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HomeMy WebLinkAbout04282022 PTS Commission AgendaIn compliance with the Americans with Disabilities Act, if you need special assistance to participate in this meeting, please contact the office of the City Clerk (951) 694-6444. Notification 48 hours prior to a meeting will enable the City to make reasonable arrangements to ensure accessibility to that meeting [28 CFR 35 .102.35.104 ADA Title II]. AGENDA TEMECULA PUBLIC / TRAFFIC SAFETY COMMISSION REGULAR MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA APRIL 28, 2022 - 6:00 PM CALL TO ORDER: Chairperson Richardson FLAG SALUTE: Commissioner Ackerman ROLL CALL: Ackerman, Carter, Matics, Richardson, Sullivan PRESENTATIONS PUBLIC COMMENT A total of 30 minutes is provided for members of the public to address the Commission on matters not listed on the agenda. Each speaker is limited to 3 minutes. Public comments may be made in person at the meeting by submitting a speaker card to the Commission Secretary or by submitting an email to be read aloud into the record at the meeting. Email comments must be submitted to PublicTrafficSafetyCommission@temeculaca.gov. Speaker cards for in-person comments will be called in the order received by the Commission Secretary and then, if time remains, email comments will be read. Email comments on all matters must be received prior to the time the item is called for public comments. All public participation is governed by the Council Policy regarding Public Participation at Meetings adopted by Resolution No. 2021-54. CONSENT CALENDAR All matters listed under the Consent Calendar are considered to be routine and all will be enacted by one roll call vote. There will be no discussion of these items unless members of the Commission request specific items be removed from the Consent Calendar for separate action. A total of 30 minutes is provided for members of the public to address the Commission on items that appear on the Consent Calendar. Each speaker is limited to 3 minutes. Public comments may be made in person at the meeting by submitting a speaker card to the Commission Secretary or by submitting an email to be read aloud into the record at the meeting. Email comments must be submitted to PublicTrafficSafetyCommission@temeculaca.gov. Speaker cards for in-person comments will be called in the order received by the Commission Secretary and then, if time remains, email comments will be read. Email comments on all matters must be received prior to the time the item is called for public comments. All public participation is governed by the Council Policy regarding Public Participation at Meetings adopted by Resolution No. 2021-54. Page 1 Public / Traffic Safety Commission Agenda April 28, 2022 1.Approve Action Minutes of February 24, 2022 That the Public/Traffic Safety Commission approve the Action Minutes of February 24, 2022. Recommendation: Action MinutesAttachments: BUSINESS Members of the public may address the Commission on Business items that appear on the agenda. Each speaker is limited to 5 minutes. Public comments may be made in person at the meeting by submitting a speaker card to the Commission Secretary or by submitting an email to be read aloud into the record at the meeting. Email comments must be submitted to PublicTrafficSafetyCommission@temeculaca .gov. Speaker cards for in-person comments will be called in the order received by the Commission Secretary and then, if time remains, email comments will be read. Email comments on all matters must be received prior to the time the item is called for public comments. All public participation is governed by the Council Policy regarding Public Participation at Meetings adopted by Resolution No . 2021-54. 2.Proposed Capital Improvement Program - Fiscal Years 2023-2027 That the Public/Traffic Safety Commission review and discuss the proposed Capital Improvement Program (CIP) Circulation and Infrastructure Projects for Fiscal Years 2023-2027. Recommendation: Agenda Report Exhibit A Attachments: 3.Mercedes Street - Pedestrian Crosswalks That the Public/Traffic Safety Commission receive and file the report. Recommendation: Agenda Report Exhibit A Attachments: 4.Preece Lane and Tierra Vista Road - Traffic Calming Analysis That the Public/Traffic Safety Commission: 1.Direct Staff to implement striped traffic calming measures on Preece Lane in conjunction with a scheduled overlay project . 2.Direct Staff to implement Radar Speed Display (VCalm) signs at two (2) locations along Tierra Vista Road. 3.Recommend the City Council adopt a Resolution establishing All-Way Stop Controls at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. Recommendation: Page 2 Public / Traffic Safety Commission Agenda April 28, 2022 Agenda Report Exhibit A Exhibit B Exhibit C Exhibit D Exhibit E Attachments: 5.Old Town Utility Box Public Art Project That the Public/Traffic Safety Commission appoint a Commissioner to serve on the Old Town Utility Box Public Art Project Committee. Recommendation: Agenda ReportAttachments: DIVISION REPORT (Receive and File) 6.California Highway Patrol Report California Highway Patrol Report: Feb - Mar 2022Attachments: 7.Fire Chief's Report Fire Chief's Report: Feb - Mar 2022Attachments: 8.Police Chief's Report Police Chief's Report Feb - Mar 2022Attachments: 9.Traffic Engineer's Report Traffic Engineer's Report Feb 2022Attachments: DIRECTOR REPORT COMMISSIONER REPORTS ADJOURNMENT The next regular meeting of the Public Traffic Safety Commission will be held on Thursday, May 26, 2022, at 6:00 p.m., in the Council Chambers located at 41000 Main Street, Temecula, California. NOTICE TO THE PUBLIC The full agenda packet (including staff reports and any supplemental material available after the original posting of the agenda), distributed to a majority of the Public Traffic Safety Commission regarding any item on the agenda, will be available for public viewing in the main reception area of the Temecula Civic Center during Page 3 Public / Traffic Safety Commission Agenda April 28, 2022 normal business hours at least 72 hours prior to the meeting. The material will also be available on the City's website at TemeculaCa.gov. and available for review at the respective meeting. If you have questions regarding any item on the agenda, please contact the Public Works Department at (951) 694-6444. Page 4 1 ACTION MINUTES TEMECULA PUBLIC / TRAFFIC SAFETY COMMISSION REGULAR MEETING COUNCIL CHAMBERS 41000 MAIN STREET TEMECULA, CALIFORNIA FEBRUARY 24, 2022 - 6:00 PM CALL TO ORDER at 6:00 PM: Chairperson Richardson FLAG SALUTE: Commissioner Sullivan ROLL CALL: Ackerman, Carter (absent), Matics, Richardson, Sullivan PUBLIC COMMENTS: None CONSENT CALENDAR 1. Approve Action Minutes of January 27, 2022 Recommendation: That the Public/Traffic Safety Commission approve the Action Minutes of January 27, 2022. Approved Staff Recommendation (4-0; Carter absent): Motion by Sullivan, Second by Ackerman. The vote reflected unanimous approval with Carter absent. BUSINESS 2. Budget Engagement Session Recommendation: That the Public/Traffic Safety Commission receive and file the report. 3. Election of Chairperson and Vice-Chairperson Recommendation: That the Public/Traffic Safety Commission elect a Chairperson and Vice-Chairperson to preside through the 2022 Calendar Year. Approved Staff Recommendation (4-0; Carter absent): Motion by Sullivan, Second by Matics. The vote reflected unanimous approval with Carter absent. For the 2022 calendar year, Commissioner Richardson was selected as Chairperson and Commissioner Carter was selected as Vice-Chairperson. 4. Local Road Safety Plan (LRSP) Report Recommendation: That the Public/Traffic Safety Commission recommend approval of the Local Road Safety Plan (LRSP) Report. Approved Staff Recommendation (4-0; Carter absent): Motion by Matics, Second by Ackerman. 2 The vote reflected unanimous approval with Carter absent. DIVISION REPORTS (Receive and File) 5. California Highway Patrol’s Report 6. Fire Chief's Report 7. Police Chief's Report 8. Traffic Engineer’s Report DIRECTOR REPORT COMMISSIONER REPORTS ADJOURNMENT At 7:22 PM, the Public/Traffic Safety Commission meeting was formally adjourned to Thursday, March 24, 2022, at 6:00 PM, in the Council Chambers, 41000 Main Street, Temecula, California. James J. Richardson, Chairperson Patrick A. Thomas, Director of Public Works/City Engineer 1 PUBLIC/TRAFFIC SAFETY COMMISSION AGENDA REPORT TO: Public/Traffic Safety Commission FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: April 28, 2022 SUBJECT: Proposed Capital Improvement Program – Fiscal Years 2023-2027 PREPARED BY: Anissa Sharp, Office Specialist II RECOMMENDATION: That the Public/Traffic Safety Commission review and discuss the proposed Capital Improvement Program (CIP) Circulation and Infrastructure Projects for Fiscal Years 2023-2027. BACKGROUND: Mr. Amer Attar, Engineering Manager, will provide a presentation regarding the proposed CIP Circulation and Infrastructure Projects for Fiscal Years 2023-2027. FISCAL IMPACT: None. ATTACHMENTS: Exhibit A – Capital Improvement Program Budget Sheets Draft for Fiscal Year 2023-2027 CIRCULATION PROJECTS Draft Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 2,767,748 100 2,767,848 Construction 20,051,147 1,520,000 21,571,148 Construction Engineering 1,231,619 1,231,619 Design & Environmental 820,789 820,789 Land Acquisition 15,015,423 15,015,423 Utilities 203 203 Total Expenditures 39,886,928 1,520,102 -----41,407,030 Source of Funds: CFD 03-02 (Roripaugh Ranch)38,401,739 635,201 39,036,940 Reimbursements 932,090 932,090 TUMF 1,438,000 1,438,000 Total Funding 40,771,829 635,201 -----41,407,030 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the complete design and construction of four lanes on Butterfield Stage Road (from Rancho California Road to Murrieta Hot Springs Road), four lanes on Murrieta Hot Springs Road (from Butterfield Stage Road to the City limits), and two lanes on Calle Chapos (from Butterfield Stage Road to Walcott Road), totaling approximately 3.2 miles of road. Benefit: This project improves traffic circulation by providing a crucial north and south arterial road on the eastern side of the City. Core Value: Transportation Mobility and Connectivity Project Status: Construction of the roads has been completed. Department: Public Works - Account No. 210.265.999.723 / PW15-11 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BUTTERFIELD STAGE ROAD EXTENSION Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 189,166 189,166 Construction 6,305,544 6,305,544 Construction Engineering 630,555 630,555 Total Expenditures --7,125,265 ----7,125,265 Source of Funds: County AD 159 4,827,000 4,827,000 Reimbursements 2,298,265 2,298,265 Total Funding --7,125,265 ----7,125,265 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will install storm drain improvements on the east side of Butterfield Stage Road from south of De Portola Road to south of Wolf Store Road. The project includes the installing of storm drain pipes, widening the east side of Butterfield Stage Road north of Temecula Parkway, and relocating sewer facilities. The project is funded by AD 159 and the County of Riverside. The City is leading the construction to expedite the project delivery. Benefit: This project provide storm drain improvements to protect adjacent areas from potential flooding improves traffic circulation at the intersection of Butterfield Stage Road and Temecula Parkway. Core Value: A Safe and Prepared Community Project Status: This is a new project. The County of Riverside is in the final stages of design. Department: Public Works - Account No. 210.265.999.NEW5 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BUTTERFIELD STAGE ROAD STORM DRAIN IMPROVEMENTS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 83,344 81,656 20,000 134,344 1,550,000 1,869,344 Construction 27,000,000 27,000,000 Construction Engineering 3,240,000 3,240,000 Design & Environmental 124,694 379,606 110,000 1,824,618 1,350,000 3,788,918 MSHCP 1,350,000 1,350,000 Total Expenditures 208,038 461,262 130,000 -1,958,962 34,490,000 -37,248,262 Source of Funds: Measure S 500,000 169,300 130,000 799,300 Unspecified 1,958,962 34,490,000 36,448,962 Total Funding 500,000 169,300 130,000 -1,958,962 34,490,000 -37,248,262 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, environmental clearance, and construction of the extension of Cherry Street from Adams Avenue to Diaz Road, including a new low-flow crossing of Murrieta Creek at the northerly City limits. Initially, preliminary engineering and environmental assessments will be performed to evaluate feasibility. If deemed appropriate, the project will proceed to final design, environmental clearance/permits, right of way acquisition, and construction. Benefit: This project improves traffic circulation and access from and to the northerly industrial area west of Murrieta Creek. Core Value: Transportation Mobility and Connectivity Project Status: Preliminary design and environmental assessment will be done through Fall 2022. Department: Public Works - Account No. 210.265.999.524 / PW19-15 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CHERRY STREET EXTENSION & MURRIETA CREEK LOW-FLOW CROSSING Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 35,000 35,000 Construction 96,473 57,527 154,000 Total Expenditures 96,473 92,527 -----189,000 Source of Funds: Assembly Bill 2766 50,000 6,700 56,700 Senate Bill 821 115,278 17,022 132,300 Total Funding 165,278 23,722 -----189,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The Citywide Buffered Bike Lane striping project includes the installation of buffered bike lines and green thermoplastic bike legends along various streets and roads throughout the City. Benefit: This project will support the overall goals and objectives, as part of the City's Multi-Use Trails and Bikeways Master Plan, and expand the City's bicycle trail network. Core Value: Transportation Mobility and Connectivity Project Status: Project is estimated to be complete by Fiscal Year 2020-21. Department: Public Works - Account No. 210.265.999.526 / PW19-21 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITYWIDE BUFFERED BIKE LANE STRIPING Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 82,704 89,331 60,000 139,478 371,513 Construction 1,000,000 7,000,000 2,800,000 10,800,000 Construction Engineering 720,000 255,000 975,000 Design & Environmental 629,494 436,429 223,555 280,000 1,569,478 MSHCP 400,000 140,000 540,000 Total Expenditures 712,198 1,525,760 8,403,555 --3,614,478 -14,255,991 Source of Funds: DIF-Street Improvements 590 590 Measure A 1,000,000 3,575,000 4,575,000 Measure S 162,923 8,522 1,328,555 1,500,000 TUMF (WRCOG)331,096 734,827 3,500,000 4,565,923 Unspecified 3,614,478 3,614,478 Total Funding 494,609 1,743,349 8,403,555 --3,614,478 -14,255,991 Future Operating & Maintenance Costs: Total Operating Costs Project Description: Converts Diaz Road into a Major Arterial (4 Lanes Divided) classification, between Cherry Street and Rancho California Road. Improvements will be added to Diaz Road on its current alignment as shown in the Roadway Plan of the General Plan's Circulation Element. This project includes the design, environmental clearance, right of way acquisition, and construction necessary to complete the 2.2 mile segment, which will be developed and constructed in phases: Phase 1: Diaz Road from Winchester Rd to Rancho California Rd and Phase 2: Diaz Road from Cherry Street to Winchester Rd. Benefit: This project improves traffic circulation by expanding an important north-south arterial on the west side of the City and completes a portion of the designated Western Bypass. Core Value: Transportation Mobility and Connectivity Project Status: Phase 1 is in the design and environmental clearance phase. Department: Public Works - Account No. 210.265.999.521 / PW17-25 Level: III City of Temecula Fiscal Years 2023-27 Capital Improvement Program DIAZ ROAD EXPANSION Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Notes : 1. TUMF Zone funding is pursuant to approval of the Public Works Committee to program PAED and ENG to Diaz Road (designated Western Bypass). After the approval of the WRCOG Executive Committee, an agreement between the City and WRCOG will need to be executed. After the PAED and ENG phases are complete, City will request that any unused funds be reprogrammed to the CON phase. 2. 1. TUMF (WRCOG) Zone funding: $1,065,923 for Design/Environmental and $3,500,000 for Construction. City of Temecula Fiscal Years 2023-27 Capital Improvement Program DIAZ ROAD EXPANSION Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 12,000 12,000 Construction 50,219 93,326 143,545 Design & Environmental - Equipment 196,455 196,455 Total Expenditures 246,674 105,326 -----352,000 Source of Funds: DIF-Police Facilities 251,565 100,435 352,000 Total Funding 251,565 100,435 -----352,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the enhancement and upgrade of emergency vehicle pre-emption equipment at various signalized intersections Citywide. The project includes upgrade of pre-emption optical detectors, wiring, and optical processor cards to improve emergency vehicle response times. Benefit: This project enhances traffic safety and supports the long-term maintenance and rehabilitation of City assets and infrastructure. Core Value: A Safe and Prepared Community Project Status: A priority list of project locations has been developed, and the project is anticipated to be completed in 2022. Department: Public Works - Account No. 210.265.999.522 / PW17-08 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program EMERGENCY VEHICLE PRE-EMPTION UPGRADE PROGRAM - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 1,000 1,000 1,000 3,000 Construction 220,542 84,742 30,000 30,000 365,284 Design & Environmental 1,000 1,000 1,000 3,000 Total Expenditures 220,542 86,742 -32,000 -32,000 -371,284 Source of Funds: DIF-Traffic Signals 81,284 81,284 Measure S 194,000 32,000 32,000 32,000 290,000 Total Funding 275,284 32,000 -32,000 -32,000 -371,284 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project maintains the City’s Neighborhood Traffic Calming Program, School Area Safety, and Arterial Traffic Calming by installing flashing beacons, rectangular rapid flashing beacons (RRFB) and speed advisory signs to advise motorists of school zones, crosswalks and speed limits. This project includes solar powered panels, programmable timers, chargeable batteries, aluminum poles, signs, and all necessary installation equipment. Benefit: This project improves traffic safety on roadways, neighborhoods, and school zones. Core Value: A Safe and Prepared Community Project Status: The installation of flashing beacons and LED speed limit display signs is ongoing. Department: Public Works - Account No. 210.265.999.670 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program FLASHING BEACONS & SPEED ADVISORY SIGNS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 1,196,574 71,563 1,268,137 Construction 15,767,723 19,986 15,787,709 Construction Engineering 3,477,079 115 3,477,194 Design & Environmental 1,955,418 44 1,955,462 Land Acquisition 6,158,200 81,001 6,239,201 Utilities 20,330 20,330 Total Expenditures 28,575,323 172,709 -----28,748,032 Source of Funds: DIF-Street Improvements 444,203 444,203 General Fund 981,697 981,697 Measure A 2,869,351 2,869,351 Project Description: This project includes the design, right-of-way acquisition, utility relocation, and construction activities to portions of the French Valley Parkway and Interstate 15 over-crossing and interchange. The project will add a new southbound off-ramp from Interstate 15 to French Valley Parkway, construct the northern half of French Valley Parkway from the off-ramp to Jefferson Avenue, widen the existing southbound off-ramp from Interstate 15 to Winchester, and construct a new auxiliary lane between French Valley Parkway and the Winchester Road southbound off-ramp. Other features include permanent and temporary retaining walls, erosion control and irrigation, and a new traffic signal and roadway improvements at the intersection of French Valley Parkway and Jefferson Avenue. The project requires oversight by Caltrans and coordination with the City of Murrieta. Benefit: This project improves traffic circulation by providing another southbound off-ramp from Interstate 15 and adds a lane to the Interstate 15 southbound off-ramp to Winchester. Core Value: Transportation Mobility and Connectivity Project Status: Construction completed February 2015. Activities for project closeout include design and construction of landscape and irrigation improvements along Auto Mall Parkway, deannexation of parcels from the North Jefferson Business Park Association, and final survey and right-of-way documents for conveyance of project lands to Caltrans. This project also includes 5-year maintenance and monitoring of the environmental mitigation site for the overall French Valley Parkway Interchange Project. Department: Public Works - Account No. 210.265.999.719 / PW07-04 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 / FRENCH VALLEY PARKWAY IMPROVEMENTS - PHASE I Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Measure S 65,000 65,000 TUMF (CETAP/RCTC)18,450,053 77,437 18,527,490 TUMF (RCTC)5,174,000 5,174,000 TUMF (WRCOG)509,264 177,027 686,291 Total Funding 28,493,568 254,464 -----28,748,032 Future Operating & Maintenance Costs: Total Operating Costs City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 / FRENCH VALLEY PARKWAY IMPROVEMENTS - PHASE I Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 2,791,745 339,054 300,000 300,000 170,000 3,900,799 Construction 88,950,000 88,950,000 Construction Engineering 1,279 10,899,721 10,901,000 Design & Environmental 18,752,330 716,973 19,469,303 Land Acquisition 9,393,251 6,120,000 15,513,251 Utilities 1,993 1,993 Total Expenditures 30,940,599 107,025,748 300,000 300,000 170,000 --138,736,346 Source of Funds: CFD 01-02 (Harveston)1,005,840 1,005,840 DIF-Street Improvements 75,360 75,360 General Fund 4,236,174 4,236,174 INFRA Grant 50,000,000 50,000,000 Measure A 1,627,914 1,627,914 Measure S 454,000 4,807,585 300,000 300,000 170,000 6,031,585 Reimbursements 6,008,000 6,008,000 SAFETEA-LU 1,602,360 1,602,360 STIP-Surface Transportation Improvement Program 47,600,000 47,600,000 TUMF (CETAP/RCTC)472,841 999,668 1,472,509 TUMF (RCTC)2,343,000 2,343,000 TUMF (WRCOG)11,450,112 5,283,492 16,733,604 Total Funding 27,673,241 110,293,105 300,000 300,000 170,000 --138,736,346 Future Operating & Maintenance Costs: Project Description: This project includes the design and construction of the two lane northbound collector/distributer road system beginning north of the Winchester Road Interchange on-ramps and ending just north of the I-15/I-215 junction with connectors to I-15 and I-215. Benefit: This project will address and improve traffic circulation in the City’s northern area by providing the northbound collector/distributer road system. Core Value: Transportation Mobility and Connectivity Project Status: The environmental re-evaluation and design are estimated to be completed in Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.726 / PW16-01 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 / FRENCH VALLEY PARKWAY IMPROVEMENTS - PHASE II Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Total Operating Costs Notes : 1. General Fund Includes Required Contribution match for TUMF (CETAP/RCTC) funds. 