TC Res. No. 2010-25 Accept the proposed town of avon long range capital program and simultaneously adopt the year 2011 capital projects fund budgetTOWN OF AVON
RESOLUTION NO. 10 -25
SERIES OF 2010
A RESOLUTION TO ACCEPT THE PROPOSED TOWN OF AVON
LONG RANGE CAPITAL PROGRAM AND SIMULTANEOUSLY ADOPT THE
YEAR 2011 CAPITAL PROJECTS FUND BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES FOR
THE CAPITAL PROJECTS FUND AND ADOPTING A BUDGET FOR THE
CALENDAR YEAR BEGINNING ON THE FIRST DAY OF JANUARY, 2011
AND ENDING ON THE LAST DAY OF DECEMBER, 2011
WHEREAS, the Town Council of the Town of Avon has appointed the Town
Manager to prepare and submit a long -range capital program to said governing body for
its consideration; and
WHEREAS, the Town Council of the Town of Avon has also appointed the
Town Manager to prepare and submit a proposed Capital Projects Fund budget to said
governing body for its consideration; and
WHEREAS, upon due and proper notice, published and posted in accordance
with the law, said proposed budget was open for inspection by the public at a designated
place. A public hearing was held on November 9, 2010, and interested taxpayers were
given the opportunity to file or register any comment to said proposed budget; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the Capital Projects Fund budget remains in
balance, as required by law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
Section 1. That the long -range capital program as submitted to the Town Council
is hereby accepted as an official Town document and planning tool, and that the
information contained therein may be revised or extended each year with regard to capital
improvements.
Town of Avon
Resolution No. 2010 -25
Page 1 of 2
Section 2. That estimated revenues and expenditures for the Capital Projects
Fund are as follows for 2011:
2011
Proposed
Budget
Capital Projects Fund
Beginning Fund Balance $ 3,522,346
Revenues and Other Sources 6,494,300
Expenditures and Other Uses 8,601,278
Ending Fund Balance 3,522,346
Section 3. That the budget, as submitted, and hereinabove summarized, hereby is
approved and adopted as the Capital Projects Fund budget of the Town of Avon for the
year stated above.
Section 4. That the Capital Projects Fund budget hereby approved and adopted
shall be signed by the Mayor and made part of the public record of the Town.
ADOPTED this 23rd day of November, 2010.
ATTEST:
q<—
Town Clerk
Town of Avon
Resolution No. 2010 -25
Page 2 of 2
TO
AVON, CO
:SEAL:
�oioa�a�
•
REVENUES
Taxes
Intergovernmental
Investment Earnings
Other Revenue
Total Operating Revenues
Other Sources:
MUNICIPAL SERVICES
Capital Projects Fund #41
Fu 'd Surnma
Original or
Prev. Amend.
Actual Budget
2009 2010
Final
Revised Proposed
Budget Budget
2010 2011
$ 1,761,980
$ 2,091,798
$ 1,950,000
$ 1,665,800
297,963
1,767,608
1,767,608
3,750,000
69,273
80,104
80,104
75,000
26,635
1,500
1,500
1,500
2,155,851 3,941,010 3,799,212 5,492,300
Bond Proceeds - - 3,310,000 -
Transfer In from URA 270,000 - - -
Transfer In from Community Enhancement - 220,000 60,000 100,000
Transfer In from Water Fund 278,875 239,320 239,320 902,000
Transfer In from Facilities Reserve Fund - 100,000 100,000 -
Section I, Page C -1
Total Other Sources
548,875
559,320
3,709,320
1,002,000
TOTAL REVENUES
2,704,726
4,500,330
7,508,532
6,494,300
EXPENDITURES
Debt Service:
•
Bond Issuance Costs
77,695
Capital Improvements:
Facilities
697,189
700,278
975,278
4,995,485
Land and Land Improvements
61,014
538,985
392,001
1,100,000
Roads and Streets
693,460
481,665
501,665
955,000
Utilities
187,661
4,357,505
4,357,505
-
Recreation
-
-
-
-
