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HomeMy WebLinkAboutR 2025-030RESOLUTION NO. 2025-030 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ARROYO GRANDE APPROVING THE CITY’S 10-YEAR CAPITAL IMPROVEMENT PROGRAM FOR FISCAL YEAR 2025-26 THROUGH FISCAL YEAR 2034-35 WHEREAS, the 10-Year Capital Improvement Program (CIP) is an important financial planning process and document for the City of Arroyo Grande; and WHEREAS, the 10-Year CIP is updated biennially along with the City’s biennial budget process and is subject to change as the City’s needs become more defined and individual projects move along in their respective planning and budgeting processes; and WHEREAS, the 10-Year CIP is consistent with the FY 2025-26 and FY 2026-27 Budgets and the City’s General Plan, and includes all the various capital projects that staff has identified through a thorough development process; and WHEREAS, City staff from all Departments put together lists of capital projects, their estimated cost, and an estimated funding source for each project based on certain criteria and objectives; and WHEREAS, total Capital Improvement Program Expenditures for FY 202 5-26 are $20,692,665; and WHEREAS, total Capital Improvement Program Expenditures for FY 2026 -27 are $12,762,600; and NOW, THEREFORE, THE CITY COUNCIL OF THE CITY OF ARROYO GRANDE DOES HEREBY RESOLVE AS FOLLOWS: SECTION 1. The City Council of the City of Arroyo Grande hereby approves the City of Arroyo Grande 10-Year Capital Improvement Plan for FY 2025-26 and FY 2026-27 (Exhibit A). SECTION 2. At the close of each Fiscal Year, unexpended appropriations in the Operating Budget will be carried forward to the next fiscal year as necessary to underwrite the expense of outstanding purchase commitments. Unexpended appropriations for authorized, but uncompleted projects as approved by the City Council may be carried forward to the next succeeding Budget upon recommendation by the Administrative Services Director and approval of the City Manager. SECTION 3. Environmental. Find that the approval of the Resolution is statutorily exempt from the California Environmental Quality Act (CEQA) under State CEQA Guidelines, Section §15061(b)(3), as such approval does not have the potential to result in an effect on the environment. The approval does not commit the City to any of the identified projects in the CIP. Each individual project in the plan will be subject to CEQA review as RESOLUTION NO. 2025-030 PAGE 2 required by law. Secondly, this action constitutes an organizational or administrative activity that will not result in a physical change in the environment and is therefore not subject to CEQA pursuant to Section §15378(b)(5). On motion of Mayor Ray Russom, seconded by Council Member Guthrie, and on the following roll call vote, to wit: AYES: Mayor Ray Russom, Council Members Guthrie and Loe NOES: Council Members Maraviglia and Secrest ABSENT: None the foregoing Resolution was passed and adopted this 13th day of May, 2025. CAREN RAY RUSSOM, MAYOR ATTEST: JESSICA MATSON, CITY CLERK APPROVED AS TO CONTENT: MATTHEW DOWNING, CITY MANAGER APPROVED AS TO FORM: ISAAC ROSEN, CITY ATTORNEY RESOLUTION NO. 2025-030 PAGE 3 Exhibit A Capital Improvement Program OVERVIEW This Capital Improvement Program (CIP) 10-Year plan outlines anticipated City infrastructure improvements for fiscal years (FY) 2025-26 through FY 2034-35 and serves as a public information document, approved by the City Council, to advise residents and property owners on how the City plans to address significant capital needs. It contains information about the scope, location and funding for these projects. Each year, the overall goal for capital improvements and the means for accomplishing them are assessed. Every project in the plan has been considered for its financial feasibility, public safety, state and federal compliance, environmental impact, conformance to previously adopted plans, priorities established from the City Council, and ability to meet public needs. The FY 2025-26 through FY 