2. State Transportation Improvement Program-2014 RCTC Call for projects as approved by the Commission on November 13, 2013 ($10,000,000). 3. TUMF (RCTC)- Regional funding is pursuant to RCTC Agreement No. 06-72-048-00 for a total of $7,517,000 ($5,517,000-ROW; $2,000,000-PS&E). $200,000 City Match, Phase I expended $3,174,000-ROW; $2,000,000 PS&E; $200,000 City Match. Phase II expended $2,343,000 ROW. 4. TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 06-SW-TEM-1079 for a total of $11,575,000 reduced to $11,451,875 ($975,752-PA&ED; $8,801,875-PS&E; $1,674,248-ROW) for Phase I and Phase II. 5. TUMF (WRCOG) - TUMF Zone funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $4,078,000 reduced to $4,043,000 ($108,724 PA&ED;3,934,296 PS&E) for Phase I and Phase II. 6. TUMF (WRCOG) - TUMF Zone Funding is pursuant to WRCOG Agreement No. 05-SW-TEM-1064 for $1,925,000-ROW. No expenditures for Phase I. 7. TUMF (CETAP/RCTC) - Funding is pursuant to the RCTC Agreement No. 17-73-007-00 in the amount of $1,472,509 ($673,562 ROW; $798,947 DESIGN; $106,603 City Match). City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 / FRENCH VALLEY PARKWAY IMPROVEMENTS - PHASE II Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 89,375 10,625 227,000 454,000 874,000 1,655,000 Caltrans Oversight 17,250,000 17,250,000 Construction 102,500,000 102,500,000 Construction Engineering 2,050,000 2,050,000 Design & Environmental 8,500,000 8,500,000 Land Acquisition 2,978,973 270,821 8,890,000 12,139,794 Total Expenditures 3,068,348 281,446 227,000 -8,954,000 131,564,000 -144,094,794 Source of Funds: General Fund 30,000 30,000 Measure S 150,000 227,000 377,000 RDA Bond Proceeds 1,669,794 1,669,794 TUMF (WRCOG)1,500,000 1,500,000 Unspecified 8,954,000 131,564,000 140,518,000 Total Funding 180,000 3,169,794 227,000 -8,954,000 131,564,000 -144,094,794 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. TUMF (WRCOG) - TUMF Zone Funding is eligible for construction of Winchester Interchange pursuant to 2009 Nexus - $9,822,980.00 2. TUMF (WRCOG) - TUMF Zone Funding is eligible for construction of French Valley Interchange pursuant to 2009 Nexus - $43,480,000.00. 3. TUMF (WRCOG) - TUMF Zone Funding for right-of-way (ROW) pursuant to Agreement No. 20-SW-TEM-1197 - $1,500,000 Project Description: This project includes the design and construction of the French Valley Parkway Interchange and the southbound collector/distributor road system. Benefit: This project will address and improve traffic circulation in the City’s northern area by providing a full service interchange with on and off ramps in both directions. Core Value: Transportation Mobility and Connectivity Project Status: Based on funding availability, the design will begin once construction is complete for Phase II of the project. Department: Public Works - Account No. 210.265.999.728 / PW19-03 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 / FRENCH VALLEY PARKWAY IMPROVEMENTS - PHASE III Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 119,521 120,506 155,000 80,000 475,027 Construction 6,074,443 6,074,443 Construction Engineering 1,020,000 1,020,000 Design & Environmental 957,307 344,933 100,000 1,402,240 Total Expenditures 1,076,828 465,438 7,349,443 80,000 ---8,971,710 Source of Funds: General Fund 1,351,725 190,542 79,443 1,621,710 Reimbursement-Pechanga IGA 2,500,000 2,500,000 Reimbursements 100,000 100,000 SHOPP 1,250,000 1,250,000 TUMF (CETAP/RCTC)3,500,000 3,500,000 Total Funding 1,451,725 2,690,542 4,750,000 79,443 ---8,971,710 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. 1. SHOPP - State Highway Operation and Protection Program and Minor Program 2. 2. RCTC Agreement No. 22-73-032-00; City Agreement 2022-035 Project Description: This project includes the design and construction of a single auxiliary lane, northbound Interstate 15 (I-15) connecting the Temecula Parkway on-ramp to the Rancho California Road off-ramp. Benefit: This project provides an operational improvement to relieve congestion on northbound I-15. It represents one of several operational improvements identified by the Move I-15 Regional Task Force to address congestion on I-15. Core Value: Transportation Mobility and Connectivity Project Status: Project is in the design and environmental clearance phase. Department: Public Works - Account No. 210.265.999.609 / PW19-02 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15 CONGESTION RELIEF Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 1,512,186 262,345 20,000 1,794,530 Construction 26,424,634 2,083,558 28,508,192 Construction Engineering 4,031,971 269,307 4,301,278 Design & Environmental 4,116,400 111,527 4,227,927 Land Acquisition 13,032,881 150,847 13,183,728 Utilities 8,612 1,388 10,000 Total Expenditures 49,126,683 2,878,972 20,000 ----52,025,656 Source of Funds: CFD 03-01 (Crowne Hill)502,211 502,211 Reimbursements 737,700 695,560 1,433,260 Reimbursements/Other 1,190,582 1,190,582 SAFETEA-LU 1,439,839 1,439,839 Senate Bill 621 14,446,520 140,000 20,000 14,606,520 STP (RCTC)12,035,211 940,789 12,976,000 TUMF (CETAP/RCTC)5,352,215 47,785 5,400,000 TUMF (RCTC)4,452,000 4,452,000 TUMF (WRCOG)5,567,289 4,457,955 10,025,244 Total Funding 45,723,568 6,282,089 20,000 ----52,025,656 Future Operating & Maintenance Costs: Project Description: This project includes the construction of a ramp system improving access to Interstate 15 from State Route 79 South, to accommodate traffic generated by future development anticipated in the City’s General Plan as well as regional traffic volume forecasted through 2037. Benefit: This project will improve circulation and freeway access at the Interstate 15 and State Route 79 South intersection. Core Value: Transportation Mobility and Connectivity Project Status: Construction was completed in April 2020. City is working with Caltrans on transference of project rights of way to the State. In accordance with the project Landscape Maintenance Agreement, the City is maintaining site landscaping and irrigation for 3 years, June 30, 2020 through June 30, 2023. Department: Public Works - Account No. 210.265.999.662 / PW04-08 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15/STATE ROUTE 79 SOUTH ULTIMATE INTERCHANGE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Total Operating Costs Notes : 1. SAFETEA-LU - Funding is pursuant to Authorization/Agreement Summary (E-76) (63.51% of Federal Participating Costs, up to $1,439,840) 2. STP (RCTC) - Funding is pursuant to Authorization/Agreement Summary (E-76)(63.51% of Federal Participating Costs, up to $12,976,000) 3. TUMF (RCTC/Region) - Funding is pursuant to RCTC Agreement No. 06-72-506 ($4,452,000 Total) 4. TUMF (RCTC/CETAP) - Funding is pursuant to RCTC Agreement No. 11-72-041-00 ($5,400,000 Total;$1,400,000 ROW;$4,000,000 CON). 5. TUMF (WRCOG) - Funding is pursuant to WRCOG Agreement 13-SW-TEM-1163($10,025,244 CON) 6. Pursuant to RCWD UA 23316 - RCWD shall reimburse City for actual costs of Additive Bid No. 01 ($280,560) 7. Pursuant to EMWD UA 23317 - EMWD shall reimburse City for actual costs of Additive Bid No. 02 ($415,000) 8. Revenues collected on Lease Agreement with Front Street - Service Station, LP dated September 11, 2013 (est. $740,000) 9. Notes : 1. SAFETEA-LU - Funding is pursuant to Authorization/Agreement Summary (E-76) (63.51% of Federal Participating Costs, up to $1,439,840) 2. STP (RCTC) - Funding is pursuant to Authorization/Agreement Summary (E-76)(63.51% of Federal Participating Costs, up to $12,976,000) 3. TUMF (RCTC/Region) - Funding is pursuant to RCTC Agreement No. 06-72-506 ($4,452,000 Total) 4. TUMF (RCTC/CETAP) - Funding is pursuant to RCTC Agreement No. 11-72-041-00 ($5,400,000 Total;$1,400,000 ROW;$4,000,000 CON). 5. TUMF (WRCOG) - Funding is pursuant to WRCOG Agreement 13-SW-TEM-1163($10,025,244 CON) 6. Pursuant to RCWD UA 23316 - RCWD shall reimburse City for actual costs of Additive Bid No. 01 ($280,560) 7. Pursuant to EMWD UA 23317 - EMWD shall reimburse City for actual costs of Additive Bid No. 02 ($415,000) 8. Revenues collected on Lease Agreement with Front Street - Service Station, LP dated September 11, 2013 (est. $740,000) City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15/STATE ROUTE 79 SOUTH ULTIMATE INTERCHANGE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 666,838 228,000 894,838 Total Expenditures 666,838 228,000 -----894,838 Source of Funds: DIF-Street Improvements 854,839 39,999 894,838 Total Funding 854,839 39,999 -----894,838 Future Operating & Maintenance Costs: Total Operating Costs Project Description: Pursuant to Conditions of Approval, this project completes the missing portions of the raised landscaped median island on (a) Rancho California Road between Moraga Road to Lyndie Lane ($188,000), and (b) Ynez Road from Date Street to the City boundary ($100,000). Benefit: This project improves traffic circulation by eliminating potential conflicts between left turn movements and through traffic on circulation element streets with a classification of major arterial or higher. Core Value: Transportation Mobility and Connectivity Project Status: This project will reimburse developers for eligible improvements upon project completion. Department: Public Works - Account No. 210.265.999.622 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MEDIANS & PARKWAYS - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 750,000 750,000 Total Expenditures ---750,000 750,000 Source of Funds: RPTTF-Redevelopment Property Tax Trust Fund 750,000 750,000 Total Funding ---750,000 750,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction of roadway improvements on Motor Car Parkway, Ynez Road, Margarita Road, and Solana Way. This project was previously required as part of the Owner Participation Agreement (OPA) with Abbott Corporation, however in 2018 Abbott sold the subject property to Mt. San Jacinto Community College, who assumed interest in the OPA requiring the road improvements. Benefit: This project improves traffic circulation on Motor Car Parkway, Ynez Road, Margarita Road, and Solana Way. Core Value: Transportation Mobility and Connectivity Project Status: This project has not yet started. Department: Public Works - Account No. 210.265.999.620 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program MOTOR CAR PARKWAY IMPROVEMENTS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 186,389 53,611 160,000 310,000 710,000 Construction 16,122,000 16,122,000 Construction Engineering 2,051,000 2,051,000 Design & Environmental 547,070 1,328,989 924,214 2,800,273 Land Acquisition 150,000 3,434,000 3,584,000 MSHCP 739,140 66,960 806,100 Total Expenditures 733,460 2,271,740 4,518,214 18,549,960 ---26,073,374 Source of Funds: DIF-Street Improvements 2,010,960 3,419,615 5,430,575 HBP-Highway Bridge Program 270,830 210,393 4,450,296 14,711,280 19,642,799 Measure S 1,000,000 1,000,000 Total Funding 2,281,790 1,210,393 4,450,296 18,130,895 ---26,073,374 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction of a new bridge crossing over Murrieta Creek between Rancho California Road and Winchester Road. This project also includes environmental studies, mitigation, acquisition of right-of-way, and installation of new traffic signals at Overland Drive intersections with Diaz Road and Enterprise Circle West and Commerce. Benefit: This project improves traffic circulation and access to Overland Drive freeway over-crossing. Core Value: Transportation Mobility and Connectivity Project Status: This project is currently in design and is partially funded by the Federal Highway Bridge Program (HBP). During design phase staff will continue seeking additional programming and allocation of more HBP funds for the project. Department: Public Works - Account No. 210.265.999.648 / PW16-05 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MURRIETA CREEK BRIDGE AT OVERLAND Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Notes : 1. Highway Bridge Program (HBP) Funding is 88.53% of participating items only. 2. DIF Street Improvements funding covers 11.47% of participating items and 100% of non-participating items. 3. HBP funding is authorized for reimbursement by Caltrans in a piecemeal fashion based on project progress, available funding in any given year, and the progress of other projects in the program. 4. When HBP funds are authorized for reimbursement by Caltrans, the reimbursable fiscal year may or may not be identified. 5. While the HBP recognizes the total project cost, it does not program its funds into the future. City of Temecula Fiscal Years 2023-27 Capital Improvement Program MURRIETA CREEK BRIDGE AT OVERLAND Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 2,430 601,823 604,253 Construction 16,292,907 16,292,907 Construction Engineering 2,137,500 2,137,500 Design & Environmental 644 996,856 997,500 Land Acquisition 1,440,000 1,440,000 MSHCP 712,500 712,500 Total Expenditures 3,074 22,181,586 -----22,184,660 Source of Funds: CFD 03-02 (Roripaugh Ranch)7,707,717 7,707,717 CFD 16-01 (Roripaugh Ranch- Phase II) 6,722,850 6,722,850 Developer Contribution 7,754,093 7,754,093 Total Funding -22,184,660 -----22,184,660 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the extension of Nicolas Road from the Roripaugh Ranch Phase II westerly boundary to Calle Girasol/Liefer Road. The improvements include approximately 4,000 LF road improvements and culvert crossing at Santa Gertrudis Creek. The developer of the Sommer's Bend (formerly Roripaugh Ranch) will take the lead in completing the improvements. Also included is reimbursement for improvements at the intersection of Nicolas Road and Winchester Road, completed in 2021. All funding for this project is provided by the Roripaugh Ranch Community Facilities District funds (CFD 03-02 and CFD 16-01). Reimbursement from CFD funds is outlined in the Development Agreement between the City and Roripaugh Ranch/Sommers Bend developer and CFD Acquisition Agreement. Benefit: This project improves traffic circulation on the eastern side of the City. Core Value: Transportation Mobility and Connectivity Project Status: The developer will be taking the lead in constructing this project during Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.604 / PW20-14 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program NICOLAS ROAD EXTENSION & IMPROVEMENTS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 26,900 26,900 Furnishings & Equipment 72,384 225,716 298,100 Total Expenditures 72,384 252,616 -----325,000 Source of Funds: Measure S 100,000 225,000 325,000 Total Funding 100,000 225,000 -----325,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the conversion of existing Internally Illuminated Street Name Signs (IISNS) from fluorescent tubes to a Reflective Non- Illuminated Street Name Sign panel including sign brackets and removal of electrical service wiring. Benefit: This project eliminates energy consumption and costs associated with illuminated Street Name Signs and supports the long-term maintenance and rehabilitation of City assets and infrastructure. Core Value: Transportation Mobility and Connectivity Project Status: Project is estimated to be completed in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.603 / PW20-01 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program OVERHEAD STREET NAME SIGN REPLACEMENT PROGRAM - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 782,495 157 782,652 Construction 1,085,855 238,687 1,324,542 Construction Engineering 47,434 6,297 53,731 Design & Environmental 706,595 31,619 738,214 Land Acquisition 5,160,771 194,540 5,355,311 MSHCP 21,968 21,968 Utilities 36,120 5,359 41,480 Total Expenditures 7,841,238 476,658 -----8,317,897 Source of Funds: DIF-Street Improvements 8,082,475 8,082,475 General Fund 235,422 235,422 Total Funding 8,317,897 ------8,317,897 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction of the extension of Overland Drive from Commerce Center Drive to Murrieta Creek, just west of Enterprise Circle West. This project also includes environmental studies, acquisition of right-of-way, new road improvements and installation of new traffic signals at Overland Drive intersections with Commerce Center Drive. Benefit: This project improves traffic circulation and access to Overland Drive freeway over-crossing. Core Value: Transportation Mobility and Connectivity Project Status: Construction is complete. The City Council accepted the improvements on December 10, 2019. The remaining budget is for anticipated right of way settlements. Department: Public Works - Account No. 210.265.999.602 / PW16-06 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program OVERLAND DRIVE EXTENSION COMMERCE CENTER Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 75,157 50,000 134,000 259,157 Construction 1,340,400 1,340,400 Construction Engineering 67,000 67,000 Design & Environmental 58,267 128,576 20,000 206,843 Land Acquisition 390,000 564,000 954,000 MSHCP 67,020 67,020 Total Expenditures 133,424 568,576 852,020 1,340,400 ---2,894,420 Source of Funds: DIF-Street Improvements 352,000 350,000 852,020 1,554,020 Measure A 1,340,400 1,340,400 Total Funding 352,000 350,000 852,020 1,340,400 ---2,894,420 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, environmental document, and construction for the widening of Overland Drive from Jefferson Avenue to Commerce Center Drive. The project also includes right of way acquisition. Benefit: This project improves traffic circulation by eliminating the bottleneck of Overland Drive and create a continuous improved Overland Drive corridor from Margarita Road to Enterprise Circle West. Also, this project will facilitate meeting the traffic mitigation requirements for the Murriet Creek Bridge at Overland Drive project. Core Value: Transportation Mobility and Connectivity Project Status: Project is currently in design. Department: Public Works - Account No. 210.265.999.783 / PW20-11 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program OVERLAND DRIVE WIDENING Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 3,298,480 2,067,788 668,205 662,724 682,098 670,888 300,000 8,350,183 Construction 26,172,728 7,207,588 2,373,058 2,461,401 2,513,762 2,605,055 3,200,203 46,533,795 Construction Engineering 462,293 1,436,179 383,203 377,723 385,277 388,409 250,000 3,683,084 Design & Environmental 801,699 496,343 1,298,042 Total Expenditures 30,735,200 11,207,898 3,424,466 3,501,848 3,581,137 3,664,352 3,750,203 59,865,104 Source of Funds: Gas Tax 1,200,000 1,200,000 General Fund 5,692,614 5,692,614 Measure A 16,646,857 7,295,564 1,155,380 1,187,380 1,220,380 1,256,380 1,294,071 30,056,012 Measure S 2,000,000 2,000,000 Reimbursements 36,000 227,337 263,337 RMRA 5,054,005 3,790,721 2,269,086 2,314,468 2,360,757 2,407,972 2,456,132 20,653,141 Total Funding 30,629,476 11,313,622 3,424,466 3,501,848 3,581,137 3,664,352 3,750,203 59,865,104 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Road Repair and Accountability Act (RMRA) Project Description: This project includes the environmental processing, design, construction of pavement rehabilitation, and reconstruction of major streets as recommended in the Pavement Management Program update. Benefit: This project improves pavement conditions so that the transportation needs of the public, business industry, and government can be met. Core Value: Transportation Mobility and Connectivity Project Status: A priority list of rehabilitation projects from the Pavement Management Program is used to determine the projects to be undertaken. Construction is completed annually based on the allocated funds. Department: Public Works - Account No. 210.265.999.655 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PAVEMENT REHABILITATION PROGRAM - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 83,926 47,750 131,676 Construction 1,234,865 311,135 1,546,000 Construction Engineering 95,225 27,075 122,300 Total Expenditures 1,414,015 385,960 -----1,799,975 Source of Funds: Measure A 822,059 31,726 853,785 Measure S 300,000 300,000 STP (RCTC)582,382 63,808 646,190 Total Funding 1,704,441 95,534 -----1,799,975 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the environmental processing, design, construction of pavement rehabilitation, and reconstruction of Winchester Road, from Jefferson Avenue to Ynez Road, as recommended in the Pavement Management System. Benefit: This project improves pavement conditions so that the transportation needs of the public, business industry, and government can be met. Core Value: Transportation Mobility and Connectivity Project Status: Construction is complete. Department: Public Works - Account No. 210.265.999.650 / PW10-13 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PAVEMENT REHABILITATION PROGRAM - WINCHESTER RD Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 816,928 879 817,807 Construction 3,104,976 246,464 3,351,439 Construction Engineering 353,937 9,063 363,000 Design & Environmental 385,611 2,143 387,754 MSHCP 79,900 