Water Fund Projects
278,875
239,320
239,320
902,000
Communications and Technology
39,720
125,000
125,000
55,000
Strategic Planning
301,300
99,370
99,370
25,000
Other
3,277
25,000
25,000
-
Rebates and Capital Contributions
295,659
75,928
75,928
-
Total Capital Improvements
2,558,155
6,643,051
6,868,762
8,032,485
Other Uses
Operating Transfer -Out - General Fund
308,314
317,563
317,563
317,563
Operating Transfer -Out - Debt Service Fund
-
-
232,305
251,230
Total Other Uses
308,314
317,563
549,868
568,793
TOTAL EXPENDITURES
2,866,469
6,960,614
7,418,630
8,601,278
NET SOURCE (USE) OF FUNDS
(161,743)
(2,460,284)
89,902
(2,106,978)
FUND BALANCE, Beginning of Year
5,701,165
5,588,319
5,539,422
5,629,324
•
FUND BALANCE, End of Year
$ 5,539,422
$ 3,128,035
$ 5,629,324
$ 3,522,346
Section I, Page C -1
MUNICIPAL SERVICES
Capital Projects Fund #41
Intergovernmental:
Federal /State Grants:
53199 DOW FIF Grant - Fishing Pier
53199 FTA Grant - Transit Facilities Improvement Project
53299 DOLA Grant - Heat Recovery System
Local GovernmenUOther Agency:
53401 ECO Cost Sharing (Transit Facilities Program)
53401 ERWSD Cost Sharing (Heat Recovery Project)
53402 Eagle County Grants
Traer Creek Metro District:
53401 Nottingham -Puder Ditch Cost Sharing
53000 Total Intergovernmental
Investment Earnings:
57101 Interest Earnings
Other Revenues:
58104 Fireplace Fees
58108 Finance Charges
58211 Developer Reimbursements:
58000 Total Other Revenues
-
Revenue Der ^ail
108,000 -
-
-
- 3,750,000
22,793
1,327,208
1,327,208 -
235,360
-
Original or
Final
332,400
332,400 -
11,700
Prev. Amend.
Revised
Proposed
Account
Actual
Budget
Budget
Budget
Number Description
2009
2010
2010
2011
Taxes:
51401 Real Estate Transfer Tax
$ 1,761,980
$ 2,091,798 $
1,950,000
$ 1,665,800
51000 Total Taxes
1,761,980
2,091,798
1,950,000
1,665,800
Intergovernmental:
Federal /State Grants:
53199 DOW FIF Grant - Fishing Pier
53199 FTA Grant - Transit Facilities Improvement Project
53299 DOLA Grant - Heat Recovery System
Local GovernmenUOther Agency:
53401 ECO Cost Sharing (Transit Facilities Program)
53401 ERWSD Cost Sharing (Heat Recovery Project)
53402 Eagle County Grants
Traer Creek Metro District:
53401 Nottingham -Puder Ditch Cost Sharing
53000 Total Intergovernmental
Investment Earnings:
57101 Interest Earnings
Other Revenues:
58104 Fireplace Fees
58108 Finance Charges
58211 Developer Reimbursements:
58000 Total Other Revenues
-
108,000
108,000 -
-
-
- 3,750,000
22,793
1,327,208
1,327,208 -
235,360
-
- -
-
332,400
332,400 -
11,700
-
-
28,110
-
- -
297,963
1,767,608
1,767,608 3,750,000
69,273 80,104 80,104 75,000
- 1,500 1,500 1,500
511 - - -
26,124 - - -
26,635 1,500 1,500 1,500
50000 TOTAL REVENUES $ 2,155,851 $ 3,941,010 $ 3,799,212 $ 5,492,300
•
Section I, Page C -2
F
MUNICIPAL SERVICES
Capital Projects Fund #41
CIP Projects Inventory
Original or Final
Prev. Amend. Revised Proposed
Account Actual Budget Budget Budget
Number Description 2009 2010 2010 2011
- $
100,000 $
CAPITAL IMPROVEMENT PROJECTS
40,000
461,580
General Government Facilities:
-
11009
Town Hall Control System $
12,624 -
300,000
Public Works Facilites:
-
20,000 -
Public Works / Transportation Fac. Imp. Program:
3,000,000
13006
Preliminary Design
13007
Final Design Phase 1
Bus Fuel/Wash /Site Improvements
40
-
Sitework/Foundation for Bus Storage Facility
_
-
Public Works Improvements
-
Transportation Facilites:
-
14001
Transportation Center Facility
59,761
14003
Bus Stop Improvements
_
14004
Fuel Depot Replacement
-
_
Cultural and Recreational Facilites:
25,278
15002
Recreation Center - Storage / Office
-
15004
Recreation Center CMU Block Deterioration Invest.