2034-35 CIP totals $138,128,065. It is a flexible plan that can be altered as conditions, funding, priorities and regulations change. The Capital Improvement Program (CIP) represents a 10-Year scheduling plan of public infrastructure improvements and expansion, with many of it largely based on previously adopted master plans such as the Wastewater and Water Master Plans. The CIP is divided into nine categories – Bridges, Drainage, Parks & Play Structures, Public Facilities, Sewer, Sidewalks, Streets and Transportation, Technology, and Water. The benefits of adopting a Capital Improvements Plan are that it: •Preserves and improves the infrastructure of Arroyo Grande through capital asset construction, rehabilitation, and maintenance, •Maximizes the useful life of capital investments by scheduling major renovations and modifications at the appropriate time in the life cycle of the facility; •Improves coordination and scheduling of public improvements that require more than one year to complete, •Provides an opportunity for long-range financial planning and management, and •Offers an opportunity for residents and the community to participate in decisions that impact their quality of life. With growing demands for project expenditures and a limited amount of revenues available, it has become increasingly difficult to predict the availability of future funding for capital projects. As the population in Arroyo Grande continues to grow, so do the demands on City services. It is imperative that the City formulate and organize the use of our limited dollars wisely to complete this plan and ultimately benefit all citizens of Arroyo Grande. CAPITAL PROJECT DEFINITION Capital projects are typically projects that lead to the acquisition, construction, improvement, or extension of the useful life of capital assets. Capital assets include but are not limited to land, facilities, buildings, parks, playground equipment, streets, sidewalks, bridges, water, wastewater and storm drain infrastructure, technology systems Exhibit A Capital Improvement Program and equipment, traffic control devices, and many other items that deliver a public benefit for a prolonged period of time. Capital expenditures and operating expenditures are primarily differentiated by two characteristics: the dollar amount of the expenditure and the useful life of the asset acquired, constructed, or maintained. Capital expenditures typically enhance, acquire or extend the useful life of assets through a variety of activities. Activities that are associated with capital projects include: land acquisition, feasibility and design studies, planning, design, construction, rehabilitation, enterprise technology acquisition, and project Implementation. In general, capital projects in the CIP: •Have a total project cost in the range of $25,000 or more, •Consist of construction, renovation, rehabilitation, conversion or demolition of infrastructure or facilities; and •Have a minimum useful life of three years, significantly extend the useful life of a capital asset, or significantly alter the nature, character, or use of an asset. PLANNING PROCESS Public Works serves as the lead Department for developing the Adopted FY 2025-26 and FY 2026-27 CIP Program and Budget. Public Works, in conjunction with other Departments, reviewed the City’s capital needs and prioritized project submittals based on established criteria outlined below. Departments submit projects for funding consideration with a priority ranking, and the Public Works Department, Administrative Services Department, and City Manager review and evaluate submittals. Project submittals are also evaluated within the context of available funding limits to ensure that the limited resources available fund priority projects, while at the same time, maintain the City’s existing infrastructure and minimize future replacement costs. The following criteria are taken into consideration: •The ability of the project to meet health, safety, and legal concerns and mandates, •The value of the project to