100 80,000 Total Expenditures 4,741,352 258,649 -----5,000,000 Source of Funds: Pechanga Tribe Contributions 5,000,000 5,000,000 Total Funding 5,000,000 ------5,000,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. In accordance with the Intergovernmental Agreement Approved by the City Council on 11/17/2015. Project Description: This project includes the widening of Pechanga Parkway from Via Gilberto to North Casino Drive to provide a Principal Arterial Road with six (6) lanes of traffic. This project will be designed, environmentally cleared and constructed to mitigate the traffic impacts related to the recently completed expansion of the adjacent Pechanga Resort & Casino Project. Benefit: This project improves pavement conditions so that the transportation needs of the public, business industry, and government can be met. Core Value: Transportation Mobility and Connectivity Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.530 / PW15-14 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PECHANGA PARKWAY WIDENING Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 50,000 50,000 Construction 1,000,000 1,000,000 Construction Engineering 50,000 50,000 Design & Environmental 50,000 50,000 Total Expenditures --1,150,000 ----1,150,000 Source of Funds: Reimbursement-Pechanga IGA 1,150,000 1,150,000 Total Funding --1,150,000 ----1,150,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction for the pavement rehabilitation of Rainbow Canyon Road, from Temecula Creek Inn bridge crossing to the City Limits. Benefit: The project improves pavement conditions so that the transportation needs of the public, business industry and government can be met. Core Value: Transportation Mobility and Connectivity Project Status: This project is anticipated to begin when funding becomes available. Department: Public Works - Account No. 210.265.999.786 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RAINBOW CANYON ROAD PAVEMENT REHABILITATION Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 105,000 60,000 290,000 50,000 505,000 Construction 2,712,000 2,712,000 Construction Engineering 85,000 85,000 Design & Environmental 498,000 498,000 Utilities 55,000 55,000 Total Expenditures --603,000 115,000 3,087,000 50,000 -3,855,000 Source of Funds: Developer Contribution 57,200 57,200 DIF-Street Improvements 395,800 115,000 587,000 1,097,800 Measure S 150,000 150,000 Unspecified 2,500,000 50,000 2,550,000 Total Funding --603,000 115,000 3,087,000 50,000 -3,855,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. (1) Pervis Development fair share of the medians Project Description: This project will design and construct missing raised medians on Rancho California Road between Humber Drive and Butterfield Stage Road in accordance with the City's General Plan. In addition, missing street improvements will be constructed on the north side of Rancho California Road between Riesling Court and Promenade Chardonnay Hills. The improvements will include median curbs, curb and gutter, sidewalks, and landscape and irrigation. Benefit: The raised medians will enhance the safety of the street. In addition, the landscaping of the proposed medians will improve the aesthetics of this road for motorists. Core Value: A Safe and Prepared Community Project Status: This is a new project. Department: Public Works - Account No. 210.265.REV.NEW6 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RANCHO CALIFORNIA ROAD MEDIAN IMPROVEMENTS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 119,779 86 119,865 Construction 637,614 46,450 684,064 Construction Engineering 13,116 10,984 24,100 Design & Environmental 6,823 148 6,971 Total Expenditures 777,332 57,668 -----835,000 Source of Funds: Developer Contribution 540,000 540,000 DIF-Street Improvements 270,000 270,000 Public Art Fund 25,000 25,000 Total Funding 835,000 ------835,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the construction of a traffic circle, roundabout, on Ynez Road at the intersection of La Paz Road. The improvements include the construction of a raised traffic circle with desert style hardscape inside the circle. Benefit: This project maintains the natural beauty of the community and improves traffic safety at this intersection. Core Value: Healthy and Livable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.613 / PW18-06 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program ROUNDABOUT IMPROVEMENTS ON YNEZ ROAD Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 40,747 10,000 10,000 10,000 10,000 10,000 90,747 Construction 79,844 605,156 685,000 Furnishings & Equipment 733,315 747,726 140,000 250,000 250,000 250,000 250,000 2,621,041 Total Expenditures 813,159 1,393,629 150,000 260,000 260,000 260,000 260,000 3,396,788 Source of Funds: DIF-Traffic Signals 519,831 21,957 541,788 Measure S 315,000 1,350,000 150,000 260,000 260,000 260,000 260,000 2,855,000 Total Funding 834,831 1,371,957 150,000 260,000 260,000 260,000 260,000 3,396,788 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the enhancement and upgrade of existing traffic signal equipment at various signalized intersections citywide. This includes replacement of traffic signal controllers, battery back-up systems, Light Emitting Diode (LED) traffic signal indications, traffic signal controller cabinets, service cabinets, safety street lighting, signal communication equipment, and fiber optic cable. This project will also include an upgrade of existing traffic signal conductors including conduit, service conductors, and detector cable to comply with current standards. Benefit: This project enhances traffic safety and supports the long-term enhancements and rehabilitation of City assets and infrastructure. Core Value: Healthy and Livable City Project Status: Enhancements will be completed on an ongoing basis when funding becomes available. Department: Public Works - Account No. 210.265.999.680 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TRAFFIC SIGNAL - EQUIPMENT ENHANCEMENT PROGRAM - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 187,878 150,000 70,000 407,878 Construction 835,243 849,292 375,000 375,000 375,000 2,809,535 Design & Environmental 25,615 4,654 20,000 50,269 Total Expenditures 1,048,737 853,946 525,000 -375,000 -465,000 3,267,683 Source of Funds: Developer Contribution 246,764 3,236 250,000 DIF-Traffic Signals 701,892 305,791 375,000 375,000 300,000 2,057,683 Measure S 150,000 495,000 150,000 165,000 960,000 Total Funding 1,098,656 804,027 525,000 -375,000 -465,000 3,267,683 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, construction, installation and modification of traffic signals at various locations throughout the City. The project also includes reimbursement for developer installed traffic signals. Benefit: This project improves traffic safety and circulation throughout the City. Core Value: Healthy and Livable City Project Status: A priority list of traffic signals has been developed. The traffic signals scheduled for installation will be designed and constructed in the scheduled fiscal year when funding becomes available. Reimbursements for developer installed traffic signals will be made as Development Impact Fees for Traffic Signals become available. Department: Public Works - Account No. 210.265.999.682 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TRAFFIC SIGNAL - INSTALLATION - CITYWIDE Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 221,477 311,200 532,677 Construction 22,786 992,237 1,015,023 Construction Engineering 1,480 129,948 131,428 Design & Environmental 270,101 9,003 279,104 MSHCP 2,664 2,664 Total Expenditures 515,845 1,445,051 -----1,960,896 Source of Funds: Developer Contribution 175,000 175,000 General Fund 226,725 226,725 Measure S 50,505 1,008,666 1,059,171 Settlement Proceeds 500,000 500,000 Total Funding 777,230 1,183,666 -----1,960,896 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the installation of a traffic signal on Temecula Parkway at Wabash Lane. The project also includes relocating the access of the Park and Ride facility on Temecula Parkway at La Paz Road from Vallejo Avenue to Wabash Lane. Benefit: This project improves traffic safety and circulation throughout the City. Core Value: Healthy and Livable City Project Status: Design is complete. Construction will be completed in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.605 / PW18-11 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TRAFFIC SIGNAL - PARK & RIDE ACCESS IMPROVEMENTS Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 5,000 5,000 Construction 481,900 481,900 Construction Engineering 7,000 7,000 Design & Environmental 71,608 16,393 88,000 Total Expenditures 71,608 510,293 -----581,900 Source of Funds: HSIP-Highway Safety Improvement Program 489,510 489,510 Measure S 92,390 92,390 Total Funding 92,390 489,510 -----581,900 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will install protected/permissive traffic signal heads, on new signal poles and signal mast arms, relocate existing equipment and modify existing striping and raised medians at the following five (5) intersections: Margarita Road at Verdes Lane, Ynez Road at Town Center North and Town Center South, Redhawk Parkway at Paseo Parallon/Overland Trail, and Winchester Road at Enterprise Circle. Benefit: This project improves traffic safety and circulation throughout the City. Core Value: Transportation Mobility and Connectivity Project Status: Project is estimated to be complete by Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.610 / PW19-09 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TRAFFIC SIGNAL - SYSTEM UPGRADE (Protected/Permissive Signal Heads) Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 150,000 150,000 Construction 1,250,000 1,250,000 Construction Engineering 40,000 40,000 Design & Environmental 500,000 500,000 MSHCP 60,000 60,000 Total Expenditures --2,000,000 ----2,000,000 Source of Funds: DIF-Street Improvements 2,000,000 2,000,000 Total Funding --2,000,000 ----2,000,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes widening the easterly side of Ynez Road, from Rancho Vista Road north roughly 1100 feet, to two lanes in each direction, and the completion of missing segments of curb and gutter, sidewalk, and landscaped medians, in coordination with adjacent development. Benefit: This project improves traffic circulation by widening an important arterial road in this part of the City. Core Value: Transportation Mobility and Connectivity Project Status: This project is contingent on adjacent development moving forward. Department: Public Works - Account No. 210.265.999.534 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program YNEZ ROAD IMPROVEMENTS - PHASE I Circulation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 92,814 102,186 150,000 300,000 645,000 Construction 1,450,000 3,605,000 5,055,000 Construction Engineering 65,000 100,000 165,000 Design & Environmental 254,281 357,485 50,000 661,766 MSHCP 165,000 30,000 195,000 Total Expenditures 347,095 624,671 1,665,000 --4,085,000 -6,721,766 Source of Funds: DIF-Street Improvements 619,451 352,315 1,665,000 2,636,766 Unspecified 4,085,000 4,085,000 Total Funding 619,451 352,315 1,665,000 --4,085,000 -6,721,766 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes widening Ynez Road, from Rancho Vista Road to La Paz Street, to two lanes in each direction, and the completion of missing segments of curb & gutter, sidewalk, landscaped medians, street lights and modify the traffic signal at Santiago Road. This project will be separated into two phases, with phase 2A being between Rancho Vista Road and Santiago Road. Phase 2B will be between Santiago Road and La Paz Street. Benefit: This project improves traffic circulation by widening an important arterial road in this part of the City. Core Value: Transportation Mobility and Connectivity Project Status: Phase 2A is in design and is scheduled for construction in 2023. Department: Public Works - Account No. 210.265.999.535 / PW17-17 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program YNEZ ROAD IMPROVEMENTS - PHASE II Circulation Project DRAFT INFRASTRUCTURE PROJECTS Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 76,244 76,244 Construction 3,093 361,263 364,356 Construction Engineering 16,000 16,000 Total Expenditures 79,337 377,263 -----456,600 Source of Funds: CDBG 79,337 233,663 313,000 Measure A 143,600 143,600 Total Funding 222,937 233,663 -----456,600 Future Operating & Maintenance Costs: Total Operating Costs Project Description: Design, construct, modify and/or remove identified barriers within the public right of way along various roadways in the West Side Business Park Area. The project will provide for improvements to ADA access ramps along the perimeter roadways adjacent to commercial and industrial business centers. Benefit: This project furthers the City's Core Values of A Safe and Prepared Community, Accountable and Responsive City Government, as well as Transportation Mobility and Connectivity. Core Value: Transportation Mobility and Connectivity Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.784 / PW20-08 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program ADA COMPLIANCE FOR PAVEMENT REHAB PROGRAM - WEST SIDE BUSINESS PARK AREA Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 66,226 30,451 78,660 78,660 78,660 78,660 78,660 489,977 Construction 95 226,888 245,000 245,000 245,000 245,000 245,000 1,451,983 Total Expenditures 66,321 257,339 323,660 323,660 323,660 323,660 323,660 1,941,960 Source of Funds: CDBG 80,587 243,073 323,660 323,660 323,660 323,660 323,660 1,941,960 Total Funding 80,587 243,073 323,660 323,660 323,660 323,660 323,660 1,941,960 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The American with Disabilities Act (ADA) Transition Plan Implementation will utilize the recently completed Transition Plan and implement its recommendations based on the established priorities. The implementation will include improvements to public facilities, programs, and public rights of way to modify/remove identified barriers over a fiscally constrained framework. Benefit: This project furthers the City’s Core Values of A Safe and Prepared Community, Accountable and Responsive City Government, as well as Transportation Mobility and Connectivity. Core Value: A Safe and Prepared Community Project Status: The American With Disabilities Act (ADA) Transition Plan Upgrade was completed in Fiscal Year 2017-18. The implementation of the Transition Plan recommendation is an ongoing program. Department: Public Works - Account No. 210.265.999.612 / PW18-16 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program AMERICAN WITH DISABILITIES ACT (ADA) TRANSITION PLAN IMPLEMENTATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 155,000 155,000 Construction Engineering 15,000 15,000 Design & Environmental 30,000 30,000 Total Expenditures --200,000 ----200,000 Source of Funds: Measure S 200,000 200,000 Total Funding --200,000 ----200,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will design and install wayfinding signs for the Auto mall. Several wayfinding signs will be installed at key locations. Benefit: Installation of the wayfinding signs will assist patrons and the public to easily find their destinations. Core Value: Economic Prosperity Project Status: This is a new project. Department: Public Works - Account No. 210.265.999.NEW7 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program AUTO MALL WAYFINDING SIGNS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 6,712 39,740 25,000 25,000 96,452 Construction 122,263 115,529 141,955 19,575 1,288,388 151,664 162,554 2,001,927 Design & Environmental 161,944 75,200 50,000 100,000 387,144 Total Expenditures 290,918 230,469 216,955 144,575 1,288,388 151,664 162,554 2,485,523 Source of Funds: Assembly Bill 2766 218,419 210,934 216,955 144,575 143,830 151,664 162,554 1,248,931 Beyond Grant 19,857 19,857 DIF-Open Space & Trails 69,873 2,304 72,177 Unspecified 1,144,558 1,144,558 Total Funding 308,149 213,238 216,955 144,575 1,288,388 151,664 162,554 2,485,523 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The Multi-Use Trails and Bikeways Master Plan was completed in Fiscal Year 2015-16. The Plan includes new trail and bikeway information sheets detailing constraints, solutions, surface types, widths, and estimated construction costs. The City is a Bronze Level Bicycle Friendly Community and this project allows for continued implementation of facilities and programs, which further the City's commitment to proving a safe and convenient network that connects schools, parks, open space, shopping, and employment centers. Benefit: This project provides alternative modes of transportation and increases connectivity and accessibility to Old Town, Wine Country, and the City’s many schools, parks, trails, and open space areas. Core Value: A Sustainable City Project Status: Improvements will be made on an ongoing basis as funding becomes available. Department: Public Works - Account No. 210.265.999.703 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 55,000 50,000 105,000 Construction 200,000 50,000 250,000 Construction Engineering 25,000 25,000 Design & Environmental 20,000 20,000 Total Expenditures -300,000 100,000 ----400,000 Source of Funds: Service Level C - Zone 28 300,000 100,000 400,000 Total Funding -300,000 100,000 ----400,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the installation of solar lights along the Great Oak Trail adjacent to the northeast side of Pechanga Parkway from Deer Hollow Way to Loma Linda Road (approximately 1.70 miles, or 8,976 feet). Benefit: This project improves pedestrian and biking experience and enhances safety along the subject trail. Core Value: A Sustainable City Project Status: This is a new project. Design and preparation of the construction documents will commence after City Council approval. Department: Public Works - Account No. 210.265.999.768 / PW21-16 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - GREAT OAK TRAIL LIGHTING Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 30,000 30,000 Construction 270,000 270,000 Total Expenditures -300,000 -----300,000 Source of Funds: Measure S 300,000 300,000 Total Funding -300,000 -----300,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The City opened the Ronald Reagan Sports Park Pump Track in November of 2019. The Mini Pump track was also opened in December of 2020 at the same site. The projects have mostly positive post construction feedback and a consistently high use rate. In order to bring this type of usage to other locations in the City, staff is investigating existing park sites or other City owned properties where a mini pump track or bike skills area that is similar in cost and scale to the Mini Pump Track at RRSP. Benefit: This project supports healthy and active lifestyles by promoting recreation programs, parks, trails, and facilities. In addition, this project satisfies the City’s Core Values of A Sustainable City and Transportation Mobility and Connectivity. Core Value: A Sustainable City Project Status: Project is estimated to be complete by Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.761 / PW21-05 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - INFILL MINI PUMP TRACK Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 23,841 3,159 27,000 Construction 60,000 60,000 Construction Engineering 3,865 4,135 8,000 Total Expenditures 87,706 7,294 -----95,000 Source of Funds: DIF-Park & Rec Improvements 95,000 95,000 Total Funding 95,000 ------95,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The City opened the Ronald Reagan Sports Park Pump Track in November of 2019. The project has mostly positive post construction feedback and a consistently high use rate. In order to accomodate more riders it is proposed that a smaller pump track be constructed for smaller and less experienced riders to help offset the high usage at the RRSP Pump track. Benefit: This project supports healthy and active lifestyles by promoting recreation programs, parks, trails, and facilities. In addition, this project satisfies the City’s Core Values of A Sustainable City and Transportation Mobility and Connectivity. Core Value: A Sustainable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.781 / PW20-09 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - MINI PUMP TRACK Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 100,761 155 100,916 Construction 364,795 28,617 393,412 Construction Engineering 8,953 8,953 Design & Environmental 71,330 3,155 74,485 Total Expenditures 545,838 31,928 -----577,766 Source of Funds: DIF-Open Space & Trails 545,839 31,927 577,766 Total Funding 545,839 31,927 -----577,766 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction of a Bicycle Pump Track at Ronald Reagan Sports Park located just north of the existing skate park. The pump track consists of hard packed dirt with an asphalt cap sculpted into a series of rollers, berms, banked turns, and transitions. These features are designed to permit a rider to traverse a looped course with minimal pedaling using gravity to flow through the course. The pump track area also includes an infield material to allow for drainage, hardscape paved entry area with signage, bench seating, shade structure, landscaping, and bike racks. Benefit: This project supports healthy and active lifestyles by promoting recreation programs, parks, trails, and facilities. Core Value: A Sustainable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.718 / PW18-04 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - PUMP TRACK Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 60,000 120,000 180,000 Construction 1,320,000 1,320,000 Design & Environmental 300,000 300,000 600,000 Total Expenditures --360,000 1,740,000 ---2,100,000 Source of Funds: DIF-Open Space & Trails 360,000 690,000 1,050,000 DIF-Park & Rec Improvements 700,000 700,000 Measure S 350,000 350,000 Total Funding --360,000 1,740,000 ---2,100,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: The project includes the design and construction of multi-use trails in the area between Ronald Reagan Sports Park to the north, Pauba Road to the south, Margarita Road to the west, and border