-
15005
Rec. Center Vapor Barrier Repair
400,000
15006
Rec. Center CMU Block Deterioration Mitigation
15007
Rec. Center Roof Repair
•
Land and Land Improvements:
Parks:
21009
Forest Service Land Acquisition
21010
Nottingham Park Trail Maintenance and Signage
21011
Nottingham Park Stage
21013
Nottingham Park Fishing Pier
21014
Nottingham Park Capital Improvements
21050
Whitewater Park Repairs
Roads and Streets:
Streetscape:
31010
Lighting Study & Conversion
1 -70 Noise Reduction Design
1 -70 Noise Reduction
Street Improvements:
32008
E. Beaver Creek Blvd Improvements
32012
F/S Wildridge Access & Drainage Improvements
Annual Street Maintenance:
33009
2009 Paving / Road Improvements
33010
2010 Paving / Road Improvements
33011
2011 Paving / Road Improvements
Multi - Modal /Alternative Mobility:
34013
Recreational Trails Master Plan
34014
Metcalf Bicycle Climbing Lane
34015
US Hwy 6 Trail Project
•
34016
US Hwy 6 Trail Project Undergrounding
- $
100,000 $
125,000 $
40,000
461,580
-
-
_
-
12,624 -
300,000
700,000
-
20,000 -
-
3,000,000
-
875,000
-
360,485
40
-
_
-
50,000
-
-
-
60,000
59,761
-
_
26,184
-
-
_
99,723
25,278
25,278
-
-
125,000
125,000
-
400,000
400,000
-
1,000,000
60,623 139,377
139,377
391 199,608
40,000
- 200,000
200,000 -
-
- 100,000
- -
12,624 -
162,847 87,153
87,153
- -
20,000 -
-
- 50,000
48,407 _
- 25,000
478,100
394,512 394,512
4,106 - - -
- - 750,000
- - 30,000
100,000
Section I, Page C -3
IR
MUNICIPAL SERVICES
Capital Projects Fund #41
CIP Projects Inventory
Original or Final
Prev. Amend. Revised Proposed
Account Actual Budget Budget Budget
Number Description 2009 2010 2010 2011
CAPITAL IMPROVEMENT PROJECTS
Utilities
Waste Heat Recovery Project:
41001 System Study
41002 System Design
41003 Construction
41004 Main Street Piping
Recreation
Water Fund Projects
61004 Nottingham -Puder Ditch Restoration
61006 Metcalf Road Drainage - Phase 1
61007 Drainage Master Plan
61009 Nottingham Lake Spillway Replacement
94005 Water Rights Acquisition
Strategic Planning
Development Analysis and Review:
71011 Vail Resorts Annexation
71012 Buck Creek PUD
Planning and Consulting:
79010 2010 General Planning and Consulting
79011 2011 General Planning and Consulting
79106 Comprehensive Transportation Plan
79107 Unified Land Use Code Revision
Communications and Technology
81003 Records Management
81004 VOIP Telephone System
81005 a -gov Projects
Other
93009 2009 Historic Preservation
93010 2010 Historic Preservation
Developer Rebates and Capital Contributions
Capital Contributions:
95001 Westin Riverfront Resort
95001 Westin Riverfront Resort - Interest
Total Capital Improvement Projects
21,420
-
- -
166,241
523,759
523,759
-
3,563,746
3,563,746 -
-
270,000
270,000 -
169,679
-
- _
2,972
75,000
75,000 800,000
-
64,320
64,320 102,000
97,794
-
- -
8,430
100,000
100,000
21,488 - - -
3,054 - - _ •
- 25,000 25,000
- - - 25,000
140,517 - - -
136,241 74,370 74,370
39,720 - - -
- 125,000 125,000 30,000
- - 25,000
3,277 - -
- 25,000 25,000 -
295,659 73,378 73,378
- 2,550 2,550 -
$ 2,508,254 $ 6,643,051 $ 6,791,067 $ 8,032,485
Section I, Page C -4
•
0
TOWN OF AVON
CAPITAL PROJECTS FUND 5 -YEAR PLAN
REVENUES
Real Estate Transfer Tax:
Real Estate Transfer Tax
Interest Earnings
Intergovernmental:
Federal /State:
DOLA Grant - Heat Recovery System
DOW FIF Grant - Fishing Pier
FTA Grant - Trans. Fac. Imp. Project
CDOT Grant - US Hwy 6 to Post Blvd. Project
GOCO Grant - Eagle River Bridge
Local Government:
ECO Cost Sharing (Transit Facilities Imp. Project)
ERWSD Cost Sharing (Heat Recovery Project)
Eagle County Trails Grant - Avon Rd. to Post Blvd.