prolong the life of City assets or avoid/minimize future repair costs, •The benefit the project will provide the community is in support of the goals articulated in the Council Goals, •The potential for the project to generate savings or increase productivity, and •The extent to which the project will secure future funds through program planning or grant eligibility. PROPOSED PLAN The FY 2025-26 through FY 2034-35 CIP totals $138,128,065. The City completed 12 projects in the previous fiscal year. Completed projects no longer to be shown in the CIP, and New Projects, are listed below: Completed projects: •Public Safety Video Cameras (Phase 1) Exhibit A Capital Improvement Program • Swinging Bridge Rehabilitation • Lift Station 3 – upgraded piping protection • Replacement of Emergency Back-up Generator at Fire Station 1 • Phased Water Main Replacement – Highway 101 Crossing, El Camino Real to West Branch Street • Trenchless Sewer Rehabilitation -El Camino Real to West Branch St. • Fire Station 1 Apparatus Bay Doors • 191 Tally Ho - removal of bump out – Right of Way Acquisition, retaining wall and street repair • Public Works Office Space Remodel • Galvanized Service Replacements – upgrade to PVC water service • 2024 Streets Repairs – 5.2 miles of street repairs and 9 ADA curb ramp upgrades • Cornwall Waterline Replacement New Projects in FY 2025-26: • Traffic Way Bridge replacement habitat mitigation • Watershed Management Plan and Stormwater Master Plan • Soto Basin #2 Reservoir Liner Repair • Replace Beach Volleyball Court at Rancho Grande Park • Fire Station 1 HVAC Unit Replacement • Fire Station 1 Front Lobby Security • City Structures Roof Repairs (City Hall Roof, Balcony & Southern & Western Siding, Old City Hall, Council Chambers, Elm St. Restroom, PD, Women's Club, Fire) • Old City Hall Building Repairs • Facilities Safety/ADA Improvements • Master Plan incl. ADA Access (Community Center, Elm St. Park, Soto Sports Complex, Don Roberts Field, Corp Yard) & Community Survey • E. Grand (Halcyon to Elm) Economic Development Master Plan • Replacement of Traffic Guardrails • Huasna Road, Corbett Canyon and E. Brach Street Intersection Roundabout • Public Safety Camera System - Phase 2 • Virtual Server Farm at City Hall and PD, and Nimble Network Storage • Update IT Firewall at City Hall • Digital Community Bulletin Board Project • Software for Public Safety Camera System to allow Traffic Count Data • Reservoir No. 5 Redundancy Water Interconnect (Los Ciervos to Andre Dr.) • Water Main and Service Replacement related to PMP Projects – underground water utility work that needs to be completed in advance of paving to reduce potential for the need to cut into brand-new pavement. Exhibit A Capital Improvement Program These capital projects represent the vision for short- and long-range development, maintenance, improvement, and building of new infrastructure and facilities to benefit residents, businesses, property owners, City service operations, and visitors. Because the Plan addresses several years of projects, it will serve as a guidance document and must be adjustable to changes and therefore the capital projects included in the Plan are not guaranteed to be delivered. If priorities change, emergent needs arise, or funding sources evolve, capital projects may be added, modified in scope, or eliminated. Table 1 depicts the proposed annual appropriations for the 10-Year period in each of the major project category, which are primarily major maintenance activities on City infrastructure. The largest categories of projects are for the Streets and Transportation, which includes the Pavement Management Program, followed by Water projects, including Water Main and Service Replacement and the Advanced Metering Infrastructure projects. This is followed by $10.7 million for bridge replacement projects, $9.1 million for public facilities, $5.8 million for Sewer projects, $5 million for sidewalks, $4.6 million for parks & play structures, $2.6 million for drainage, and $825,000 for technology projects. It