of the park to the west. Benefit: This project supports healthy and active lifestyles by promoting recreation programs, parks, trails, and facilities. Core Value: A Sustainable City Project Status: This is a new project. Department: Public Works - Account No. 210.290.REV.NEW4 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - RONALD REAGAN SPORTS PARK TRAILS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 76,571 84,241 50,000 163,800 374,612 Construction 3,312,000 3,312,000 Construction Engineering 200,000 200,000 Design & Environmental 67,696 503,577 40,634 611,907 MSHCP 165,600 165,600 Total Expenditures 144,267 587,818 90,634 -3,841,400 --4,664,119 Source of Funds: Assembly Bill 2766 67,845 67,845 Measure S 100,000 564,240 90,634 754,874 Unspecified 3,841,400 3,841,400 Total Funding 167,845 564,240 90,634 -3,841,400 --4,664,119 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes an agreement with Riverside County Flood Control to install new gates, pave and stripe an existing maintenance road for a Class I Trail. The route would parallel Temecula Creek on the South side, connecting Butterfield Stage Road to Loma Linda Road, terminating at the alignment with Avenida de Missiones. This section of trail is part of the proposed seventeen (17) mile Temecula Loop Trail identified in the Multi-Use Trails and Bikeways Master Plan. Benefit: This section of trail would satisfy the City’s Core Values of a Healthy and Livable City, Transportation Mobility and Connectivity, and A Sustainable City. Core Value: Healthy and Livable City Project Status: Project design commenced in Fiscal Year 2019-20. Construction will occur when funding becomes available. Department: Public Works - Account No. 210.265.999.720 / PW19-11 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program BIKE LANE AND TRAIL PROGRAM - TEMECULA CREEK SOUTH SIDE TRAIL Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 432 9,568 10,000 Construction 312,825 208,265 521,090 Design & Environmental 14,000 14,000 Total Expenditures 313,257 231,833 -----545,090 Source of Funds: DIF-Park & Rec Improvements 145,090 145,090 Measure S 400,000 400,000 Total Funding 545,090 ------545,090 Future Operating & Maintenance Costs: Total Operating Costs Project Description: As exhibits and play experiences in the Children’s Museum become outdated, this project allows for the re-design and replacement of exhibit areas or refurbishment of existing exhibits. This process provides the museum visitors new and updated play experiences. Benefit: This project enhances existing exhibit areas of the Children’s Museum. Core Value: Healthy and Livable City Project Status: A project list has been developed. Projects are completed on an on-going basis as funding becomes available. Department: TCSD - Account No. 210.290.999.125 / PW19-05 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program CHILDREN'S MUSEUM ENHANCEMENT PROJECT Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 158,660 50,000 208,660 Construction 2,484,210 404,769 500,000 750,000 1,000,000 1,000,000 1,000,000 7,138,980 Design & Environmental 46,026 50,000 96,026 Total Expenditures 2,688,897 504,769 500,000 750,000 1,000,000 1,000,000 1,000,000 7,443,666 Source of Funds: DIF-Corporate Facilities 250,000 250,000 Facilities Replacement Fund 743,666 450,000 500,000 750,000 1,000,000 1,000,000 1,000,000 5,443,666 General Fund 1,750,000 1,750,000 Total Funding 2,743,666 450,000 500,000 750,000 1,000,000 1,000,000 1,000,000 7,443,666 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project facilitates rehabilitation projects at City owned and operated facilities such as the Pat Birdsall Sports Park Concessionaire Building, Old Town Parking Garage, Old Town Theater, History Museum, Old Town Police Substation, CRC Amphitheater, Temecula Elementary School pool and locker room, and other various facilities. The rehabilitation projects could include, but are not limited to, parking lot rehabilitation and light replacements, heating ventilation and air conditioner (HVAC) upgrades, roof repairs, carpet and flooring replacement, cabinet re- facing/replacement, concrete repairs, replacement of fencing and repair of swimming pools. Benefit: This project minimizes emergency repair costs, prolongs the service life of facilities, and upgrades aging facility components. Core Value: Healthy and Livable City Project Status: A priority list of rehabilitation projects has been developed. Rehabilitation projects are completed on an ongoing basis as funding becomes available. Department: Public Works - Account No. 210.265.999.701 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITY FACILITIES REHABILITATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 25,000 25,000 Construction 42,129 157,871 200,000 Design & Environmental 25,000 25,000 Total Expenditures 42,129 207,871 -----250,000 Source of Funds: Measure S 100,000 150,000 250,000 Total Funding 100,000 150,000 -----250,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project provides for security enhancements to the City's public buildings to ensure the safety of the public and employee population. Additionally, this project will fund the modification of the Community Recreation Center facility to incorporate a Police Substation. Benefit: To protect property and life. Core Value: A Safe and Prepared Community Project Status: This project will be completed in Fiscal Year 2020-21. Department: - Account No. 210.265.999.779 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITY FACILITY SECURITY Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 120,000 5,000 125,000 Design & Environmental 600,000 600,000 Total Expenditures -720,000 5,000 ----725,000 Source of Funds: Measure S 720,000 5,000 725,000 Total Funding -720,000 5,000 ----725,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will prepare a report that shows all drainage courses within the City and existing drainage improvements that have been constructed to control storm runoff. In addition, the project will include a master hydrology study showing the anticipated storm flows at build-out. Benefit: The Master Drainage Plan will provide the City with sufficient up-to- date and accurate information to systematically plan and manage its drainage systems and provide higher level of flood protection to its residents, communities, properties, and infrastructure investments. Core Value: A Safe and Prepared Community Project Status: Project is estimated to commence in Fiscal Year 2021-22 and finish within 12 to 14 months. Department: Public Works - Account No. 210.265.999.722 / PW19-16 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITYWIDE DRAINAGE MASTER PLAN Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Information Technology 66,736 1,309,982 1,376,718 Total Expenditures 66,736 1,309,982 -----1,376,718 Source of Funds: Measure S 500,000 113,184 613,184 Technology Replacement Fund 763,534 763,534 Total Funding 500,000 876,718 -----1,376,718 Future Operating & Maintenance Costs: Total Operating Costs 66,934 66,934 66,934 66,934 Notes : 1. Operating & Maintenance costs reflect ongoing software maintenance for new Financial System. Project Description: This project includes the implementation costs associated with the upgrade of the City's Financial Accounting System. The City's current system was implemented in 2001, and a successor Enterprise Resource Planning (ERP) solution is available. The ERP system will integrate with existing software platform used Citywide and will provide upgraded core applications for financial management and human resource management. Benefit: This project increases efficiencies, accountability and transparency of the City's financial, accounting and human resource information. Core Value: Accountable and Responsible City Government Project Status: Project commenced in Fiscal Year 2019-20 and is anticipated to take 18-24 months for implementation. Department: Public Works - Account No. 210.265.999.724 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITYWIDE FINANCIAL SYSTEM UPGRADE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 72 491 563 Construction 189,095 189,095 Equipment 7,630,904 182,749 7,813,652 Total Expenditures 7,820,071 183,240 -----8,003,311 Source of Funds: General Fund 2,503,311 2,503,311 Measure S 5,500,000 5,500,000 Total Funding 8,003,311 ------8,003,311 Future Operating & Maintenance Costs: Total Operating Costs (655,636)(675,305)(695,564)(709,475) Notes : 1. Operating & Maintenance savings represents a combination of energy savings realized from the conversion to LED light bulbs, as well as reduced electricity rates charged by SCE after the City acquires the streetlights. Project Description: Phase I of this project acquired the Southern California Edison (SCE) owned streetlights within the City's boundary, including the light poles, mast arms, and light fixtures. Phase II of this project includes retrofitting the purchased lights with a Light Emitting Diode (LED) lighting system. Benefit: This project provides for the opportunity to reduce facilities costs, reduce energy usage, and extend the life of lighting infrastructure. Core Value: A Sustainable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.688 / PW17-18 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITYWIDE STREETLIGHT ACQUISITION & LIGHT EMITTING DIODE (LED) RETROFIT Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 2,593 2,593 Construction 3,028,977 726,515 595,000 4,350,492 Design & Environmental 138,347 353 138,700 Total Expenditures 3,169,917 726,868 595,000 ----4,491,785 Source of Funds: DIF-Corporate Facilities 754,925 (2,838)752,087 DIF-Police Facilities 526,113 595,000 1,121,113 Measure S 2,018,585 600,000 2,618,585 Total Funding 3,299,623 597,162 595,000 ----4,491,785 Future Operating & Maintenance Costs: Total Operating Costs 350,000 350,000 350,000 350,000 Notes : 1. Operating & Maintenance costs reflect the ongoing software and equipment maintenance associated with the infrastructure of the surveillance system. Project Description: The Citywide Camera Surveillance system will be utilized by the City to support public safety, traffic management, and asset protection activities in service to its citizens. The City’s goal for the system is to standardize and integrate existing and new video management systems to provide video technology to improve overall safety and security to the residents of the City. Benefit: To protect property and life. This project provides Police the ability to perform virtual patrols, maximizing staff efficiency and resources. Core Value: Healthy and Livable City Project Status: Project is estimated to be complete by Fiscal Year 2022-23. Department: Information Systems - Account No. 210.265.999.711 / PW17-01 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program CITYWIDE SURVEILLANCE CAMERAS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 66,528 200,235 134,000 50,000 450,763 Construction 1,497,491 4,790,576 1,821,809 8,109,876 Construction Engineering 121,681 312,974 152,495 587,150 Design & Environmental 144,041 495,401 346,001 985,443 Information Technology 575,000 575,000 Total Expenditures 210,569 2,314,808 6,158,551 2,024,304 ---10,708,232 Source of Funds: Developer Contribution 750,000 750,000 DIF-Park & Rec Improvements 200,000 806,048 515,160 400,000 1,921,208 DIF-Quimby 160,000 1,193,952 1,000,000 1,096,640 3,450,592 Measure S 150,000 15,377 3,893,391 527,664 4,586,432 Total Funding 510,000 2,015,377 6,158,551 2,024,304 ---10,708,232 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Developer Contribution reflects the extraordinary community benefit payment from the Heirloom Farms development. Project Description: This project facilitates the rehabilitation, improvement, and reconfiguration of the Community Recreation Center. Projects include: expansion and reconfiguration of teen center; conversion of office space to accommodate a dedicated police substation; renovation of key components of the building including safety features, flooring, roof, and restroom facility access; ADA compliance; renovation and expansion of existing office space and rec rooms including AV upgrades; expanded storage space and upgraded kitchen equipment. The project will be delivered in phases. Phase 1 includes full repair, maintenance, and updating to current standards. Phases 2 and 3 include expansion and improvements throughout the facility. Benefit: This project will create a safe, engaging place for teens to participate in individual and group social, recreational, physical, and educational activities, while also providing necessary renovations to the CRC facility. Core Value: Healthy and Livable City Project Status: Phase 1 design is complete. Phase 1 construction and Phase 2 design is scheduled for FY 2021-22. Department: Public Works - Account No. 210.265.999.730 / PW19-07 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program COMMUNITY RECREATION CENTER (CRC) RENOVATIONS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 61,055 1,248,945 200,000 1,510,000 Design & Environmental 300,000 400,000 700,000 Total Expenditures 61,055 1,248,945 500,000 400,000 ---2,210,000 Source of Funds: General Fund 500,000 500,000 400,000 1,400,000 Grants 810,000 810,000 Total Funding -1,310,000 500,000 400,000 ---2,210,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Grants funding includes: $500,000 in Local Early Action Planning Grant Program (LEAP) funding provided by the California Department of Housing and Community Development (HCD) and $310,000 in Senate Bill 2 Planning Grant. 2. In addition to these grants, $175,000 in funding has been granted through the Sustainable Communities Program, which supplemented Planning Department operating funds to start the General Plan update process. Project Description: California State Law requires that each city adopt a comprehensive General Plan as the fundamental policy document for future development. It provides the framework for management and utilization of the City's physical, economic, and human resources. This document guides civic decisions regarding land use, conservation of existing housing and the provision of new dwelling units, the provisions of supporting infrastructure and public services, the protection of environmental resources, the allocation of fiscal resources, and the protection of residents from natural and human- caused hazards. The City's General Plan was last updated in 2005. The General Plan will serve as the blueprint for the community for approximately the next fifteen years. This project will update all of the elements of the General Plan and will also include the implementation of new legislation to ensure compliance with State Law. Benefit: The General Plan update satisfies all six of the City's core values: Healthy and Livable City; Economic Prosperity; Safe and Prepared Community; Sustainable City; Transportation, Mobility, and Connectivity; and Accountable and Responsive Local Government. Core Value: Healthy and Livable City Project Status: This project is estimated to be completed in Fiscal Year 2023- 24. Department: Community Development - Account No. 210.265.999.777 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program COMPREHENSIVE GENERAL PLAN UPDATE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost City of Temecula Fiscal Years 2023-27 Capital Improvement Program COMPREHENSIVE GENERAL PLAN UPDATE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 20,000 70,000 90,000 Construction 118,445 249,555 28,929 396,929 Total Expenditures 118,445 269,555 98,929 ----486,929 Source of Funds: Assembly Bill 2766 47,000 47,000 MSRC-Mobile Source Air Review Committee Grant 141,000 141,000 TEAM 200,000 98,929 298,929 Total Funding 47,000 341,000 98,929 ----486,929 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design and construction of improvements to accommodate, procure, and install electric vehicle service equipment (EVSE), more commonly known as "charging stations" at various City facilities. Benefit: This project encourages alternative transportation options. Core Value: A Sustainable City Project Status: Installations at the Park & Ride on Temecula Parkway, Sixth Street parking lot, and parking structure on Mercedes Street are complete. Installation of 8 charging stations at the Michael "Mike" Naggar Community Park is scheduled for Summer 2022. Two new sites will be looked at for FY22/23. Department: Public Works - Account No. 210.265.999.683 / PW21-09 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program ELECTRIC VEHICLES CHARGING STATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 25,302 1 25,303 Construction 544,741 12,516 557,257 Construction Engineering 12,567 5,433 18,000 Design & Environmental 85,010 469 85,479 Total Expenditures 667,620 18,418 -----686,039 Source of Funds: DWR Grant 64,109 361,920 426,029 General Fund 55,697 55,697 Measure S 142,010 142,010 Reimbursements 65,024 65,024 Service Level C - Zone 16 21,500 21,500 Service Level C - Zone 18 10,000 10,000 Service Level C - Zone 20 30,803 30,803 Total Funding 271,143 479,920 -----751,063 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Department of Water Resources Proposition 84 Grant Agreement 2. Service Level C - Zone 16 (Tradewinds) 3. Service Level C - Zone 18 (Temeku Hills) 4. Service Level C - Zone 20 (Crowne Hill) Project Description: This project includes the administration, design and construction of six (6) sites within the City for the conversion of water facilities from potable to recycled water. This effort is in cooperation with Rancho California Water District (RCWD) to administer the implementation of improvements in association with the State of California Department of Water Resources Proposition 84 Grant Agreement. Benefit: This project will reduce use of potable water, increase overall water savings and enhance energy efficiencies and potentially reduce greenhouse gas emissions. Core Value: A Sustainable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.689 / PW17-29 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program EXPANDED RECYCLED WATER PLANT CONVERSION PROJECT Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 254 25,000 25,254 Construction 842,446 842,446 Construction Engineering 275,100 275,100 Design & Environmental 119,770 30 119,800 Furnishings & Equipment 338,600 338,600 Information Technology 100,000 100,000 Total Expenditures 120,024 1,481,176 100,000 ----1,701,200 Source of Funds: HSIP-Highway Safety Improvement Program 1,208,200 1,208,200 Measure S 113,000 280,000 100,000 493,000 Total Funding 113,000 1,488,200 100,000 ----1,701,200 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. The negative budget amount in FY21-22 reflects the transfer of Construction costs to Furnishings & Equipment costs. 2. Highway Safety Improvement Program - HSIPL-5459(026) 3. Fiscal Year 2021-22 adds construction oversight costs - City administration, consultant-construction management/inspection services and the purchase of specialized equipment (FF&E). Project Description: This project will install fiber optic communication system upgrades including conduit, cable, closed circuit television (CCTV) cameras, traffic signal controllers and related communication equipment to improve safety and operations with optimized traffic signal timing coordination. Various signalized intersections will be improved along the Winchester Road, Rancho California Road and Temecula Parkway corridors. Benefit: This project will upgrade the City's fiber optic communication and traffic signal system equipment. Core Value: A Safe and Prepared Community Project Status: This project will be completed in Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.550 / PW18-05 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program FIBER OPTIC COMMUNICATION SYSTEM UPGRADE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 100,000 50,000 150,000 Construction 600,000 1,050,000 1,650,000 Design & Environmental 500,000 100,000 600,000 Total Expenditures -1,200,000 --1,200,000 --2,400,000 Source of Funds: Measure S 1,200,000 1,200,000 Unspecified 1,200,000 1,200,000 Total Funding -1,200,000 --1,200,000 --2,400,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will provide for the design and installation of fiber optic cable and conduit at various locations throughout the City. Benefit: This project will upgrade the City's fiber optic communications and traffic signal system equipment throughout the City, including preparation of a Communications System Master Plan to guide the implementation of future communications and technology improvements connecting traffic signals, facilities and other infrastructure throughout the City. This project will enhance the City's core value of a safe and prepared community, as well as transportation mobility and connectivity as it relates to traffic signal communication. Core Value: A Safe and Prepared Community Project Status: This is a new project. Department: Public Works - Account No. 210.265.999.789 / PW22-03 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program FIBER OPTIC COMMUNICATIONS SYSTEMS – CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 72,362 77,638 75,000 225,000 Construction 93,008 35,147 1,179,632 1,307,787 Construction Engineering 20,000 20,000 Design & Environmental 74,536 154,219 23,470 252,225 MSHCP 59,485 59,485 Total Expenditures 239,906 267,004 23,470 1,334,117 ---1,864,497 Source of Funds: Measure S 250,000 256,910 23,470 1,334,117 1,864,497 Total Funding 250,000 256,910 23,470 1,334,117 ---1,864,497 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will consist of adding a structure in the rear of the property to park the squad and Urban Search and Rescue (USR) vehicle, adding a gym to the facility and upgrading the station's generator and exhaust system. Benefit: This improvement to the station will allow for the station crew to stay at the facility to workout on a daily basis. The addition of the garage will offer an outside storage with roof to house the squad USR to reduce the wear and tear on these vehicles. Core Value: A Safe and Prepared Community Project Status: This project will be designed in Fiscal Year 2022-23 and constructed as funds become available. Department: Fire - Account No. 210.265.999.697 / PW19-13 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program FIRE STATION 73 GYM/GARAGE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 74,581 129,169 203,750 Construction 1,216,263 1,216,263 Design & Environmental 98,817 122,198 221,015 Total Expenditures 173,398 1,467,630 -----1,641,028 Source of Funds: Measure S 666,750 974,278 1,641,028 Total Funding 666,750 974,278 -----1,641,028 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, construction and renovation of Fire Station #84, including upgrades to the training room. This fire station serves as the headquarter station for the City of Temecula Fire Department. This renovation will give a fresh look to the station as well as update the facility to be more energy efficient. The renovation will add a gym to the facility, upgrade electrical, upgrade the windows, and re-paint the exterior and interior of the station. The living quarters will also receive some renovations to the bathrooms, kitchen and day room. Benefit: This improvement will create a better learning experience for our community members that attend classes for training. Core Value: A Safe and Prepared Community Project Status: This project will be constructed in Fiscal Year 2022-23. Department: Fire - Account No. 210.265.999.687 / PW19-14 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program FIRE STATION 84 RENOVATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 50,000 50,000 Construction 304,000 304,000 Design & Environmental 100,000 100,000 Total Expenditures ---454,000 454,000 Source of Funds: Measure S 454,000 454,000 Total Funding ---454,000 454,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project facilitates the rehabilitation, improvement, reconfiguration, and rebranding of the Temecula Valley Museum as the Temecula Museum of Arts and Culture. Projects include: reconfiguration and relocation of permanent exhibits; an update of downstairs space to offer a flexible space that can be used for events and rentals, accommodate rotating exhibits, and allow for easier installation; and renovation of key components of the building including safety features, flooring, and restroom facility access. Benefit: This project will increase safety for staff and patrons, by improving installation processes and access to restroom facilities; elevate overall quality and experience for patrons through reconfiguration; and attract more artists and visitors through the increased capacity for exhibition and rebranding. Core Value: Economic Prosperity Project Status: This project will be completed in Fiscal Year 2022-23. Department: TCSD - Account No. 210.290.999.203 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program HISTORY MUSEUM RENOVATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 79,315 123,263 202,578 Construction 2,480,000 2,480,000 Construction Engineering 350,000 350,000 Design & Environmental 311,661 214,244 525,905 Total Expenditures 390,976 337,507 2,830,000 ----3,558,483 Source of Funds: Measure S 441,350 287,133 330,000 1,058,483 Reimbursement-Pechanga IGA 2,500,000 2,500,000 Total Funding 441,350 2,787,133 330,000 ----3,558,483 Future Operating & Maintenance Costs: Total Operating Costs 56,240 58,490 60,830 62,046 Notes : 1. Operating & Maintenance costs reflect the ongoing irrigation and landscape maintenance required by CalTrans. Project Description: The project includes the landscape beautification of the west side of the Interstate 15/State Route 79 South (Temecula Parkway) interchange with enhanced landscaping & hardscape inspired by the I-15 Branding & Visioning Plan. Benefit: This project meets the City-wide long-term goals as identified in the Quality of Life Master Plan to include a Healthy and Livable City and Economic Prosperity. Core Value: Healthy and Livable City Project Status: This project is in the design phase with construction scheduled for FY 2022/23. Department: Public Works - Account No. 210.265.999.690 / PW17-19 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program I-15/STATE ROUTE 79 SOUTH INTERCHANGE ENHANCED LANDSCAPING Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 429,876 3,614 433,489 Construction 2,255,731 907 2,256,638 Construction Engineering 287,059 37,363 324,422 Design & Environmental 244,273 727 245,000 Information Technology 26,269 33,741 60,010 MSHCP 17,337 17,337 Total Expenditures 3,260,544 76,351 -----3,336,895 Source of Funds: DIF-Library Facilities 2,194,486 67,440 2,261,926 DIF-Police Facilities 50,000 50,000 General Fund 37,627 37,627 Measure S 987,342 987,342 Total Funding 3,269,455 67,440 -----3,336,895 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the study, design, and construction of alternatives to provide additional parking for the Ronald H. Roberts Temecula Public Library. Phase II covers the design and construction of an expansion of the current on-site parking facility. The Information Technlogy component includes camera system infrastructure, Public Wi-Fi and other identified technology needs. Benefit: This project provides additional parking for Library patrons, meetings, and special programs. Core Value: Healthy and Livable City Project Status: Construction of the expansion has been completed. Department: Public Works - Account No. 210.290.999.153 / PW13-09 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program LIBRARY PARKING - PHASE II Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 5,000 5,000 Design & Environmental 43,965 41,035 85,000 Total Expenditures 43,965 46,035 -----90,000 Source of Funds: Grants 72,000 72,000 Measure S 18,000 18,000 Total Funding 18,000 72,000 -----90,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Grant source: CalTrans Local Roadway Safety Plan (LRSP) Project Description: This project is to develop a Local Roadway Safety Plan (LRSP) in support of a statewide data-driven traffic safety plan to reduce traffic accident fatalities and serious injuries on all public roads. The preparation of an LRSP creates a framework to systematically identify and analyze safety problems and recommend safety improvements. Benefit: The project will provide a prioritized list of improvements and actions that can demonstrate a defined need and contribute to a proactive approach for addressing local safety needs. Core Value: Transportation Mobility and Connectivity Project Status: This project is estimated to be complete in fiscal year 2021- 22. Department: Public Works - Account No. 210.265.999.755 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program LOCAL ROADWAY SAFETY PLAN Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 187,250 349,407 536,657 Construction 8,800,459 1,195,000 9,995,459 Construction Engineering 6,646 6,646 Design & Environmental 324,973 643,429 80,000 1,048,402 Information Technology 344,343 180,000 490,000 1,014,344 Total Expenditures 856,567 9,979,941 1,765,000 ----12,601,508 Source of Funds: Capital Financing 6,405,000 6,405,000 DIF-Park & Rec Improvements 600,000 600,000 DIF-Police Facilities 137,000 137,000 Measure S 1,636,773 2,057,735 1,765,000 5,459,508 Total Funding 8,041,773 2,794,735 1,765,000 ----12,601,508 Future Operating & Maintenance Costs: Total Operating Costs 579,145 596,520 610,000 620,000 Notes : 1. Operating & Maintenance costs reflect the staffing, utilities, landscaping, security and supplies costs associated with the operation of this new facility. 2. Capital Financing reflects the Temecula Public Financing Authority's 2018 Lease Financing arrangement which provides $6.4M in funding, with a term of 15 years at an interest rate of 3.42%, repaid by the General Fund. Project Description: This project consists of the construction of a new recreation center in Michael "Mike" Naggar Community Park in place of the former YMCA building. The project includes the demolition of the existing building and pool, constructing a new building and pool as determined by a Community Needs Assessment and available budget. The Information Technology component includes camera system infrastructure, access control, Public Wi-Fi and other identified technology needs. Benefit: This project will provide the City a new facility to meet the increasing demands of recreational programs. Core Value: Healthy and Livable City Project Status: Concept design completed in 2020. Design-Build to start in March 2021. Construction completion is anticipated in late 2022 and grand opening in early 2023. Department: Public Works - Account No. 210.265.999.692 / PW17-21 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MARGARITA RECREATION CENTER Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 20,000 20,000 Construction 170,500 170,500 Design & Environmental 14,500 14,500 Total Expenditures -205,000 -----205,000 Source of Funds: Grants 185,000 185,000 Measure S 20,000 20,000 Total Funding 185,000 20,000 -----205,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Grant funding source reflects grant from California Office of Emergency Services (CalOES) Public Safety Power Shutoff (PSPS) Community Power Resiliency Allocation Program. Project Description: This project is to design and install an energy efficient emergency generator at the Mary Phillips Senior Center (MPSC) to provide back-up electrical services in the event of an extended electrical shutdown, due to a local disaster or service outage. Benefit: This project will provide for enhanced public safety at the MPSC in the event of a local emergency which may disrupt electrical services. Core Value: A Safe and Prepared Community Project Status: This is a new project for Fiscal Year 2020-21. The project is estimated to be completed in Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.771 / PW21-08 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MARY PHILLIPS SENIOR CENTER EMERGENCY GENERATOR Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 88,000 88,000 176,000 Construction 829,000 139,925 968,925 Construction Engineering 41,000 41,000 Design & Environmental 18,112 57,488 500 76,100 Total Expenditures 18,112 1,015,488 228,425 ----1,262,025 Source of Funds: CDBG 18,112 705,794 723,906 Facilities Replacement Fund 279,694 279,694 Measure S 30,000 228,425 258,425 Total Funding 48,112 985,488 228,425 ----1,262,025 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the enhancement and renovation of the Mary Phillips Senior Center. Exterior improvements include new roof, siding, soffit, fascia, trim, doors and windows. Interior improvements include lighting, acoustics, trim, flooring, bookcase, and finishes. The project includes improvements in accessibility throughout the building interior and site in accordance with latest ADA requirements. Benefit: This project updates and enhances the appearance and improves safety and extends the life of the facility. Core Value: Healthy and Livable City Project Status: This project is in design. Construction is to commence in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.782 / PW20-13 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MARY PHILLIPS SENIOR CENTER ENHANCEMENT AND RENOVATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 35,000 10,000 10,000 55,000 Construction 77,898 249,003 230,000 200,000 756,900 Construction Engineering 20,000 10,000 20,000 50,000 Design & Environmental 29,900 45,100 20,000 20,000 115,000 Total Expenditures 107,798 349,103 270,000 -250,000 --976,900 Source of Funds: DIF-Street Improvements 40,000 40,000 Measure S 231,900 160,000 270,000 250,000 911,900 Reimbursements 25,000 25,000 Total Funding 271,900 185,000 270,000 -250,000 --976,900 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Reimbursements reflects contribution from the Temecula Valley Unified School District. Project Description: This project includes the design and construction of raised concrete medians (with stamped concrete), neighborhood identification medians, pedestrian bulb-outs, striping improvements and other features to provide neighborhood traffic calming at various locations throughout the City. Benefit: This project provides neighborhood traffic calming, enhances pedestrian, bicycle safety and the quality of life at various locations within the City. Core Value: A Safe and Prepared Community Project Status: This project has a priority list of locations and will be constructed in priority order. Department: Public Works - Account No. 210.265.999.704 / Various Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program MEDIANS & TRAFFIC CALMING IMPROVEMENTS - CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 58,609 78,518 137,128 Construction 7,198 752,251 759,449 Design & Environmental 192,754 32,904 225,657 Furnishings & Equipment 130,000 130,000 Total Expenditures 258,561 993,673 -----1,252,234 Source of Funds: General Fund 135,858 135,858 Measure S 53,791 53,791 Reimbursements 857,585 5,000 862,585 TEAM 200,000 200,000 Total Funding 1,047,234 205,000 -----1,252,234 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Construction of the Southside Parking Lot Reconfiguration will not occur until the Purchase and Sale Agreement with Riverside County Flood Control is executed and the proceeds are received. 2. Reimbursements include $834,336 from Riverside County Flood Control and $28,249 from Frontier Communications. Project Description: This project reflects the United States Army Corps of Engineers and Riverside County Flood Control improvements to the Murrieta Creek within the City limits. This project also includes the study, design, and construction of alternatives to reconfigure the existing Southside Parking Lot which has been impacted by the Riverside County Flood Control's acquisition of a portion of the parking lot. Lighting will be added to the trail on the east side of Murrieta Creek between First Street and Rancho California Road. Benefit: This project helps prevent flooding of Old Town Temecula. Core Value: A Safe and Prepared Community Project Status: The City has entered into a Cooperative Agreement with Riverside County Flood Control District to further the implementation of this project. Construction of Phase II, just south of Rancho California Road to south of First Street bridge is complete. Design for the Southside parking lot reconfiguration has begun and the City is working with the adjacent property owners to ensure that the new parking design will maximize the number of parking spaces. Department: Public Works - Account No. 210.265.999.735 / PW15-07 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MURRIETA CREEK IMPROVEMENTS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost City of Temecula Fiscal Years 2023-27 Capital Improvement Program MURRIETA CREEK IMPROVEMENTS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 450,000 450,000 Total Expenditures -450,000 -----450,000 Source of Funds: DIF-Open Space & Trails 300,000 300,000 Measure S 150,000 150,000 Total Funding 300,000 150,000 -----450,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, environmental documents and permits, construction, improvements and extension of the Nicolas Road Multi-Use Trail from the Seraphina easterly boundary to Joseph Road. The improvements include approximately 1,800 LF of 10' wide Class I Bikeway. The developer of the Roripaugh Ranch will take the lead in completing the design and the environment document while the City will take the lead in the construction Phase. Benefit: This project improves pedestrian and biking circulation on the northern side of the City Core Value: Transportation Mobility and Connectivity Project Status: The design is almost complete and the environmental document and permits are being processed. Construction process is anticipated to begin in late Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.785 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program NICOLAS ROAD MULTI-USE TRAIL EXTENSION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 98,888 6,112 105,000 Design & Environmental 44,154 850,846 895,000 Total Expenditures 143,042 856,958 -----1,000,000 Source of Funds: General Fund 1,000,000 1,000,000 Total Funding 1,000,000 ------1,000,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will include the design and eventual construction of a new parking structure in Old Town and other parking improvements within the Old Town district. The Old Town Parking Management Plan outlines a number of parking strategies that can be implemented in Old Town over time. Additional parking structures are anticipated to be constructed as part of the long term parking management strategy. Benefit: This project will satisfy the City's Core Values of a Healthy and Livable City and Economic Prosperity. Core Value: Healthy and Livable City Project Status: This project is currently on hold. Department: Public Works - Account No. 210.265.999.694 / PW17-15 Level: III City of Temecula Fiscal Years 2023-27 Capital Improvement Program OLD TOWN PARKING STRUCTURE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Design & Environmental 50,000 50,000 Equipment 850,000 360,000 1,210,000 Total Expenditures -900,000 360,000 ----1,260,000 Source of Funds: DIF-Corporate Facilities 400,000 200,000 600,000 Measure S 500,000 160,000 660,000 Total Funding -900,000 360,000 ----1,260,000 Future Operating & Maintenance Costs: Total Operating Costs 50,000 50,000 50,000 50,000 50,000 Notes : 1. Operating & Maintenance costs reflect the ongoing software and equipment maintenance costs associated with the surveillance system. Project Description: This project provides for the installation of surveillance cameras, the upgrade of the sound system, and improvements to the fiber optic and Wi-Fi networks throughout Old Town. Benefit: To protect property and life and enhance the ambiance/experience of Old Town. Core Value: Healthy and Livable City Project Status: This project will commence in Fiscal Year 2021-22. Department: - Account No. 210.265.999.780 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program OLD TOWN SURVEILLANCE & SOUND SYSTEM Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 327,771 327,770 Construction 184,216 184,217 Construction Engineering 1,710 1,710 Design & Environmental 329,367 329,367 Land Acquisition 20,442 20,442 Utilities 1,023 1,023 Total Expenditures 864,530 ------864,530 Source of Funds: CFD 03-03 (Wolf Creek)837,236 27,294 864,530 Total Funding 837,236 27,294 -----864,530 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, construction, and implementation of an environmental mitigation site required for the Pechanga Parkway Project, including acquisition and planting of the mitigation site in Temecula Creek. In addition, this project provides water to plant material and monitoring the mitigation site for five (5) years. Benefit: This project increases environmental mitigation areas. Core Value: A Sustainable City Project Status: The design and construction of new wetlands was completed during Fiscal Year 2014-15. Approval of the maturity of the mitigation site by the resource agencies was obtained during Fiscal Year 2020-21. The maintenance of the created mitigation area is complete. Department: Public Works - Account No. 210.265.999.516 / PW11-01 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PECHANGA PARKWAY ENVIRONMENTAL MITIGATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 20,000 20,000 Construction 850,366 850,366 Construction Engineering 72,834 72,834 Design & Environmental 32,563 30,437 63,000 Total Expenditures 32,563 973,637 -----1,006,200 Source of Funds: HSIP-Highway Safety Improvement Program 908,200 908,200 Measure S 68,000 30,000 98,000 Total Funding 68,000 938,200 -----1,006,200 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will install pedestrian countdown signal heads, ADA compliant pedestrian pushbutton equipment and upgrade traffic signal controllers to improve safety and operations at signalized intersections Citywide including the Butterfield Stage Road, Jefferson Avenue, Margarita Road, Redhawk Parkway, Pechanga Parkway, Rancho California Road, Temecula Parkway and Ynez Road corridors. Benefit: This project improves pedestrian safety and traffic circulation throughout the City. Core Value: Healthy and Livable City Project Status: Project is estimated to be complete in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.518 / PW19-10 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PEDESTRIAN SIGNAL EQUIPMENT UPGRADE - CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 11,000 11,000 Construction 150,000 40,000 190,000 Design & Environmental 24,000 24,000 Total Expenditures -185,000 40,000 ----225,000 Source of Funds: Measure S 15,000 40,000 55,000 Reimbursements 170,000 170,000 Total Funding -185,000 40,000 ----225,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Reimbursement revenue is anticipated from the Rancho California Water District (RCWD). Project Description: This project includes the administration, design and construction of two (2) sites within the City for the conversion of water facilities from potable to recycled water. This effort is in cooperation with Rancho California Water District (RCWD) to administer the implementation of improvements. Benefit: This project will reduce use of potable water, increase overall water savings and enhance energy efficiencies and potentially reduce greenhouse gas emissions. Core Value: A Sustainable City Project Status: Project is estimated to be complete by Fiscal Year 2022-23. Department: Public Works - Account No. 210.290.999.206 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RCWD RECYCLED WATER ACCELERATED RETROFIT PROGRAM Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 470,547 135,940 606,487 Construction 1,096,124 3,880,919 4,977,043 Construction Engineering 123,200 643,900 767,100 Design & Environmental 714,810 62,302 777,112 MSHCP 33,927 11,926 45,853 Total Expenditures 2,438,608 4,734,987 -----7,173,595 Source of Funds: Assembly Bill 2766 58,683 58,683 BTA - Bicycle Transportation Account 223,311 223,311 DIF-Open Space & Trails 389,073 389,073 General Fund 78,920 78,920 Measure S 821,899 1,842,709 2,664,608 Senate Bill 1 722,595 3,036,405 3,759,000 Total Funding 2,294,481 4,879,114 -----7,173,595 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, environmental, and construction of the extension and