Eagle County Trails Grant - Eagle River Bridge
Traer Creek Metro District
Nottingham -Puder Ditch Cost Sharing
Other Revenues:
Fireplace Fees
Finance Charges
Developer Reimbursements
Nonclassified
Total Operating Revenues
Other Sources:
Bond Proceeds - 2010 COPs
Transfer in from URA - Heat Recovery Project
Transfer in from Community Enhancement - Fishing Pier
Transfer in from Community Enhancement - Stage
Transfer in from Community Enhancement - Undergrounding
Transfer in from Water Fund
Transfer in from Facilities Reserve Fund
Total Other Sources
Total Revenues and Sources of Funds
•
Current Proposed
Actual Budget Budget Projected
2009 2010 2011 2012 2013 2014 2015
$ 1,761,980 $ 1,950,000 $ 1,665,800 $ 1,915,800 $ 2,128,000 $ 3,673,800 $ 4,070,800
69,273 80,104 75,000 88,059 74,466 51,741 55,777
22,793
1,327,208
-
108,000 -
-
- 3,750,000
3,750,000
20,000
-
335,000
-
40,000
470,000
235,360
-
-
-
332,400
-
11,700
-
300,000
-
100,000
300,000
28,110
- -
- - - -
-
1,500 1,500
1,500 1,500 1,500 1,500
511
- -
- - - -
21,462
4,662
- -
- - - -
2,155,851
3,799,212 5,492,300
7,160,359 2,203,966 3,727,041 4,128,077
-
3,310,000
270,000
-
-
20,000
-
40,000
-
160,000 -
-
-
100,000
- -
278,875
239,320
902,000
250,000 350,000
-
100,000
-
- -
548,875
3,709,320
1,002,000
- 250,000 510,000 -
$ 2,704,726 $
7,508,532
$ 6,494,300 $
7,160,359 $ 2,453,966 $ 4,237,041 $ 4,128,077
Section 116 C -6 is
r
• • •
TOWN OF AVON
CAPITAL PROJECTS FUND 5 -YEAR PLAN
EXPENDITURES
General Government
Debt Service:
Bond Issuance Costs
Capital Improvements:
Facilities
Land and Land Improvements
Roads and Streets
Utilities
Recreation
Water Fund Projects
Communications and Technology
Strategic Planning
Other
Developer Rebates and Capital Contributions
Total Expenditures
Other Uses:
Operating Transfer Out - General Fund
Operating Transfer Out - Debt Service Fund
Total Other Uses
Total Expenditures and Uses of Funds
Net Source (Use) of Funds
Fund Balance, Beginning of Year
Fund Balance, End of Year
308,314
Current
Proposed
327,090
336,903
347,010
357,420
Actual
Budget
Budget
248,481
Projected
248,581
249,831
2009
2010
2011
2012
2013
2014
2015
308,314
549,868
568,793
575,571
587,984
595,591
607,251
$ 49,901
$ -
$ $
$
$
$
-
77,695
-
7,704,057
3,362,984
4,075,591
2,132,251
647,287
975,278
4,995,485
4,293,486
75,000
150,000
50,000
61,015
392,001
1,100,000
-
1,800,000
900,000
250,000
693,460
501,665
955,000
2,735,000
575,000
2,005,000
1,150,000
187,661
4,357,505
-
-
-
-
-
278,875
239,320
902,000
-
250,000
350,000
-
39,720
125,000
55,000
25,000
50,000
50,000
50,000
301,300
99,370
25,000
75,000
25,000
25,000
25,000
3,277
25,000
-
-
-
-
-
295,659
75,928
-
-
-
-
-
2,558,155
6,868,762
8,032,485
7,128,486
2,775,000
3,480,000
1,525,000