should be noted that the types of projects are based on the best fit and may cover multiple project types. Table 1 lists the types of projects and their total amounts by fiscal year for FY 2025-26 through FY 2034-35. Table 1 is followed by Chart 1 illustrating the types of projects over the entire 10-Year CIP. Exhibit A Capital Improvement Program Table 1: FY 2025-26 through FY 2034-35 Capital Improvement Projects by Project Type Category FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total Bridge 6,522,159$ 50,000$ 50,000$ 50,000$ 50,000$ -$ -$ -$ 3,900,000$ 60,000$ 10,682,159$ Drainage 500,000 374,000 470,000 70,000 400,000 - 400,000 - 400,000 - 2,614,000 Parks & Play Structures 225,000 580,000 40,000 - 100,000 910,000 500,000 800,000 800,000 600,000 4,555,000 Public Facilities 1,017,000 1,050,000 3,075,000 3,400,000 290,000 260,000 - - - - 9,092,000 Sewer - 332,000 864,400 250,000 950,000 129,000 600,000 1,554,000 - 1,100,000 5,779,400 Sidewalks 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 5,000,000 Streets and Transportation 10,853,506 8,641,600 6,683,300 12,404,600 6,045,800 10,754,500 7,911,500 5,708,800 5,406,500 9,781,400 84,191,506 Technology 275,000 350,000 - - - - - 200,000 - - 825,000 Water 800,000 885,000 500,000 1,030,000 719,000 1,500,000 993,000 62,000 6,265,000 2,635,000 15,389,000 20,692,665$ 12,762,600$ 12,182,700$ 17,704,600$ 9,054,800$ 14,053,500$ 10,904,500$ 8,824,800$ 17,271,500$ 14,676,400$ 138,128,065$ Exhibit A Capital Improvement Program Chart 1: FY 2025-26 through FY 2034-35 Capital Improvement Projects by Project Type Exhibit A Capital Improvement Program Capital projects will be scheduled throughout the 10-Year plan; only projects with activity scheduled during the first two year’s (FY 2025-26 and FY 2026-27) are adopted as part of the City’s Biennial Budget process. Projects slated for subsequent years may be adjusted to reflect changes in priority or funding. Preparation of the CIP is a result of considerable effort from staff in all departments in the City. Each year staff reassesses overall goals for capital improvements, and the means for accomplishing them. FUNDING All funding sources that may be used for various capital improvements are reviewed each year. Much of the work to develop the CIP focuses on the balancing of available resources with the identified capital needs. Consideration must be given to factors such as annual revenue projections from various sources, restrictions on the uses of certain funds, legal limitations on debt capacity, and City policies relative to project funding. There are limited sources of funding available for capital improvements, some sources, such as Development Impact Fees (DIF), have restrictions on their use within broad categories, which are described below. For this reason, outside grants are a significant source of funding for capital projects and are typically needed to advance major capital investments. Internal Sources Measure O-2006 Sales Tax Fund (Fund 120): This fund accounts for the revenues derived from Measure O 2006 Sales Tax, a local 1/2% sales tax approved by the City's voters in November 2006. Measure E-2024 Sales Tax Fund (Fund 140): This fund accounts for the revenues derived from Measure E 2024 Sales Tax, a local 1% sales tax approved by the City's voters in November 2024. Senate Bill 1 (SB1) Fund (Fund 220): On April 28, 2017, the Governor signed SB1, known as the Road Repair and Accountability Act of 2017. SB1 increases gasoline taxes and vehicle registration fees to address deferred maintenance on the State highway system and the local street and road system. These additional taxes are deposited by the State Controller into the Road Maintenance and Rehabilitation Account (RMRA). State COPS Block Grant Fund (Fund 271): This fund accounts for the receipt and use of monies from the State of California restricted to the purchase of police equipment and technology for crime prevention. Sewer Fund (Fund 612): This fund is used to account for maintenance of sewer lines connecting City