interconnect of the existing Santa Gertrudis Creek Pedestrian/Bicycle Trail from Ynez Road to the Murrieta Creek Multi-Purpose Trail. The extension and interconnect will provide access and under-crossings at Ynez Road, Interstate 15 and Jefferson Avenue, and a continuous paved trail along the Santa Gertrudis Creek to interconnect with the Murrieta Creek Multi-Purpose Trail. Benefit: The project provides additional pedestrian and bicycle trails for the community. Core Value: Transportation Mobility and Connectivity Project Status: The design and environmental document is complete. Construction will start in April 2021 and is expected to be completed by June 2022. Department: Public Works - Account No. 210.265.999.739 / PW08-04 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SANTA GERTRUDIS CREEK PEDESTRIAN/BICYCLE TRAIL EXTENSION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 91,420 212,581 144,000 448,000 Construction 1,631,179 1,631,179 Construction Engineering 200,000 170,000 370,000 Design & Environmental 304,697 329,267 633,964 Land Acquisition 21,500 21,500 MSHCP 81,559 81,559 Total Expenditures 396,117 2,476,085 314,000 ----3,186,202 Source of Funds: Measure S 396,117 974,085 314,000 1,684,202 Senate Bill 1 1,502,000 1,502,000 Total Funding 396,117 2,476,085 314,000 ----3,186,202 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. California Transportation Commission (CTC) adopted the 2019 Active Transportation Program Augmentation on January 30 - 31, 2019. Project Description: This project includes the design, environmental, and construction of the under-crossing in Santa Gertrudis Creek at Margarita Road to connect to the pedestrian/bicycle trail. The under-crossing at Margarita Road will provide a continuous paved trail along the Santa Gertrudis Creek at this location. Benefit: The project provides a safe pedestrian and bicycle trail connection for the community. Core Value: Transportation Mobility and Connectivity Project Status: Project is anticipated to be completed in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.732 / PW19-04 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SANTA GERTRUDIS CREEK PHASE II - MARGARITA UNDER-CROSSING Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 364,345 50,000 50,000 50,000 50,000 50,000 50,000 664,345 Construction 146,315 697,541 320,000 320,000 320,000 320,000 320,000 2,443,856 Construction Engineering 4,412 95,588 60,000 60,000 60,000 60,000 60,000 400,000 Design & Environmental 223,006 93,923 70,000 70,000 70,000 70,000 70,000 666,929 Total Expenditures 738,077 937,051 500,000 500,000 500,000 500,000 500,000 4,175,129 Source of Funds: General Fund 375,000 375,000 Measure S 736,533 563,596 500,000 500,000 500,000 500,000 500,000 3,800,129 Total Funding 1,111,533 563,596 500,000 500,000 500,000 500,000 500,000 4,175,129 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will include the construction of sidewalks at various locations throughout the City. Benefit: This project will provide walking surfaces for pedestrians. Core Value: Transportation Mobility and Connectivity Project Status: A study to identify areas with missing sidewalks and prioritize them was completed as part of the Trails and Bikeways Master Plan Update in Fiscal Year 2015-16. Based on the study and the available resources, sidewalks will be constructed in the selected areas considering economy of scale and proximity to private development. Department: Public Works - Account No. 210.265.999.708 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SIDEWALKS - CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 80,051 22,789 102,840 Construction 264,979 264,979 Construction Engineering 18,081 18,081 Design & Environmental 43,615 23,045 66,660 MSHCP 12,306 12,306 Total Expenditures 123,666 341,200 -----464,866 Source of Funds: General Fund 188,599 276,267 464,866 Total Funding 188,599 276,267 -----464,866 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will include the construction of sidewalks on the north side of northerly leg and the west side of DLR Drive. Benefit: This project will provide walking surfaces for pedestrians and will facilitate the construction of the Lexus dealership. Core Value: Transportation Mobility and Connectivity Project Status: Construction is scheduled for Fall 2022. Department: Public Works - Account No. 210.265.999.721 / PW19-18 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SIDEWALKS - DLR DRIVE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 420,815 420,815 Construction 666,639 7,704 674,343 Construction Engineering 37,406 37,406 Total Expenditures 1,124,860 7,704 -----1,132,564 Source of Funds: CDBG 385,596 152,441 538,037 Measure S 594,527 594,527 Total Funding 980,123 152,441 -----1,132,564 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. The reduction of $280,000 in Measure S funds in Fiscal Year 2020-21 reflects a Mid-Year budget adjustment to transfer funds to Project 766 - Sidewalks-Old Town Improvements. Project Description: This project will establish programs that will remove boardwalk plank boards and replace them with colored concrete sidewalks stamped with wood grain finish similar to what was installed with the new Main Street bridge. Benefit: This project promotes a sustainable walkable surface that will require little maintenance. New sidewalks will enhance American with Disabilities Act (ADA) access. It will also promote a "walkable" community by connecting the City. Core Value: Healthy and Livable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.696 / PW17-16 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SIDEWALKS - OLD TOWN BOARDWALK ENHANCEMENT Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 346,761 23 30,000 376,784 Construction 906,434 391,455 240,000 1,537,889 Construction Engineering 30,850 13,900 9,000 53,750 Design & Environmental 90,981 14,022 21,000 126,003 Total Expenditures 1,375,026 419,400 300,000 ----2,094,426 Source of Funds: CDBG 849,426 849,426 Measure A 140,000 140,000 Measure S 680,000 125,000 300,000 1,105,000 Total Funding 1,669,426 125,000 300,000 ----2,094,426 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project is comprised of adding new sidewalks, paving, street lights and trees on north side of Fifth Street from Old Town Front Street to the Murrieta Creek Channel. The project also include completing the missing street improvements adjacent to the Palomar Hotel (north side of Fifth Street, just east Old Town Front Street) and north side of Fourth Street between Old Town Front Street and Mercedes Street. Benefit: This project will provide walking surfaces for pedestrians. Core Value: Transportation Mobility and Connectivity Project Status: Project is expected to be completed in Fiscal Year 2021-22. Department: Public Works - Account No. 210.265.999.766 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SIDEWALKS - OLD TOWN IMPROVEMENTS Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 39,600 39,600 Construction 44,148 3,352 47,500 Design & Environmental 12,300 35,700 48,000 Total Expenditures 56,448 78,652 -----135,100 Source of Funds: DIF-Park & Rec Improvements 135,100 135,100 Total Funding 135,100 ------135,100 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the renovation of the Temecula Elementary School (TES) pool building, including roof replacement and the reconstruction of the pool deck. The City of Temecula maintains and operates this pool facility. Benefit: This project protects the City's vast investment in facilities. Core Value: Healthy and Livable City Project Status: Improvements will be made to the pool facility as funds are made available. Department: Public Works - Account No. 210.290.999.143 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TEMECULA ELEMENTARY SCHOOL (TES) POOL RENOVATION Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 753,663 34 753,697 Construction 2,456,818 284,125 2,740,942 Construction Engineering 496,290 17,667 513,957 Design & Environmental 305,918 1,937 307,855 Information Technology 7,486 114,614 122,100 Land Acquisition 187,530 187,530 MSHCP 34,136 34,136 Total Expenditures 4,241,841 418,377 -----4,660,218 Source of Funds: Assembly Bill 2766 1,122,385 1,122,385 CMAQ-Congestion Mitigation Air Quality 729,872 1,178,159 1,908,031 DIF-Police Facilities 100,000 100,000 General Fund 1,129,802 1,129,802 Measure S 400,000 400,000 Total Funding 3,482,059 1,178,159 -----4,660,218 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Congestion Mitigation and Air Quality (CMAQ) Funds approved by the RCTC on January 8, 2014. Project Description: This project includes the acquisition of property, design, and construction of a Park and Ride facility in the vicinity of Temecula Parkway and La Paz Street. The Information Technology component includes camera system infrastructure, and other identified technology needs. Benefit: This project enables and encourages Temecula residents to carpool when commuting. Core Value: A Sustainable City Project Status: Project is complete. Department: Public Works - Account No. 210.265.999.747 / PW06-09 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TEMECULA PARK & RIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 100,000 100,000 Construction 420,000 420,000 Design & Environmental 84,000 84,000 Total Expenditures --604,000 ----604,000 Source of Funds: Measure S 604,000 604,000 Total Funding --604,000 ----604,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will upgrade the concession area of The MERC to a full service kitchen. The upgrade will include increasing the floor area, adding a gas range - grill/ oven, range vent, roof exhaust vent, multiple compartment sink, replacing the stainless steel counter, and the roll-up doors. Benefit: This project will improve the food service to the patrons of The MERC and the Old Town Community Theater. In addition, this project satisfies the City’s Core Values of a Healthy and Livable City. Core Value: Healthy and Livable City Project Status: This is a new project. The project is estimated to be complete in Fiscal Year 2022-23. Department: Public Works - Account No. 210.265.999.NEW3 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program THE MERC CONCESSION UPGRADE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 30,000 30,000 Construction 149,554 149,554 Design & Environmental 314,446 314,446 Total Expenditures -344,446 149,554 ----494,000 Source of Funds: Developer Contribution 44,446 44,446 Measure S 300,000 149,554 449,554 Total Funding -344,446 149,554 ----494,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Per Joint Funding Agreement for Fourth Traffic Signal Promenade Mall Ring Road between the City of Temecula and Temecula Towne Center Associates, L.P. dated 08/27/2013. Project Description: This project will design and construct a fourth traffic signal on the Promenade Mall Ring Road. The new signal will be constructed at the intersection of the Promenade Mall East and the Ring Road. This is the most easterly entrance to the mall on Winchester Road, just west of Margarita Road. The project include full vehicular and pedestrian controlled movements, interconnection to the Winchester Road/ Promenade Mall East intersection and infrastructure to support future closed circuit video monitoring equipment. Benefit: This project improves vehicular and pedestrian traffic safety and circulation in the Promenade Mall and surrounding areas. Core Value: Healthy and Livable City Project Status: This is a new project. Design and preparation of the construction documents will commence after City Council approval. Department: Public Works - Account No. 210.265.999.788 / PW21-15 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program TRAFFIC SIGNAL - PROMENADE MALL RING ROAD Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 982 982 Construction 26,818 26,818 Design & Environmental 119,296 229,134 348,430 Total Expenditures 120,278 255,952 -----376,230 Source of Funds: DIF-Park & Rec Improvements 27,300 25,000 52,300 Grants 323,930 323,930 Total Funding 27,300 348,930 -----376,230 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the development of an Urban Forest Management Plan, conduct a tree inventory and canopy assessment and the planting of 300 trees. This project is in cooperation with Cal Fire Urban & Community Forestry Program, Proposition 68 Grant Agreement. Benefit: The project objectives will produce a baseline management plan for future planning, reduce water requirements, ensure tree life longevity, enhance urban forest in disadvantaged communities, decrease GHG emissions, engage the community through public outreach and education, enhance local air quality, increase canopy coverage, reduce storm water runoff and ultimately lessen tree loss due to disease and insect infestation. This project satisfies the City's Core Value of A Sustainable City, and a Healthy and Livable City. Core Value: A Sustainable City Project Status: This project is estimated to be complete by March 2022. Department: Public Works - Account No. 210.290.999.204 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program URBAN FOREST MANAGEMENT PLAN Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 31,875 31,875 Construction 90,820 121,680 212,500 Total Expenditures 90,820 153,555 -----244,375 Source of Funds: Measure S 244,375 244,375 Total Funding 244,375 ------244,375 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the undergrounding of utilities at various locations throughout the City to extend the undergrounding done by the developers beyond the limits of their developments. The requested funding covers the following locations: 1) approximately 600 LF in front of Julian Charter School (located at 29141 Vallejo Avenue) between two private developments (the Gateway Development and Hope Lutheran Church); 2) approximately 250 LF on Third Street just east of Old Town Front Street and west of the proposed hotel; 3) North side Fifth Street, just west of Old Town Front Street (in front of Palomar Hotel); 4) west side of Old Town Front Street between Fourth Street and Fifth Street. Benefit: Undergrounding of this 600 LF segment of existing overhead utility lines along Vallejo Avenue will result in a total of 2,000 LF of utility undergrounding as the two adjacent private developments will improve their frontage overhead utilities as well. Also, the utilities on Third Street, between Mercedes and Old Town Front will be undergrounded as a result of the proposed hotel and this project. Undergrounding the utility adjacent to the Palomar Hotel will enable the City to complete the missing street improvements (approximately 85 feet). Undergrounding the two electric services on the west side of Old Town Front Street between Fourth and Fifth Street will result in the removal of the existing pole. Core Value: A Sustainable City Project Status: Implementation is contingent on adjacent developments and Southern California Edison (SCE) process. Department: Public Works - Account No. 210.265.999.776 / Various Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program UTILITY UNDERGROUNDING - CITYWIDE Infrastructure Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 174,000 174,000 Construction 696,000 696,000 Construction Engineering 48,720 48,720 Design & Environmental 125,280 125,280 Total Expenditures --1,044,000 ----1,044,000 Source of Funds: Measure S 658,060 658,060 Reimbursements/Other 385,940 385,940 Total Funding --1,044,000 ----1,044,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. (1) City of Temecula CPUC'c Rule 20A program balance with Southern California Edison (SCE) as of January 1, 2021 is $385,940. Project Description: This project will design and underground the overhead utilities at the southwest corner of Old Town Front Street, south side of Main Street and along the west side of the Pennypickle's Workshop Children Museum and Old Town Temecula Community Theater, adjacent to the Murrieta Creek Trail. Benefit: This project continues the City's efforts to underground overhead utilities in Old Town. An Underground Utility District in parts of old Town was formed on October 10, 2006. In addition the Rule 20A program is being discontinued by the California Public Utilities Commission (CPUC) and the City has a balance with Southern California Edison (SCE) that it can use. Core Value: A Sustainable City Project Status: This is a new project. Design and preparation of the construction documents will commence after City Council approval. Department: Public Works - Account No. 210.265.999.NEW2 Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program UTILITY UNDERGROUNDING - MAIN STREET AND VICINITY Infrastructure Project DRAFT PARKS & RECREATION PROJECTS Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 100,000 100,000 Construction 700,000 700,000 Design & Environmental 98,448 201,552 300,000 Total Expenditures 98,448 1,001,552 -----1,100,000 Source of Funds: Measure S 100,000 1,000,000 1,100,000 Total Funding 100,000 1,000,000 -----1,100,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project provides for the conversion of the CRC's kiddie pool into a splash pad, and the addition of shade structures throughout the pool area. Benefit: This project will provide City residents an additional splash pad for enhanced recreational opportunities. Core Value: Healthy and Livable City Project Status: Project design will commence in Fiscal Year 2021-22. Department: Public Works - Account No. 210.290.999.205 / PW21-07 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program COMMUNITY RECREATION CENTER SPLASH PAD & SHADE STRUCTURES Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 30,000 30,000 Construction 350,000 350,000 Design & Environmental 50,000 50,000 Total Expenditures -430,000 -----430,000 Source of Funds: Grants 247,126 247,126 Measure S 182,874 182,874 Total Funding -430,000 -----430,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Proposition 68 Grant from the California Department of Parks and Recreation. Project Description: This project is to design and construct a dog park at Michael "Mike" Naggar Community Park. The dog park will include small and large dog pens, seating, drinking fountains, shade and an agility dog course feature. Benefit: This project protects the City’s vast investment in parks and open space facilities. In addition, this project satisfies the City’s Core Values of a Healthy and Livable City, A Safe and Prepared Community, and Accountable and Responsive City Government. Core Value: Healthy and Livable City Project Status: This project is dependent on the Prop 68 Per Capita Grant. The project is estimated to be complete in Fiscal Year 2021-22. Department: Public Works - Account No. 210.290.999.207 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program DOG PARK RENOVATION Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 183,496 16,504 200,000 Total Expenditures 183,496 16,504 -----200,000 Source of Funds: Measure S 200,000 200,000 Total Funding 200,000 ------200,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project provides for the renovation and updating of the splash pad control system to meet current Health & Safety requirements. Benefit: This project enhances the safety for the splash deck users and reduces the risk of exposure to unsanitary water. Core Value: Healthy and Livable City Project Status: Project is estimated to be complete in Fiscal Year 2021-22. Department: Public Works - Account No. 210.290.999.145 / PW20-07 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program EAGLE SOAR SPLASH PAD CONTROL SYSTEM RENOVATION Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 243,097 47,863 50,000 170,000 510,960 Construction 87,998 1,213,441 3,822,532 5,123,971 Construction Engineering 173,377 160,000 333,377 Design & Environmental 367,990 59,435 150,000 400,000 977,425 MSHCP 120 191,127 191,247 Total Expenditures 699,085 1,494,236 200,000 -4,743,659 --7,136,980 Source of Funds: General Fund 650,284 650,284 Measure S 797,427 745,610 200,000 1,743,037 Unspecified 4,743,659 4,743,659 Total Funding 1,447,711 745,610 200,000 -4,743,659 --7,136,980 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project repairs and reinforces the earth and berms between specific park sites and flood control channels, and fortifies the banks to prevent further erosion into the park sites. A report for Friendship Park (formerly Pala Park), Michael "Mike" Naggar Community Park, and Long Canyon Creek Park was developed. This study will serve as a basis for project design, environmental clearance, and construction at each location. Benefit: This project prevents further erosion into specific park sites. Core Value: Healthy and Livable City Project Status: Improvements to protect Friendship Park were completed in March of 2022. Locations at Michael "Mike" Naggar Community Park and Long Canyon Creek Park will be examined and designed as funding allows. Department: Public Works - Account No. 210.290.999.127 / PW11-10 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program FLOOD CONTROL CHANNEL RECONSTRUCTION & REPAIR Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 482,000 482,000 Construction 1,474,000 1,474,000 Construction Engineering 44,000 44,000 Total Expenditures --2,000,000 ----2,000,000 Source of Funds: Developer Contribution 2,000,000 2,000,000 Total Funding --2,000,000 ----2,000,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. Developers contributions (extraordinary benefits) Project Description: This project provides for the design and construction of the renovation, expansion, and Americans with Disabilities Act (ADA) improvements of existing building at the Harveston Community Park. The work includes the expansion of the classrooms, adding a staff office and a storage room, renovating the outdoor park restrooms, and bringing the facility up to current ADA accessibility compliance standards. Benefit: This project provides additional amenities for park patrons, maintenance of existing building, and brings facility to accessibility compliance. Core Value: Healthy and Livable City Project Status: This is a new project. Department: Public Works - Account No. 210.290.999.NEW8 Level: City of Temecula Fiscal Years 2023-27 Capital Improvement Program