308,314
317,563
317,563
327,090
336,903
347,010
357,420
-
232,305
251,230
248,481
251,081
248,581
249,831
308,314
549,868
568,793
575,571
587,984
595,591
607,251
2,866,469
7,418,630
8,601,278
7,704,057
3,362,984
4,075,591
2,132,251
(161,743)
89,902
(2,106,978)
(543,698)
(909,018)
161,450
1,995,826
5,701,165
5,539,422
5,629,324
3,522,346
2,978,648
2,069,630
2,231,080
$ 5,539,422 $
5,629,324
$ 3,522,346 $
2,978,648 $
2,069,630 $
2,231,080 $
4,226,906
Section I, Page C -7
CAPITAL IMPROVEMENT PROJECTS
Facilities:
Transit I PW Facilities Improvement Project:
Preliminary Design
Final Design to GMP
Bus Fuel/Wash /Site Improvements
Sitework/Foundation for Bus Storage Facility
Public Works Improvements
Avon Station
Recreation Center Storage / Office
Rec. Center CMU Block Deterioration Invest.
Rec. Center Vapor Barrier Repair
Rec. Center CMU Block Deterioration Mitigation
Rec. Center Roof Repair
Town Hall Control System
Fuel Depot Replacement
Recreation Center EPDM Replacement
Land and Land Improvements:
Forest Service Land Acquisition
Nottingham Park Fishing Pier
Nottingham Park Trail Maintenance and Signage
Nottingham Park Capital Improvements (Cabin, Backstop, etc.)
Whitewater Park Repairs - 2010
Roads and Streets:
Streetscape:
Lighting Study & Conversion
Street Improvements:
E. Beaver Creek Blvd Improvements
E. Beaver Creek Blvd Overlay
Annual Paving /Road Improvements
Multi - Modal /Altemative Mobility:
West Avon Trails & Access Improvements
Metcalf Bicycle Climbing Lane / Overlay Phase 1
Pedestrian and Bike Trail - US Hwy 6 - Eagle River Bridge
US Hwy 6 Trail Project - Avon Road to Post Blvd
US Hwy 6 Trail Project - Undergrounding
TOWN OF AVON
CAPITAL PROJECTS INVENTORY 5 -YEAR PLAN
(Nondiscretionary Projects)
Estimated
Total 2008 and Current Project Cost Proposed
Project Prior Yr. Actual Budget To -Date Budget Projected
Budget Actuals 2009 2010 2010 2011 2012 2013 2014 2015
$ 871,029
$ 409,449 $
461,580 $
-
$ 871,029
$ - $ $ $ $
1,000,000
-
-
300,000
300,000
700,000
6,058,000
-
-
3,000,000 3,058,000
1,750,000
875,000 875,000
720,971
360,485 360,486
3,207,928
3,190,117
40
3,190,157
- -
660,000
634,130
59,761
693,891
27,000
-
26,184
26,184
125,000
99,722
25,278
125,000
125,000
-
125,000
125,000
400,000
400,000
400,000
125,000
125,000
125,000
-
60,000
-
-
60,000
75,000
-
-
- 75,000
1,150,000
28,796
-
28,796
1,000,000 -
200,000
-
200,000
200,000
-
200,000
60,623
139,377
200,000
-
100,000
-
-
-
100,000
10,680
12,624
12,624
-
1,013,176 520,509 162,847 87,153 770,509
149,901 49,901 48,407 98,308
250,000 - - - -
N/A - 478,100 394,512 N/A
92,295 31,275 - - 31,275
750,000 - -
900,000
965,000
100,000
Section C -8
- - 250,000
400,000 500,000 500,000 500,000
750,000 -
- 900,000
30,000 935,000
100,000 -