residents to the South San Luis Obispo County Sanitation District sewer treatment plant. Money is collected from utility bills paid by customers. Water Fund (Fund 640): This fund is used to account for the activities associated with the transmission and distribution of potable water by the City to its users. Money is collected from utility bills paid by customers. In-Lieu Parking Fee Fund (Fund 751): This fund accounts for revenue derived from in-lieu fees charged to businesses when using parking spaces within the Village parking lots. Exhibit A Capital Improvement Program Development Impact Fee (DIF) Sources Fire Facilities DIF (Fund 210): This fund accounts for impact fees collected from developers for the expansion of the existing fire station in order to serve future development. Police Facilities DIF (Fund 212): This fund accounts for impact fees collected from developers for the expansion of the existing police facility in order to serve future development Park Facilities DIF (Fund 213): This fund accounts for the receipts of park-in-lieu fees (Quimby) and grant revenues that are used for construction, park acquisition, and development of park facilities. Park Improvement DIF (Fund 214): Impact fees collected from developers for park improvements are to be used to maintain the adopted level of service for neighborhood and community parks of 4.0 acres per thousand population. This fund accounts for the receipt and use of these monies. Recreation Facilities DIF (Fund 215): This fund accounts for impact fees collected from developers and used for recreation facilities in order to maintain the adopted level of service of recreation/community center facilities of 542 square feet per thousand population. Traffic Signalization DIF (Fund 222): This fund accounts for traffic signalization assessment levied against developments for the future cost of traffic signals. Transportation Facilities DIF (Fund 224): This fund accounts for transportation facilities fees paid to protect the public health, safety, and welfare by maintaining the existing level of public services for existing and future residents within the City. Storm Drain Facilities DIF (Fund 231): This fund accounts for impact fees paid by development and are restricted to improving storm drains within the City. Sewer Facility DIF (Fund 634): This fund is used to account for the accumulation of sewer facility revenues to be used in capital improvement projects in the City. Money is collected from development to offset the impacts new development has on the sewer collection system. Water Facility DIF (Fund 642): This fund is used to account for the accumulation of water facility revenues to be used in capital improvement projects in the City. Money is collected from development to offset the impacts new development has on the water distribution system. Other CIP Funding Sources The City continues to aggressively seek grants for a wide variety of needs. While by their nature, these grants are only available for specific projects and purposes, and are often cyclical and competitive, they represent a significant addition to local funds. Grants are the most viable source to fund new improvements and allow internal funds to be kept available for existing assets. Internal funds are also necessary for leverage and matching fund requirements of grants. Exhibit A Capital Improvement Program Arroyo Grande receives a significant amount of funding from outside sources. These include grants received from the Active Transportation Program (ATP), Community Development Block Grant (CDBG), Highway Bridge Program (HBP), Safe Routes to School (SR2S), and Safe Streets and Roads for All (SS4A). Outside grants fund a wide array of projects, including parks, recreational facilities, bicycle and pedestrian facility improvements, bridge reconstruction and retrofits, and transportation and safety projects. Staff continue to seek grants whenever projects are competitive and meet the City’s need to address unfunded priorities. The FY 2025-26 through FY 2034-35 Capital