HARVESTON COMMUNITY PARK BUILDING RENOVATIONS AND EXPANSION Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 100,000 100,000 Construction 250,000 250,000 Design & Environmental 50,000 50,000 Total Expenditures --400,000 ----400,000 Source of Funds: DIF-Park & Rec Improvements 300,000 300,000 DIF-Quimby 100,000 100,000 Total Funding --400,000 ----400,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: Design and implement alternative recreational amenities such as skateboard park features, mountain/BMX bike skill trainers, rock climbing, parkour, slacklining, exercise equipment, and others within opportunistic locations such as City-owned remnants or spaces within existing parks or public facilities. Benefit: This project will provide City residents with additional popular amenities for enhanced recreational opportunities. Core Value: Healthy and Livable City Project Status: This is a new project for Fiscal Year 2022/23. Department: Public Works - Account No. 210.290.999.NEW1 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program INFILL RECREATIONAL AMENITIES Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 200,000 200,000 150,000 550,000 Construction 1,100,000 5,300,000 6,400,000 Design & Environmental 800,000 200,000 50,000 1,050,000 Total Expenditures -1,000,000 -1,500,000 5,500,000 --8,000,000 Source of Funds: DIF-Quimby 1,000,000 1,000,000 Measure S 1,500,000 1,500,000 Unspecified 5,500,000 5,500,000 Total Funding -1,000,000 -1,500,000 5,500,000 --8,000,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will provide for the design and construction of a regional sports park facility in the Riverside County Flood Control District detention basin near Jefferson Avenue and Sanborn Avenue. It will include soccer fields, walking paths, and parking. Benefit: This project will provide a much needed recreational facility for the residents of the City and the region. This project aligns with the City’s core value of a healthy and livable City, as well as investment in parks and open space facilities. Core Value: Healthy and Livable City Project Status: This is a new project. Department: Public Works - Account No. 210.290.999.221 / TBD Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program MURRIETA CREEK REGIONAL SPORTS PARK Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 71,364 100,636 75,000 75,000 322,000 Construction 105,251 827,548 750,000 750,000 2,432,800 Construction Engineering 50,000 100,000 100,000 250,000 Design & Environmental 8,476 26,524 100,000 100,000 235,000 Information Technology 30,000 30,000 Total Expenditures 185,091 1,034,708 1,025,000 1,025,000 ---3,269,800 Source of Funds: Measure S 347,800 872,000 1,025,000 1,025,000 3,269,800 Total Funding 347,800 872,000 1,025,000 1,025,000 ---3,269,800 Future Operating & Maintenance Costs: Total Operating Costs 26,010 26,530 27,061 27,602 28,154 Notes : 1. Operating & Maintenance costs reflect the increased janitorial costs associated with the addition of new park restroom facilities. Project Description: This project provides for the design and construction of the renovation, expansion and Americans with Disabilities Act (ADA) improvements of existing restroom facilities. The restroom expansion includes renovating concession and bringing restroom facilities to meet current ADA accessibility compliance standards. Benefit: This project provides additional restrooms for park patrons and brings facility to accessibility compliance. Core Value: Healthy and Livable City Project Status: Project is estimated to be complete by Fiscal Year 2022-23. Department: Public Works - Account No. 210.290.999.155 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PARK RESTROOMS RENOVATIONS, EXPANSION AND AMERICANS WITH DISABILITIES ACT (ADA) IMPROVEMENTS Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 21,400 25,000 25,000 25,000 25,000 25,000 146,400 Construction 2,106,806 301,794 325,000 325,000 325,000 325,000 325,000 4,033,600 Total Expenditures 2,128,205 301,794 350,000 350,000 350,000 350,000 350,000 4,180,000 Source of Funds: DIF-Quimby 250,000 250,000 General Fund 1,003,059 1,003,059 Measure S 764,000 356,000 350,000 350,000 350,000 350,000 350,000 2,870,000 Reimbursements 56,941 56,941 Total Funding 2,074,000 356,000 350,000 350,000 350,000 350,000 350,000 4,180,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project facilitates rehabilitation and improvement projects at various City parks The rehabilitation and improvement projects could include, but are not limited to, parking lot repairs and resurfacing, landscape medians, raised and cracked concrete sidewalk replacement, fencing repair and replacement, landscaping and irrigation system efficiency upgrades, lighting system repairs and efficiency upgrades, on-site drainage improvements and other similar projects. Benefit: This project protects the City’s vast investment in parks and open space facilities. Core Value: Healthy and Livable City Project Status: A priority list of rehabilitation projects has been developed. Rehabilitations are completed on an on-going basis. Department: Public Works - Account No. 210.290.999.130 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PARKS IMPROVEMENT PROGRAM Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 60,000 50,000 110,000 Construction 800,000 1,000,000 1,800,000 Design & Environmental 140,000 150,000 290,000 Total Expenditures -1,000,000 1,200,000 ----2,200,000 Source of Funds: DIF-Park & Rec Improvements 250,000 1,200,000 1,450,000 Measure S 750,000 750,000 Total Funding -1,000,000 1,200,000 ----2,200,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: Design and construct new, dedicated pickleball courts at an existing City park. Benefit: This project will provide City residents with an additional popular amenity for enhanced recreational opportunities. Core Value: Healthy and Livable City Project Status: Wolf Creek Park selected as project site. Project development, design, and environmental in Fiscal Year 2021/22. Construction in Fiscal Year 2022/23. Department: Public Works - Account No. 210.265.999.787 / PW21-03 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program PICKLEBALL COURTS Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 1,965 32,200 20,000 20,000 20,000 20,000 20,000 134,165 Construction 3,844,708 770,976 480,000 480,000 480,000 480,000 480,000 7,015,684 Design & Environmental 7,704 96 7,800 Total Expenditures 3,854,377 803,272 500,000 500,000 500,000 500,000 500,000 7,157,649 Source of Funds: DIF-Park & Rec Improvements 1,040,000 1,040,000 DIF-Quimby 440,000 440,000 Measure S 2,400,000 777,649 500,000 500,000 500,000 500,000 500,000 5,677,649 Total Funding 3,880,000 777,649 500,000 500,000 500,000 500,000 500,000 7,157,649 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the re-design, enhancement of playground equipment, and safety surfacing at existing City parks to comply with current state and federal regulations and enhance the quality of the parks. The projects include playground safety assessments, planning and evaluation, playground quality enhancements such as fencing, surfacing, accessibility and or new equipment. Benefit: This project protects the City’s vast investment in parks and open space facilities. Core Value: Healthy and Livable City Project Status: The enhancement of playground equipment and safety surfacing will be performed at one to two sites per year, dependent on available funding. A priority list has been developed and enhancement will be completed on an ongoing basis. Department: Public Works - Account No. 210.290.999.120 / Various Level: II City of Temecula Fiscal Years 2023-27 Capital Improvement Program PLAYGROUND EQUIPMENT ENHANCEMENT & SAFETY SURFACING Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 187,269 187,269 Construction 242,382 2,681 245,063 Design & Environmental 242,567 25,086 267,653 Total Expenditures 672,219 27,767 -----699,986 Source of Funds: General Fund 461,366 461,366 Proposition 42 88,000 88,000 Reimbursements 150,620 150,620 Total Funding 699,986 ------699,986 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will include excavating, hauling away, and disposing of silt in the channel location in Ronald Reagan Sports Park, and the desiltation pond west of the sports park, as well as mitigation. Benefit: This project increased the flow capacity of the channel in order to prevent flooding in the sports park, and increased the capacity of the pond to hold storm water and reduce down stream sedimentation. Core Value: A Safe and Prepared Community Project Status: The project and the five-year maintenance period are complete. The City is working to obtain sign off for the mitigation site from the resource agencies. Department: Public Works - Account No. 210.265.999.187 / PW05-13 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RONALD REAGAN SPORTS PARK CHANNEL SILT REMOVAL Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 10,000 10,000 Construction 720,000 450,000 1,170,000 Design & Environmental 20,000 20,000 Total Expenditures -750,000 450,000 ----1,200,000 Source of Funds: Measure S 750,000 450,000 1,200,000 Total Funding -750,000 450,000 ----1,200,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will include the renovation of the existing hockey rink to install new flooring material and arena style roof structure. Benefit: This project will upgrade the existing aging facility and provide state- of-the-art recreation opportunity for the City's residents. In addition, this project satisfies the City’s Core Values of a Healthy and Livable City, A Safe and Prepared Community, and Accountable and Responsive City Government. Core Value: Healthy and Livable City Project Status: This is a new project. Department: Public Works - Account No. 210.290.999.223 / TBD Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RONALD REAGAN SPORTS PARK HOCKEY RINK Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 5,000 5,000 Construction 65,000 65,000 Design & Environmental 5,000 5,000 Total Expenditures -75,000 -----75,000 Source of Funds: Measure S 75,000 75,000 Total Funding -75,000 -----75,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will provide for the installation of shade structures adjacent to the Ronald Reagan Sport Park Pump Track and launch pad area. Benefit: The shade structure will provide shade for users waiting to enter the pump track area. this project protects the City's vast investment in parks and open space facilities. In addition, this project satisfies the City's Core Values of a Health and Livable City. Core Value: Healthy and Livable City Project Status: New Department: Public Works - Account No. 210.290.999.224 / TBD Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RONALD REAGAN SPORTS PARK PUMP TRACK SHADE STRUCTURE Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 121,163 131,381 252,544 Construction 543,438 539,398 1,082,836 Construction Engineering 9,280 52,039 61,319 Design & Environmental 67,665 7,835 75,500 Total Expenditures 741,547 730,652 -----1,472,199 Source of Funds: Measure S 825,000 647,199 1,472,199 Total Funding 825,000 647,199 -----1,472,199 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project provides for the design and construction of the restroom building expansion at Ronald Reagan Sports Park. The restroom expansion includes adding additional restroom stalls and urinals, renovating the snack bar, and enlarging the storage case. Benefit: This project provides additional facilities for park patrons. Core Value: Healthy and Livable City Project Status: Project is estimated to be complete in Fiscal Year 2022-23. Department: Public Works - Account No. 210.290.999.114 / PW18-03 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RONALD REAGAN SPORTS PARK RESTROOM EXPANSION & RENOVATION Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 25,000 25,000 Construction 895,000 895,000 Design & Environmental 80,000 80,000 Total Expenditures -1,000,000 -----1,000,000 Source of Funds: Measure S 1,000,000 1,000,000 Total Funding -1,000,000 -----1,000,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project will remove and replace the existing skate park and install state-of-the-art street skate plaza elements. Benefit: This project will upgrade the existing aging facility and provide state- of-the-art recreation opportunity for the City's residents. In addition, this project satisfies the City’s Core Values of a Healthy and Livable City, A Safe and Prepared Community, and Accountable and Responsive City Government. Core Value: Healthy and Livable City Project Status: NEW Department: Public Works - Account No. 210.290.999.222 / TBD Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program RONALD REAGAN SPORTS PARK SKATE PARK Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Administration 4,665 15,735 20,400 Construction 227,850 227,850 Design & Environmental 7,646 10,104 17,750 Total Expenditures 12,312 253,688 -----266,000 Source of Funds: Measure S 201,000 65,000 266,000 Total Funding 201,000 65,000 -----266,000 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes the design, purchase and installation of perimeter fencing at the Sam Hicks Monument Park site. Benefit: This project will enhance the appearance of the park site with ornamental perimeter fencing. Core Value: Healthy and Livable City Project Status: This project is to be complete in FY 2020-21. Department: Public Works - Account No. 210.290.999.220 / PW20-12 Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SAM HICKS MONUMENT PARK PERIMETER FENCING Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 158,117 62,140 50,000 50,000 50,000 50,000 50,000 470,257 Total Expenditures 158,117 62,140 50,000 50,000 50,000 50,000 50,000 470,257 Source of Funds: Measure S 150,000 70,257 50,000 50,000 50,000 50,000 50,000 470,257 Total Funding 150,000 70,257 50,000 50,000 50,000 50,000 50,000 470,257 Future Operating & Maintenance Costs: Total Operating Costs Project Description: This project includes repairs and resurfacing of sport court surfacing at various parks and facilities. Surfacing includes tennis courts, basketball courts, and hockey rinks at various parks. Benefit: This project protects the City’s vast investment in parks and open space facilities. In addition, this project satisfies the City’s Core Values of a Healthy and Livable City, A Safe and Prepared Community, and Accountable and Responsive City Government. Core Value: Healthy and Livable City Project Status: Projects will be completed on an on-going basis. Department: Public Works - Account No. 210.290.999.141 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SPORTS COURT RESURFACING Parks/Recreation Project DRAFT Project Cost: Prior Years Actuals 2021-22 Adjusted 2022-23 Preliminary Budget 2023-24 Projected 2024-25 Projected 2025-26 Projected 2026-27 Projected Total Project Cost Construction 566,982 563,018 400,000 500,000 400,000 400,000 2,830,000 Total Expenditures 566,982 563,018 400,000 500,000 400,000 400,000 -2,830,000 Source of Funds: Measure S 630,000 300,000 400,000 400,000 400,000 400,000 2,530,000 TEAM 200,000 100,000 300,000 Total Funding 630,000 500,000 400,000 500,000 400,000 400,000 -2,830,000 Future Operating & Maintenance Costs: Total Operating Costs Notes : 1. TEAM - Temecula Energy Efficiency Asset Management Fund Project Description: This project provides for the replacement of the aging sports field lighting components with new LED technology at various sports parks. Benefit: This project enhances the safety of sport field users, reduces unnecessary light pollution and increases energy efficiency at City parks. Core Value: Healthy and Livable City Project Status: Project will be completed on an on-going basis as funding becomes available. Department: Public Works - Account No. 210.290.999.113 / Various Level: I City of Temecula Fiscal Years 2023-27 Capital Improvement Program SPORTS FIELD LIGHTING - LIGHT EMITTING DIODE (LED) CONVERSION Parks/Recreation Project DRAFT 1 PUBLIC/TRAFFIC SAFETY COMMISSION AGENDA REPORT TO: Public/Traffic Safety Commission FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: April 28, 2022 SUBJECT: Mercedes Street – Pedestrian Crosswalks PREPARED BY: Erick Escobedo, Associate Engineer II Nick Minicilli, Senior Traffic Engineer RECOMMENDATION: That the Public/Traffic Safety Commission receive and file the report. BACKGROUND: In February 2022, City of Temecula staff received a citizen request to consider the feasibility of implementing improvements to increase visibility of existing pedestrian crossings located at the intersection of Mercedes Street and Main Street. The citizen referenced concerns of unsafe pedestrian conditions due to lack of striped crosswalks and limited lighting at existing pedestrian crossings that provide access to the Old Town Parking Garage from shops and restaurants located on Old Town Front Street. City of Temecula staff reviewed conditions and determined that while there was adequate lighting at each crosswalk, installation of striped crosswalks at certain locations were warranted to increase driver visibility of upcoming pedestrian crossing locations. Staff recommends the instal lation of striped crosswalks at both intersections of the Mercedes Street and Main Street ‘Y’ fronting City Hall to further enhance existing pedestrian crossing signage and provide patrons safe access to the Old Town Parking Garage (Exhibit A). FISCAL IMPACT: None. ATTACHMENTS: Exhibit A – Mercedes Street Crosswalk Striping N➤➤N 1 PUBLIC TRAFFIC/SAFETY COMMISSION AGENDA REPORT TO: Public/Traffic Safety Commission FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: April 28, 2022 SUBJECT: Preece Lane and Tierra Vista Road – Traffic Cal ming Analysis PREPARED BY: Erick Escobedo, Associate Engineer II Nick Minicilli, Senior Traffic Engineer RECOMMENDATION: That the Public/Traffic Safety Commission: 1. Direct Staff to implement striped traffic calming measures on Preece Lane in conjunction with a scheduled overlay project. 2. Direct Staff to implement Radar Speed Display (VCalm) signs at two (2) locations along Tierra Vista Road. 3. Recommend the City Council adopt a Resolution establishing All-Way Stop Controls at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. BACKGROUND: In December 2021, City of Temecula staff received a request from Councilman and Mayor Pro Tem Schwank to consider the feasibility of implementing traffic calming measures to address concerns of excessive speeding from cut-through traffic on Preece Lane. Councilman Schwank referenced concerns with speeding on Preece Lane, specifically during daily peak afternoon traffic backup on Ynez Road from Santiago Road to Rancho Vista Road. Shortly after this request, Staff received similar inquiries for Tierra Vista Road, and it was determined that a full corridor analysis was warranted for this area (Exhibit A). In early 2022, staff conducted speed and volume data collection, and performed several field reviews of conditions on Preece Lane and Tierra Vista Road. Based on this analysis, Staff has determined that a combination of traffic calming measures could be implemented to help reduce speeding concerns including striping improvements, radar speed signs and possible use of all-way stop controls to provide right-of-way assignment and address visibility constraints at various intersections on both streets. Preece Lane is a forty-four (44) foot wide residential collector roadway providing access to numerous single-family residences west of Ynez Road. The posted speed limit on Preece Lane is 30 MPH and the Average Daily Traffic (ADT) volume on is approximately 1,750 ADT. Tierra Vista Road is a forty-four (44) foot wide local residential roadway that provides access to Preece Lane and Ynez Road for numerous single-family residences located within the 2 neighborhood. Tierra Vista Road has a posted speed limit of 25 MPH from Preece Lane to Calle Reva and 30 MPH from Calle Reva to Ynez Road. Tierra Vista Road carries approximately 1,730 ADT. In March 2022, staff generated speed and volume data for weekdays between September of 2021 and November 2021 using our newly acquired Streetlight Data software. Over this three (3) month period, review of prevailing (85th percentile) speeds indicates that speeds vary from 37 to 40 miles per hour during peak PM hours on posted 30 MPH segments of Preece Lane. The review also found that speeds vary from 33 to 37 miles per hour during peak PM hours on posted 25 MPH segments of Tierra Vista Road. The results of the speed limit review indicate that speeding is occurring on Preece Lane and Tierra Vista Road during peak PM hours of 3pm-7pm. To address concerns about excessive vehicular speeds, Staff reviewed potential traffic calming measures that have been proven effective at other locations in the City. Due to the 44-foot-wide roadway width of Preece Lane with no fronting residential homes, Staff determined that the implementation of a new striping concept with reduced lane widths would be effective in reducing excessive speeds. The proposed striping measures would provide 12-foot-wide travel lanes with 6-foot-wide bike lanes and 4-foot-wide bike lane buffer areas (Exhibit B). Staff recommends that the Commission direct staff to implement striped traffic calming measures on Preece Lane in conjunction with a scheduled overlay project. Tierra Vista Road also has a 44-foot-wide roadway width but, with several residential homes fronting it and on-street parking, a similar striping alternative would not be feasible. Due to its residential nature, staff feels that the installation of Radar Speed Display (VCalm) Signs with occasional police enforcement would be the most effective traffic calming measure to reduce speeds. Proposed Vcalm Sign locations would be installed on existing streetlights just west of Preece Lane for Westbound direction and west of Via Asado for Eastbound direction (Exhibit C). Staff recommends that the Commission direct staff to implement Radar Speed Display (VCalm) signs at two (2) locations along Tierra Vista Road. The collected volume data was used to evaluate entering volumes and prevailing speeds for the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. In addition to the data collection, a review of intersection characteristics and conditions was performed, which included an evaluation of sight distance, collision history, and completion of a multi-way stop warrant analysis at the Preece Lane and Tierra Vista Road/Buckeye Road intersection. An evaluation of sight distance was performed at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. A minimum unobstructed sight distance of 200 feet is required for the posted 30 mph speed limit on Preece Lane. The results of the evaluation are shown in the table on the following page: 3 Location Sight Distance Required Visibility (Posted 30 MPH) Tierra Vista Road (Eastbound)  Looking South  Looking North Buckeye Road (Westbound)  Looking South  Looking North 403’ 126’ 246’ 320’ 200’ 200’ 200’ 200’ As shown, the visibility at the intersection is not adequate for the Eastbound approach at Preece Lane and Tierra Vista Road/Buckeye Road. A review of the collision history for the three (3) year period from March 1, 2019 to February 28, 2022, indicates there were 0 reported collisions at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. The Multi-Way Stop Sign Installation Policy for Residential Streets’ warrant criteria was used to evaluate the need for multi-way stop signs at the intersection. The warrants allow for the installation of multi-way stop signs when the following conditions are satisfied: 1. Minimum Traffic Volumes a. The total vehicular volume entering the intersection from all approaches is equal to or greater than three hundred (300) vehicles per hour for any eight (8) hours of an average day; and b. The combined vehicular volume and pedestrian volume from the minor street is equal to or greater than one hundred (100) per hour for the same eight (8) hours. 