,000.00 1,000,000.00 700,000.00 800,000.00 5,00O.00 5,000.00 20,000.00 20,000.00 50,000.00 80.000.00 4,625,000.00 Tax Impact Dollar $15.40 City Cost Tax Impact Dollar Percentage c.p. c.p. c.p. c.p. c.p. c.p. c.p. c.p. c.p. c.p. C.S. C,S. t.r. 15.40 s.a u.f. 1.98% S.W. S.W. S.W. S.W, S.W. S.W. Percentage 1.98% 11 Project Description Economic Development Authority Downtown Redevelopment CAPSULE PROJECT SUMMARY 5/4/04 2009 CIP PROJECTS Project Amount 1,400,000.00 Park Department (Develo.~ment) 2. Park Entrance Signs 3. Basketball Courts 4. Tree Planting Program 5. Park Appurtenant Equipment 6. Picnic Shelters- Spring Lake parks 7. Playground Equipment- Spring Lake parks 8. Athletic Field Complex (Trails.) 9. Annexation Area Public Works (Buildings & Plant) 10. Municipal Well (Improvements.) 11. Lord's Street Bridge Rehabilitation 12. Street Overlay (Sand Point II area) 13. Martinson Island Street Reconstruction 5,000.00 5,000.00 15,000.00 20,000.00 40,000.00 50,000.00 3,000,000.00 30,000.00 500,000.00 75,000.00 100,000.00 2,500,000.00 Water Resources (Improvements.) 14. Undesirable Fish Containment Program 15. Pondweed Removal Program 16. Lake Bank Stabilization 17. Storm Water Pond Dredging 18. Storm Drainage Improvements Totals ... Financing Source Summary $ o.b. u.f. S.W. c.p. t.r. C.S. s.a. r.b. Project Tax Levy Operating Budget Sewer & Water Utility Fund Storm Water Utility Fund Capital Park Fund Trunk Reserve Fund Collector Street Fund Special Assessments G.O. Referendum Bonds Totals ... 5,000.00 5,000.00 20,000.00 20,000.00 80.000.00 7,870,000.00 Project Amount 1,200,000.00 100,000.00 700,000.00 130,000.00 165,000.00 500,000.00 800,000.00 1,275,000.00 3.000.000.00 7,870,000.00 Financing 200,000.00 400,000.00 800,000.00 5,000.00 5,000.00 15,000.00 20,000.00 40,000.00 50,000.00 3,000,000.00 30,000.00 500,000.00 75,000.00 100,000.00 1,200,000.00 800,000.00 500,000.00 5,000.00 5,000.00 20,000.00 20,000.00 80.000.00 7,870,000.00 Tax Impact Dollar $18.20 City Cost Tax Impact Dollar Percentage u,f, s.a. C.S. c.p, c.p. c.p. c.p. c.p. c.p. r.f. -~ c.p. t.r. s.a. 18.20 s.a u.f. 2.30% S.W. S.W. S.W. S.W. S.W. Percentage 2.30% 12 CAPSULE PROJECT SUMMARY 5/4/04 2005-09 CIP PROJECT FINANCING SOURCE TOTALS Financing Source Amount $ Project Tax Levy 5,200,000.00 o.b. General Fund Operating Budget 500,000.00 g.f. General Fund Balance 3,270,000.00 u.f. Sewer & Water Utility Fund 5,425,000.00 s.w. Storm Water Utility Fund 830,000.00 c.p. Capital Park Fund 1,440,000.00 t.r. Trunk Reserve Fund 8,000,000.00 c.s. Collector Street Fund 3,130,000.00 m.s. Municipal State Aid Fund 2,500,000.00 s.a. Special Assessments 6,250,000.00 g.r. Grant/Contributions 500,000.00 J.g. Intergovernmental 310,000.00 g.o. G.O. Referendum Bonds 3,000,000.00 w.r. Water Revenue Bonds 6,000,000.00 g.o. G.O. Building Bonds 11.500.000.00 Totals ... 57,855,000.00 13