Improvement Plan has 23 funding sources. The total estimated cost of all projects included in the 10-Year plan, is $138,128,065. A summary of the costs by funding source is summarized below. This table is followed by a pie chart illustrating the percentage of each funding source supporting the entire 10-Year CIP plan. Exhibit A Capital Improvement Program Table 2: FY 2025-26 through FY 2034-35 Capital Improvement Projects by Funding Source Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total Active Transportation Program (ATP)3,200,500$ -$ -$ -$ -$ -$ -$ -$ -$ -$ 3,200,500$ Community Development Block Grant (CDBG)80,866 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 530,866 Fire Facilities DIF - - - 150,000 - - - - - - 150,000 Highway Bridge Program (HBP)5,673,679 44,265 44,265 44,265 44,265 - - - - - 5,850,739 In-Lieu Parking Fee - 144,000 - - - - - - - - 144,000 Measure E-24 Sales Tax 5,952,640 5,846,200 5,699,000 6,929,000 5,954,400 8,571,900 7,562,200 5,567,300 8,247,300 9,603,900 69,933,840 Measure O-06 Sales Tax 3,045,480 2,021,235 1,493,235 1,058,235 793,235 1,145,000 1,115,000 400,000 2,090,000 660,000 13,821,420 Other Gov Agencies - 150,000 2,250,000 2,250,000 - - - - - - 4,650,000 Park Improvement 20,000 50,000 - - - - - - - - 70,000 Park Facilities DIF - 310,000 - - - 100,000 - 600,000 - - 1,010,000 Police Facilities DIF - 25,000 25,000 - - - - - - - 50,000 Recreation Facilities DIF - - 15,000 15,000 - - - - - - 30,000 Safe Routes to School (SR2S)- - - - - 2,000,000 - - - - 2,000,000 Safe Streets and Roads for All (SS4A)- 200,000 640,000 5,400,000 - - - - - - 6,240,000 Senate Bill 1 (SB1)481,000 495,400 510,300 525,600 541,400 557,600 574,300 591,500 609,200 627,500 5,513,800 Sewer Facility DIF - 138,744 432,200 - 475,000 - 300,000 - - 850,000 2,195,944 Sewer Fund - 193,256 432,200 250,000 475,000 129,000 300,000 1,554,000 - 250,000 3,583,456 State COPS Block Grant Fund 200,000 125,000 - - - - - - - - 325,000 Storm Drain Facilities DIF - 12,500 7,500 2,500 2,500 - 10,000 - 10,000 - 45,000 Traffic Signalization DIF - - 84,000 - - - - - - - 84,000 Transportation Facilities DIF 1,238,500 2,072,000 - - - - - - - - 3,310,500 Water Facility DIF 401,100 191,955 - 150,000 - - 744,800 - 292,500 - 1,780,355 Water Fund 398,900 693,045 500,000 880,000 719,000 1,500,000 248,200 62,000 5,972,500 2,635,000 13,608,645 Total 20,692,665$ 12,762,600$ 12,182,700$ 17,704,600$ 9,054,800$ 14,053,500$ 10,904,500$ 8,824,800$ 17,271,500$ 14,676,400$ 138,128,065$ Exhibit A Capital Improvement Program Chart 2: FY 2025-26 through FY 2034-35 Capital Improvement Projects by Funding Source The following pages provide summary information for each project with proposed funding during the ten-year period, as well as an overall summary of all projects. The final section breaks down each fiscal years projects. 10-Year Summary by Project Type Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total BRIDGE PROJECTS Bridge Street Bridge Habitat Mitigation 4487 - HBP 48,628 - - - - - - - - - 48,628 Traffic Way Bridge Replacement 4487 - HBP 5,580,786 - - - - - - - - - 4950 - Measure O-2006 Sales Tax 792,745 - - - - - - - - - 4950 - Sales Tax - Outreach 50,000 - - - - - - - - - 6,423,531 Traffic Way Bridge replacement habitat mitigation 4487 - HBP 44,265 44,265 44,265 44,265 44,265 - - - - - 4950 - Measure O-2006 Sales Tax 5,735 5,735 5,735 5,735 5,735 - - - - - 250,000 Mason Street Bridge 4960 - Measure E-2024 Sales Tax - - - - - - - - 3,000,000 - - 4950 - Measure O-2006 Sales Tax - - - - - - - - 900,000 - 3,900,000 Fair Oaks Bridge Coating 4950 - Measure O-2006 Sales Tax - - - - - - - - - 60,000 60,000 TOTAL BRIDGE PROJECTS 6,522,159 50,000 50,000 50,000 50,000 - - - 3,900,000 60,000 10,682,159 Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total DRAINAGE PROJECTS Watershed Management Plan and Stormwater Master Plan 4950 - Measure O-2006 Sales Tax 500,000 - - - - - - - - - 500,000 Corrugated Metal Pipe (CMP) Investigation and Repair 4950 - Measure O-2006 Sales Tax - 290,000 397,500 - 397,500 - 