2. Collision History a. Three (3) or more reported collisions within a twelve (12) month period of a type susceptible to correction by a multi-way stop installation. Such accidents include right and left-turn collisions as well as right-angle collisions. 3. Roadway Characteristics a. The traffic volume on the uncontrolled street exceeds two thousand (2,000) vehicles per day, b. The intersection has four (4) legs, with the streets extending 600 feet or more away from the intersection on at least three (3) of the legs. c. The vehicular volumes on both streets are nearly equal to a forty/sixty percent (40/60%) split; and d. Both streets are 44 feet wide or narrower. 4 Warrants for Minimum Traffic Volumes, Collision History and Roadway Characteristics must be met to justify the installation of a multi-way stop. Other criteria that may be considered when evaluating the need for multi-way stop signs include: 4. Visibility a. The intersections sight distance is less than:  150 feet for 25 MPH  200 feet for 30 MPH  250 feet for 35 MPH 5. The need to control left-turn conflicts. 6. The need to control vehicle/pedestrian conflicts near locations that generate high pedestrian volumes such as schools, parks, and activity centers. 7. The roadways and intersection appear on a Suggested Route to School plan. 8. There are no traffic signals or all-way stop controls located within 600 feet of the intersection. 9. The installation of multi-way stop signs is compatible with overall traffic circulation needs of the residential area. The multi-way stop warrant analysis performed found that the required Warrants 1, 2 & 3 were not satisfied and all-way stop controls are not justified at the intersection based on quantitative data. The Policy does however provide the flexibility to consider the need to control vehicle and pedestrian conflicts near locations where visibility constraints occur. An evaluation of the intersection sight distance criteria indicates there is justification for all-way stop controls at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road due to limited sight distance. Staff recommends establishing all-way stop controls at the intersection of Preece Lane and Tierra Vista Road/Buckeye Road. FISCAL IMPACT: Minor cost associated with the recommended action. ATTACHMENTS: Exhibit A - Location Map Exhibit B – Preece Lane Striping Concept Exhibit C – Radar Speed Display (VCalm) Sign Locations Exhibit D - Multi-Way Stop Warrant Analysis Exhibit E – Collision Summary Report N➤➤N N➤➤N Major Street: 30 MPH Minor Street:25 MPH Yes No X 11:00 AM 12:00 PM 1:00 PM 2:00 PM 3:00 PM 4:00 PM 5:00 PM 6:00 PM Hour Yes No X Yes No X Yes X No Yes X No Yes No X Yes X No Yes X No Yes No X Yes No X Yes No X Yes No X Yes X No Ped Volume (All Parts Below Must Be Satisfied) 2. Collision History Satisfied Satisfied Options (Other Criteria That May Be Considered) B. The intersection has four (4) legs, with the streets extending 600 feet or more away The intersection sight distance is less than: 155 feet for 25 MPH split, and 174 57 54 33 56 170 138 151 93 139 289 200 feet for 30 MPH 0 (Minor Street) 3. Roadway Characteristics from the intersection on at least three (3) of the legs, D. Both streets are 44 feet wide or narrower. 4. Visibility C. The vehicular volumes on both streets are nearly equal to a forty/sixty percent (40/60%) A. The traffic volume on the uncontrolled street exceeds two thousand (2,000) vehicles per day, 1. Minimum Vehicular Volume Preece Lane Tierra Vista Rd/Buckeye Rd Wararnts 1, 2, and 3 Must Be Satisfied MINIMUM REQUIREMENTS Total All 307Approaches Combined Vehicular MULTI-WAY STOP WARRANT (Residential Streets) Critical Approach Speed Critical Approach Speed Satisfied NUMBER OF ACCIDENTS 300 359 5. The need to control left-turn conflicts. 8. There are no traffic signal or all-way stop controls located within 600 feet of 7. The roadways and intersection appear on a Suggested Route School plan. 6. The need to control vehicle/pedestrian conflicts near locations that generate high pedestrian volumes such as schools, parks and activity centers. the intersection. 9. The installation of multi-way stop signs is compatible with overall traffic circulation needs of the residential area. 250 feet for 35 MPH Satisfied 87 144 100 86 MINIMUM REQUIREMENTS 3 OR MORE Collision Summary Report City of Temecula Public Works Traffic Division 4/7/22 From 03/01/2018 to 02/28/2022 Total Collisions: 0 Injury Collisions: 0 Fatal Collisions: 0 PREECE LN & TIERRA VISTA RD Page 1 of 1 Settings for Query: Start Date: 03/01/2018, End Date: 02/28/2022 (on PD Data) Street: PREECE LN Cross Street: TIERRA VISTA RD Intersection Related: True City: Temecula Sorted By: Date and Time 1 PUBLIC/TRAFFIC SAFETY COMMISSION AGENDA REPORT TO: Public/Traffic Safety Commission FROM: Patrick Thomas, Director of Public Works/City Engineer DATE: April 28, 2022 SUBJECT: Old Town Utility Box Public Art Project PREPARED BY: Anissa Sharp, Office Specialist II RECOMMENDATION: That the Public/Traffic Safety Commission appoint a Commissioner to serve on the Old Town Utility Box Public Art Project Committee. BACKGROUND: In keeping with the City of Temecula’s management philosophy of Building Greatness, Maintaining Excellence, the City of Temecula announced a Call for Artists to submit artwork for consideration in a pilot program for vinyl wrapping select Old Town Temecula Utility Boxes with original imagery. The theme to this artistic call is simply Temecula. With the rich history and diverse population that makes up Temecula, the possibilities for design range from whimsical to landscape, from pictorial to abstract, allowing for open interpretation of the theme for the selected utility box wraps and make lasting impressions on residents and visitors. Selection of the art will made by a committee comprised of Temecula’s City Council Members on the Arts & Cultural Affairs Subcommittee, City of Temecula Commissioners, local citizens, and non-profit organizations. The Community Services Department has requested the Public/Traffic Safety Commission elect a commissioner to serve as part of the committee. FISCAL IMPACT: None. ATTACHMENTS: None. California Highway Patrol Temecula Area Report for February 2022 This Photo by Unknown Author is licensed under CC BY-SA Services Provided •6 Child Safety Seat presentations •3 Teen Distracted Driver presentations •2 Age Well Drive Smart presentations •1 Start Smart presentation This Photo by Unknown Author is licensed under CC BY-SA-NC Enforcement Activity •Citations Issued –430 •Total Enforcement Contacts – 906 This Photo by Unknown Author is licensed under CC BY-SA Driving Under the Influence •Monthly Arrests –45 (14 DUI t/c’s) •Monthly Drug DUI arrests –1 This Photo by Unknown Author is licensed under CC BY ND Traffic Collisions •Non-Injury –81 •Injury –53 •Fatal –4 •Fatal Year to Date –7 •Total Collisions –145 Fatal Traffic Collisions / Major Investigations •SR-74 at Taylor Road (veh vs ped) •SR-74 (Ortega) w/of Decker Canyon (M/C) •N/B I-15 s/of Clinton Keith ( 2 vehicle high speed) •SR-74 w/of Hammack Ave (veh vs ped) This Photo by Unknown Author is licensed under CC BY-NC-ND This Photo by Unknown Author is licensed under CC BY-SA California Highway Patrol Temecula Area Report for March 2022 This Photo by Unknown Author is licensed under CC BY-SA Services Provided •3 Age Well Drive Smart presentations •1 Teen Distracted Driver presentation •1 Adult Distracted Driver presentation •8 Child Safety Seat installations This Photo by Unknown Author is licensed under CC BY-SA-NC Enforcement Activity •Citations Issued –650 •Total Enforcement Contacts – 1220 •March 14th SEU 18 total citations on I-15 during the detail •May 9th will be next SEU from San Diego to Riverside This Photo by Unknown Author is licensed under CC BY-SA Driving Under the Influence •Monthly Arrests –44 (20 DUI t/c’s) •Monthly Drug DUI arrests – This Photo by Unknown Author is licensed under CC BY ND Traffic Collisions •Non-Injury –77 •Injury –50 •Fatal –2 •Fatal Year to Date –10 •Total Collisions –129 Fatal Traffic Collisions / Major Investigations •Ortega Highway east of South Main Divide (Motorcycle vs Van) •Sage Road north of Tyler Street (solo motorcycle) This Photo by Unknown Author is licensed under CC BY-NC-ND This Photo by Unknown Author is licensed under CC BY-SA City of Temecula Fire Department Incident Type Commercial Fire 0 False Alarms 76 Haz Mat 2 Medical 569 Multi-Fam 2 Other Fire 9 Other Misc 7 Public Assist 33 Residential Fire 3 Rescue 5 Ringing Alarm 1 Standby 7 Traffic Collision 78 Wildland/Vehicle Fire 5 Total 795 Temecula Fire Department Service Calls February 2022 City of Temecula Fire Department Temecula Fire Department Plan Review and Inspections February 2022 Plan Review and Inspections February Year to Date Plan Review 426 961 Construction Inspections 468 742 Annual Inspections 675 969 Counter/Public Inquiries 29 61 City of Temecula Fire Department Incident Type Commercial Fire 1 False Alarms 69 Haz Mat 2 Medical 627 Multi-Fam 0 Other Fire 6 Other Misc 11 Public Assist 30 Residential Fire 2 Rescue 3 Ringing Alarm 0 Standby 7 Traffic Collision 75 Wildland/Vehicle Fire 2 Total 835 Temecula Fire Department Service Calls March 2022 City of Temecula Fire Department Temecula Fire Department Plan Review and Inspections March 2022 Plan Review and Inspections March Year to Date Plan Review 467 1428 Construction Inspections 274 1376 Annual Inspections 294 1994 Counter/Public Inquiries 32 92 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report Temecula Traffic Incidents, Activities and Events Report for the month of February 2022 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report Total Hazardous Citations 542 Total Non-Hazardous Citations 189 (Seatbelt cites included) 14 (Cell phone cites included) 88 Parking Citations 77 Total Citations Issued 808 Written Warnings Issued 67 City Funded Targeted Enforcement (S.L.A.P. Cite included) 28 (Commercial Enforcement Cites included) 25 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report D.U.I. Arrests 43 D.U.I. Arrests YTD 80 D.U.I. YTD Previous Year (2021) 63 OTS/City Funded Special Operations DUI Checkpoints 0 Know Your Limit Campaign 0 DUI Sweep 3 Targeted Traffic Enforcement Saturation 0 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report 2021-2022 – Citations / Incidents Dec Jan Feb 3 Month Total Citations Issued for Hazardous Violations (Moving Viol.) 471 837 542 1850 Non-Hazardous Citations 237 155 189 581 “Click It or Ticket” and/or Seatbelt Violations 4 31 14 49 Distracted Driver (Cell Phone Use) 50 110 88 248 Parking Citations 101 89 77 267 Written Warning Citations 173 196 67 436 Stop Light Abuse / Intersection Program (SLAP) Red Light 41 93 28 162 Commercial Enforcement Cites 34 16 25 75 Injury Collisions 30 27 26 83 DUI Arrests 39 37 43 119 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula/Southwest Station Uniform Crime Report (February 2022) Jurisdiction Violent Crime Homicide Sexual Assault Robbery Aggravated Assault Property Crime Burglary Vehicle Theft Larceny/ Theft Arson Total Pt 1 Crimes Southwest 3 0 0 1 2 63 12 12 39 0 66 Violent Crime = homicide, sexual assault, robbery, aggravated assault totals combined Property Crime = burglary, vehicle theft, larceny-theft totals combined Temecula 14 1 1 8 4 0 25 24 160 0 223 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report Temecula Traffic Incidents, Activities and Events Report for the month of March 2022 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report Citation Totals Total Hazardous Citations 877 Total Non-Hazardous Citations 191 Seatbelt Citations (Included) 18 Cell phone Citations (Included) 144 Parking Citations 184 Written Warnings Issued (Included) 166 Total Citations Issued 1252 City Funded Targeted Enforcement S.L.A.P. Citations (Included) 143 Commercial Enforcement Citations (Included) 44 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report D.U.I. Arrests 36 D.U.I. Arrests YTD 116 D.U.I. YTD Previous Year (2021) 104 OTS/City Funded Special Operations DUI Checkpoints 0 Know Your Limit Campaign 0 DUI Sweep 1 Targeted Traffic Enforcement Saturation 1 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula Southwest Station Traffic Report 2022 – Citations / Incidents Jan Feb Mar 3 Month Total Citations Issued for Hazardous Citations (Moving Viol.) 837 542 877 2256 Non-Hazardous Citations 155 189 191 535 “Click It or Ticket” and/or Seatbelt Citations 31 14 18 63 Distracted Driver (Cell Phone Use) 110 88 144 342 Parking Citations 89 77 184 350 Written Warnings Issued 196 67 166 429 Stop Light Abuse / Intersection Program (SLAP) Red Light 93 28 143 264 Commercial Enforcement Citations 16 25 44 85 Injury Collisions 27 26 35 88 DUI Arrests 37 43 36 116 Created by: Deputy R. Renick #2840 Southwest Station Traffic Division City of Temecula/Southwest Station Uniform Crime Report (February 2022) Jurisdiction Violent Crime Homicide Sexual Assault Robbery Aggravated Assault Property Crime Burglary Vehicle Theft Larceny/ Theft Arson Total Pt 1 Crimes Southwest 6 0 0 0 6 90 12 15 63 0 96 Violent Crime = homicide, sexual assault, robbery, aggravated assault totals combined Property Crime = burglary, vehicle theft, larceny-theft totals combined Temecula 11 0 0 2 9 192 36 22 134 0 203 MEMORANDUM TO: Pat Thomas, Director of Public Works FROM: Rodney Tidwell, Maintenance Manager DATE: March 1, 2022 SUBJECT: Monthly Activity Report for February 2022 CC: Amer Attar, Engineering Manager, Capital Improvements Ron Moreno, Principal Civil Engineer – Land Development Nick Minicilli, Senior Civil Engineer – Traffic Division Julie Tarrant, Principal Management Analyst – Capital Improvements Anissa Sharp, Office Specialist II – Traffic Division Jenny McConville, Senior Office Specialist – Public Works Tammy Petricka, Office Specialist II – Maintenance Division Attached please find the Monthly Activity Report for the Month of February 2022 The attached spreadsheets detail the maintenance activities and related costs completed by both in-house crews and maintenance contractors. Attachments: Monthly Activity Report Street Maintenance Division Street Maintenance Contractors Detail Report Contracted Maintenance Work Completed Graffiti Removal Chart MEMORANDUM TO: Patrick Thomas, Director of Public Works/City Engineer FROM: Rodney Tidwell, Maintenance Manager DATE: March 1, 2022 SUBJECT: Monthly Activity Report – February 2022 The Street Maintenance Division performed the following activities for the month of February 2022: I. SIGNS A. Total signs replaced 61 B. Total signs installed 38 C. Total signs repaired 0 D. Banners Replaced 142 II. TREES A. Total trees trimmed for sight distance and street sweeping concerns 0 III. ASPHALT REPAIRS A. Total square feet of A. C. repairs 190 B. Total Tons 0 IV. CATCH BASINS A. Total catch basins cleaned 30 B. Down Spouts 0 C. Under sidewalks 0 D. Bowls 0 V. RIGHT-OF-WAY WEED ABATEMENT A. Total square footage for right-of-way abatement 0 VI. GRAFFITI REMOVAL A. Total locations 31 B. Total S.F. 1778 VII. STENCILING A. 89 New and Repainted Legends B. 4234 L.F. of new and repainted red curb and striping C. 0 Bull Nose – L.F. D. 12 Thermal Plastic E. 6 RPMs Installed City Maintenance staff responded to 43 service order requests ranging from weed abatement, tree trimming, sign repair, HVAC failures, litter removal, and catch basin cleanings. This is compared to 73 service order requests for the month of January 2022. City Maintenance staff also responded to 7 service order requests for street light outages and maintenance. This is compared to 11 street light-related service order requests for the month of January 2022. The Maintenance Crew put in 56 hours of overtime, which includes stand-by time, special events and response to street emergencies. The total cost for Street Maintenance performed by external contractors for the month of February 2022 was $ 18,830.00 ; compared to $ 10,342.00 for the month of January 2022. Account No. 5401 $_____9,550.00______ Account No. 5402 $_____9,280.00______ Account No. 999-5401 $__________________ Account No. 999-5402 $__________________ Electronic Copies: Pat Thomas, City Engineer Director of Public Works Amer Attar, Engineering Manager Capital Improvements Ron Moreno, Principal Civil Engineer Land Development Rodney Tidwell, Maintenance Manager Public Works Julie Tarrant, Principal Management Analyst Capital Improvements Nick Minicilli, Senior Civil Engineer Traffic Division Tammy Petricka, Office Specialist II Maintenance Division Anissa Sharp, Office Specialist II Land Development Jenny McConville, Senior Office Specialist Public Works STREET MAINTENANCE CONTRACTORS The following contractors have performed the following projects for the month of February 2022 DATE ACCOUNT STREET/CHANNEL/BRIDGE DESCRIPTION OF WORK TOTAL COST SIZE CONTRACTOR: Rene’s Commercial Management Date: 2-1-2022 # 03-22 Citywide Misc. debris clean-up along city ROW TOTAL COST $1,774.00 Date: 2-28-22 # 06-22 Citywide Weed control of city owned & maintained channels TOTAL COST $9,550.00 CONTRACTOR: Mariposa Tree Management, Inc. Date: 1-31-22 # 2115 Citywide Annual ROW tree trimming TOTAL COST $163.00 Date: 1-31-22 # 2118 Citywide Annual ROW tree trimming TOTAL COST $326.00 Date: 2-28-22 # 2134 Citywide Annual ROW tree trimming TOTAL COST $1,017.00 CONTRACTOR: Strong’s Painting Date: 2-11-22 # Citywide Re-painting of RTA bus benches TOTAL COST $6,000.00 Date: # TOTAL COST TOTAL COST FOR ACCOUNT #5401 $________8,568.00______ TOTAL COST FOR ACCOUNT #5402 $________1,774.00_______ TOTAL COST FOR ACCOUNT #99-5401 $______________________ TOTAL COST FOR ACCOUNT #99-5402 $______________________ DEPARTMENT OF PUBLIC WORKSDate Submitted: March 1, 2022MONTHLY ACTIVITY REPORTSubmitted By: Patrick ThomasPrepared By: Rodney Tidwell3RD QUARTERSCOPE OF WORK Unit CostWORK COMPLETEDCOSTWORK COMPLETEDCOSTWORK COMPLETEDCOSTWORKCOMPLETEDCOSTTOTAL COST FOR LAST FISCAL YEARASPHALT REPAIRS:Square Footage: $3.47 3,01310,455.11$ 190659.30$ -$ 57,50846,668.03$ -$ Tons: 15 0113.5Parking Lot Slurry Seal Square Footage:Gallons:PORTLAND CEMENT CONCRETE:Square Footage: $3.47 0-$ -$ -$ 0-$ -$ PCC Yards:0STENCILING:Red curb & Striping (linear feet): $0.11 151.65$ 4,234465.74$ -$ 12,7284,032.05$ -$ New & Repainted Legends (each): $9.00 1331,197.00$ 89801.00$ -$ 1,12021,015.00$ -$ Bull Noses (each): $0.11 0-$ 0-$ -$ 9,4731,042.03$ -$ Raised Pavement Markers-RPM's (each): 35 645Thermo Plastic Legends (each): 0 1242SIGNS & BANNERSNo. of Signs REPLACED:$28.31 27764.37$ 611,726.91$ -$ 2707,162.43$ -$ Material (cost per sign): $50.001,350.00$ 3,050.00$ -$ 12,650.00$ -$ No. of Signs INSTALLED:$28.31 8226.48$ 381,075.78$ -$ 612,179.87$ -$ Material (cost per sign): $50.00400.00$ 1,900.00$ -$ 3,850.00$ -$ No. of Signs REPAIRED:$28.31 17481.27$ 0-$ -$ 603,312.27$ -$ Material (cost per sign): $50.00850.00$ -$ -$ 5,850.00$ -$ No. of BANNERS installed:$28.31 1063,000.86$ 1424,020.02$ -$ 59814,636.27$ -$ -$ -$ -$ 0-$ -$ GRAFFITI REMOVALNo. of Locations: 27 31162 0Square Footage: 3,399 1,778 11,978 0DRAINAGE FACILITIES CLEANEDCatch Basins: $28.31 256.62$ 30849.30$ -$ 56722,591.38$ -$ Down Drains: $28.31 0-$ 0-$ -$ 4113.24$ -$ Under sidewalk Drains $28.31 0-$ 0-$ -$ 712,010.01$ -$ Detention Basins: $28.31 0-$ 0-$ -$ 0-$ -$ Bridge Deck Drains: $28.31 0-$ 0-$ -$ 0-$ TREES TRIMMEDNo. of Trees Trimmed: $28.31 384.93$ 0-$ -$ 451,868.46$ -$ R.O.W. WEED ABATEMENTArea Abated (square feet): $0.090 0-$ 0-$ 0-$ 2502,102.40$ -$ The Street Maintenance Division also responds to service requests for a variety of other reasons, the total number of Service Order Requests, some of which include work reported above is reported monthly.SERVICE ORDER REQUESTSNo. of SOR's: 73 43411 0Personnel assigned to the Street Maintenance Division are on-call and respond to after hours emergencies or support City sponsored special eventsOvertime Hours: $39.59 62.02,454.58$ 56.02,217.04$ -$ 46823,674.82$ $0.00TOTALS: 6,935.0 21,322.87$ 6,710 16,299.35$ 0 -$ 95,975 174,758.26$ $0.00FISCAL YEAR 2021 - 2022Jan-22 Feb-22 Mar-22 FISCAL YEAR TO DATE MonthNumberof CallsSquareFootageJul 22 1,943Aug 37 2,985Sep 27 1,232Oct 24 1,568Nov 23 2,347Dec 23 943Jan 27 3,399Feb 31 1,778MarAprMayJunTotals 214 16,195CITY OF TEMECULAGRAFFITI REMOVALFISCAL YEAR 2021 - 2022DEPARTMENT OF PUBLIC WORKS STREET MAINTENANCE DIVISION051015202530354005001,0001,5002,0002,5003,0003,5004,000Jul Aug Sep Oct Nov Dec Jan Feb Mar Apr May JunNo. of CallsSquare FeetSquareFootageNumberof Calls