•
ro •
CAPITAL IMPROVEMENT PROJECTS
Utilities
Waste Heat Recovery System Project:
Feasibility Study
System Design
Construction
Main Street Piping
Recreation
Water Fund Projects
Nottingham -Puder Ditch Restoration
W. Beaver Creek Blvd. Drainage 1 -70 to Railroad
Metcalf Road Drainage - Phase 1
Nottingham Rd. Drainage Improvements
Benchmark Lake Spillway Replacement
Water Rights Acquisition
Communications and Technology
Records Management
VOIP Telephone System
Strategic Planning
Development Analysis and Review
Vail Resorts Annexation
Buck Creek PUD Amendment
Planning and Consulting:
Comprehensive Transportation Plan
Unified Land Use Code Revision
Other
Historic Preservation
Developer Rebates and Capital Contributions
Capital Contributions:
Westin Riverfront Resort
Westin Riverfront Resort - Interest
Total Capital Improvement Projects
• •
TOWN OF AVON
CAPITAL PROJECTS INVENTORY 5 -YEAR PLAN
(Nondiscretionary Projects)
Estimated
Total 2008 and Current Project Cost Proposed
Project Prior Yr. Actual Budget To-Date Budget Projected
Budget Actuals 2009 2010 2010 2011 2012 2013 2014 2015
90,000
68,659
21,420
-
90,079
690,000
-
166,241
523,759
690,000
3,563,746
36,178 -
-
3,563,746
3,563,746
270,000
200,000
58,030
270,000
270,000
250,621
10,621
169,679
250,000
180,300
385,000
42,022
-
2,563,000
42,022 -
1,053,966
50,145
2,972
75,000
128,117 800,000
250,000
-
-
-
- -
50,000
97,794
-
97,794
N/A
Section I, Page C -9
8,430
100,000
108,430
350,000
250,000
50,000
39,720 -
39,720 -
125,000
-
- 125,000
125,000 30,000
N/A
14,690
21,488 -
36,178 -
N/A
-
3,054
3,054
200,000
58,030
140,517 -
198,547
250,000
39,389
136,241 74,370
250,000
N/A
-
3,277 25,000
N/A
2,563,000
2,209,948
279,674 73,378
2,563,000
251,876
233,341
15,985 2,550
251,876 - - - -
$ 31,129,189
$ 7,591,022
$ 2,503,756 $ 6,641,747
$ 15,835,636 $ 7,805,485 $ 6,528,486 $ 825,000 $ 1,100,000 $ 500,000
Section I, Page C -9
TOWN OF AVON
CAPITAL PROJECTS INVENTORY 5 -YEAR PLAN
(Discretionary Projects)
Estimated
Total
2008 and
Current
Project Cost
Proposed
Project
Prior Yr.
Actual Budget
To-Date
Budget
Projected
Budget
Actuals
2009 2010
2010
2011
2012 2013
2014
2015
CAPITAL IMPROVEMENT PROJECTS
Facilities:
Bus Stop Improvements
100,000
50,000
50,000
Fleet Maintenance Control System
100,000
100,000
-
Land and Land Improvements:
Parks:
Harry A. Nottingham Park Improvements (Master Plan):
Nottingham Park Stage
200,000
392 40,000
40,392
600,000
Nottingham Park - Lake St. to Lake Promenade
200,000
- -
-
-
200,000
Nottingham Park Zone C Improvements - playground & restrooms
1,800,000
1,800,000
-
-
Nottingham Park West Restrooms
250,000
-
-
250,000
Nottingham Park Southwestern Pedestrian Connection
100,000
100,000
-
Roads and Streets:
Streetscape:
1 -70 Noise Reduction
9,711
9,711
-
9,711
50,000
50,000
-
1 -70 Noise Reduction Design
20,000
-
20,000
20,000
-
- -
-
W. BIC Blvd. Streetscape Improvements (Lake St. /Avon Rd.)
825,000
-
-
75,000
750,000
-
E. Beaver Creek Blvd Streetscape - Avon Rd to BC Place
275,000
25,000
250,000
Metcalf Road - Retaining Wall Stabilization
100,000
-
100,000
-
FS Wildridge Access & Drainage Improvements
25,000
25,000
-
Multi - Modal /Alternative Mobility:
Metcalf Bicycle Climbing Lane / Overlay Phase 2
450,000
-
-
-
-
450,000
Recreational Trails Program:
Recreation Trails Master Plan:
60,000
18,161
4,106
22,267
-
-
Nottingham Trail -Buck Creek Trail connector
50,000
-
-
-
50,000
Saddle Ridge Trail Restoration
40,000
40,000
Minor Trail Restoration
40,000
40,000
-
Metcalf Recreational Trail and Trailhead
250,000
-
250,000
Beaver Creek Overlook Trail Improvements
250,000
250,000
-
Buck Creek Trail Improvements
150,000
-
150,000
Water Fund Projects
_
_
_
_
-
Drainage Master Plan
166,320
64,320
64,320
102,000
- -
-
_
Communications and Technology
Toastmaster, Granicus, e-gov Projects
N/A
-
-
25,000
25,000 50,000
50,000
50,000
•
Section W -10
•
P,
TOWN OF AVON
CAPITAL PROJECTS INVENTORY 5 -YEAR PLAN
(Discretionary Projects)
Total 2008 and Current Project Cost Proposed
Project Prior Yr. Actual Budget To -Date Budget Projected
Budget Actuals 2009 2010 2010 2011 2012 2013 2014 2015
CAPITAL IMPROVEMENT PROJECTS
Strategic Planning
General Planning and Consulting
Parking Study, Town Center
Total Capital Improvement Projects
N/A 25,000 N/A 25,000 25,000 25,000 25,000 25,000
50,000 - - - - - 50,000 - - -
$ 5,511,031 $ 27,872 $ 4,498 $ 149,320 $ 156,690 $ 227,000 $ 600,000 $ 1,950,000 $ 2,380,000 $ 1,025,000
Section I, Page C -11
-9-11 P
•
Memo
To: Honorable Mayor and Town Council
Thru: Larry Brooks, Town Manager Initi is
Legal: Eric Heil, Town Attorney
From: Scott Wright, Asst. Town Manager — Finance
Date: November 15, 2010
Re: 2011 Capital Project Fund Budget Adoption and Acceptance of Long -range Capital
Program Ro , 2-3 , 2-c�> `
Summary:
• The Town's final revised Capital Projects Fund budget for 2010 and the proposed 2011
Capital Projects Fund budget are hereby submitted for adoption by the Avon Town Council.
Also submitted for acceptance by the Town Council is the long -range capital program
(otherwise referred to as the 5 -year plan).
Previous Council Action:
Concurrently with the presentation of the Town's operating budgets, the Town Manager
presented his recommended Capital Projects Fund budget at the Council budget retreat held on
October 12'h. A public hearing was held on November 9`".
Recommendation:
Staff recommends that Council adopt the resolutions discussed above as presented, and accept
the long -range capital program as submitted.
Town Manager Comments:
Attachments:
• A —Resolution 10 -23
B — Resolution 10 -25
Page 1
C —Capital Projects Fund Budget
D — Long -range Capital Program (5 -year Plan)
• Page 2
lw�,
•
•
•
TOWN OF AVON
RESOLUTION NO. 10 -23
• SERIES OF 2010
A RESOLUTION TO AMEND THE 2010 TOWN OF AVON CAPITAL
PROJECTS FUND BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES
AND AMENDING THE 2010 CAPITAL PROJECTS FUND BUDGET FOR THE
TOWN OF AVON, COLORADO, FOR THE CALENDAR YEAR BEGINNING
ON THE FIRST DAY OF JANUARY, 2010 AND ENDING ON THE LAST DAY
OF DECEMBER, 2010
WHEREAS, the Town Council of the Town of Avon has adopted the 2010
Capital Projects Fund budget; and
WHEREAS, the Town Council has reviewed the revised estimated revenues and
expenditures for 2010; and
WHEREAS, the Town Council finds it necessary to amend the 2010 Capital
Projects Fund budget to more accurately reflect the revenues and expenditures for 2010;
and
• WHEREAS, upon due and proper notice, published or posted in accordance with
the law, the proposed budget amendment to the 2010 budget was open for inspection by
the public at a designated place, a public hearing was held on November 23, 2010 and
interested taxpayers were given the opportunity to file or register any objections to the
proposed budget amendment; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the budget remains in balance as required by
law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
Section 1. That estimated revenues and expenditures for the Capital Projects
Fund is revised as follows for 2010:
• Town of Avon
Resolution No. 10 -23
Page 1 of 2
Section 2. That the Capital Projects Fund budget, as submitted, amended, and
hereinabove summarized, hereby is approved and adopted as the capital program budget
of the Town of Avon for the year stated above.
Section 3. That the Capital Projects Fund budget hereby approved, amended, and
adopted shall be signed by the Town Manager and made part of the public record of the
Town.
ADOPTED this 23rd day of November, 2010.
TOWN OF AVON, COLORADO
Ronald C. Wolfe, Mayor
ATTEST:
Patty McKenny
Town Clerk
•
Town of Avon •
Resolution No. 10 -23
Page 2 of 2
Original or
Current
Previously
Proposed
Amended
Amended
Capital Proiects Fund
2010 Budizet
2010 Budget •
Beginning Fund Balance
$ 5,588,319
$ 5,539,422
Revenues and Other Sources
4,500,330
7,508,532
Expenditures and Other Uses
6,960,614
7,418,630
Ending Fund Balance
3,128,035
5,629,324
Section 2. That the Capital Projects Fund budget, as submitted, amended, and
hereinabove summarized, hereby is approved and adopted as the capital program budget
of the Town of Avon for the year stated above.
Section 3. That the Capital Projects Fund budget hereby approved, amended, and
adopted shall be signed by the Town Manager and made part of the public record of the
Town.
ADOPTED this 23rd day of November, 2010.
TOWN OF AVON, COLORADO
Ronald C. Wolfe, Mayor
ATTEST:
Patty McKenny
Town Clerk
•
Town of Avon •
Resolution No. 10 -23
Page 2 of 2
•
TOWN OF AVON
RESOLUTION NO. 10 -25
SERIES OF 2010
A RESOLUTION TO ACCEPT THE PROPOSED TOWN OF AVON
LONG RANGE CAPITAL PROGRAM AND SIMULTANEOUSLY ADOPT THE
YEAR 2011 CAPITAL PROJECTS FUND BUDGET
A RESOLUTION SUMMARIZING EXPENDITURES AND REVENUES FOR
THE CAPITAL PROJECTS FUND AND ADOPTING A BUDGET FOR THE
CALENDAR YEAR BEGINNING ON THE FIRST DAY OF JANUARY, 2011
AND ENDING ON THE LAST DAY OF DECEMBER, 2011
WHEREAS, the Town Council of the Town of Avon has appointed the Town
Manager to prepare and submit a long -range capital program to said governing body for
its consideration; and
WHEREAS, the Town Council of the Town of Avon has also appointed the
Town Manager to prepare and submit a proposed Capital Projects Fund budget to said
governing body for its consideration; and
• WHEREAS, upon due and proper notice, published and posted in accordance
with the law, said proposed budget was open for inspection by the public at a designated
place. A public hearing was held on November 9, 2010, and interested taxpayers were
given the opportunity to file or register any comment to said proposed budget; and
WHEREAS, whatever increases may have been made in the expenditures, like
increases were added to the revenues so that the Capital Projects Fund budget remains in
balance, as required by law.
NOW, THEREFORE, BE IT RESOLVED BY THE TOWN COUNCIL OF
THE TOWN OF AVON, COLORADO:
Section 1. That the long -range capital program as submitted to the Town Council
is hereby accepted as an official Town document and planning tool, and that the
information contained therein may be revised or extended each year with regard to capital
improvements.
Section 2. That estimated revenues and expenditures for the Capital Projects
Fund are as follows for 2011:
• Town of Avon
Resolution No. 2010 -25
Page 1 of 2
2011
Proposed
Bud et
Capital Proiects Fund
Beginning Fund Balance $ 3,522,346
Revenues and Other Sources 6,494,300
Expenditures and Other Uses 8,601,278
Ending Fund Balance $ 3,522,346
Section 3. That the budget, as submitted, and hereinabove summarized, hereby is
approved and adopted as the Capital Projects Fund budget of the Town of Avon for the
year stated above.
Section 4. That the Capital Projects Fund budget hereby approved and adopted
shall be signed by the Mayor and made part of the public record of the Town.
ADOPTED this 23rd day of November, 2010.
TOWN OF AVON, COLORADO
Ronald C. Wolfe, Mayor
ATTEST:
Patty McKenny, Town Clerk
•
•
Town of Avon •
Resolution No. 2010 -25
Page 2 of 2