390,000 - 390,000 - 4924 - Storm Drain Facilities DIF - 10,000 2,500 - 2,500 - 10,000 - 10,000 - 1,900,000 Trash Amendments Compliance 4950 - Measure O-2006 Sales Tax - 71,500 65,000 67,500 - - - - - - 4924 - Storm Drain Facilities DIF - 2,500 5,000 2,500 - - - - - - 214,000 TOTAL DRAINAGE PROJECTS 500,000 374,000 470,000 70,000 400,000 - 400,000 - 400,000 - 2,614,000 Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total PARKS & PLAY STRUCTURES PROJECTS Soto Basin #2 Reservoir Liner Repair 4950 - Measure O-2006 Sales Tax 200,000 - - - - - - - - - 200,000 Replace Beach Volleyball Court at Rancho Grande Park 4950 - Measure O-2006 Sales Tax 25,000 - - - - - - - - - 25,000 ADA Bathrooms Elm Street Park 4950 - Measure O-2006 Sales Tax - 175,000 - - - - - - - - - 4921 - Park Facilities DIF - 175,000 - - - - - - - - 350,000 Foot Bridge & Kiosk at Entrance of James Way Open Space 4914 - Park Improvement - 50,000 - - - - - - - - 50,000 Short Street Plaza Design 4921 - Park Facilities DIF - 135,000 - - - - - 600,000 - - 4950 - Measure O-2006 Sales Tax - 45,000 - - - - - 200,000 - - 980,000 Rotary Bandstand (Termite Treatment, Repairs, Camera) 4950 - Measure O-2006 Sales Tax - - 40,000 - - - - - - - 40,000 Soto Sports Complex LED Lighting 4950 - Measure O-2006 Sales Tax - - - - 100,000 - - - - - 100,000 Don Roberts Scoring Shed at 4950 - Measure O-2006 Sales Tax - - - - - 10,000 - - - - 10,000 Rancho Grande Playground Replacement 4950 - Measure O-2006 Sales Tax - - - - - 800,000 - - - - 800,000 Pump Track/Skate Park 4921 - Park Facilities DIF - - - - - 100,000 - - - - 100,000 Strother Park Playground Equipment Replacement (Small) 4950 - Measure O-2006 Sales Tax - - - - - - 250,000 - - - 250,000 Oro Park Playground Equipment 4950 - Measure O-2006 Sales Tax - - - - - - 250,000 - - - 250,000 Soto Sports Complex ADA Access Trails, Circulation, Irrigation 4950 - Measure O-2006 Sales Tax - - - - - - - - 800,000 - 800,000 Kiwanis Park ADA Access 4950 - Measure O-2006 Sales Tax - - - - - - - - - 350,000 350,000 Heritage Square Park Playground Replacement 4950 - Measure O-2006 Sales Tax - - - - - - - - - 250,000 250,000 TOTAL PARKS & PLAY STRUCTURES PROJECTS 225,000 580,000 40,000 - 100,000 910,000 500,000 800,000 800,000 600,000 4,555,000 10-Year Summary by Project Type Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total PUBLIC FACILITIES PROJECTS Fire Station 1 HVAC Unit Replacement 4950 - Measure O-2006 Sales Tax 100,000 - - - - - - - - - 100,000 Fire Station 1 Front Lobby Security 4950 - Measure O-2006 Sales Tax 22,000 - - - - - - - - - 22,000 City Structures Roof Repairs (City Hall Roof, Balcony & Southern & W estern Siding, Old City Hall, Council Chambers, Elm St. Restroom, PD, Women's Club, Fire) 4950 - Measure O-2006 Sales Tax 350,000 - - - - - - - - - 4914 - Park Improvement 20,000 - - - - - - - - - 370,000 Old City Hall Building Repairs 4950 - Measure O-2006 Sales Tax 100,000 - - - - - - - - - 100,000 ADA Improvements 4950 - Measure O-2006 Sales Tax 75,000 - - - - - - - - - 75,000 Safety Security 4950 - Measure O-2006 Sales Tax 25,000 - - - - - - - - - 25,000 Master Plan incl. ADA Access (Community Center, Elm St. Park, Soto Sports Complex, Don Roberts 4950 - Measure O-2006 Sales Tax 275,000 - - - - - - - - - 275,000 EV Infrastructure Master Plan 4499 - Other Gov Agencies - 150,000 - - - - - - - - 150,000 City Facility Access Control Upgrades (PW, Parks, Chambers, Fire, PD) 4950 - Measure O-2006 Sales Tax - 100,000 - - - - - - - - 100,000 City Council Chambers Remodel 4950 - Measure O-2006 Sales Tax 50,000 200,000 - - - - - - - - 250,000 Recreation Services / Community Center Building 4950 - Measure O-2006 Sales Tax - 600,000 735,000 735,000 - - - - - - 4906 - Recreation Facilities DIF - - 15,000 15,000 - - - - - - 4499 - Other Gov Agencies - - 2,250,000 2,250,000 - - - - - - 6,600,000 Property and Evidence Storage 4955 - Police Facilities DIF - - 25,000 - - - - - - - 25,000 City Hall Remodel of Work Spaces and Security Glass 4950 - Measure O-2006 Sales Tax - - 50,000 100,000 100,000 - - - - - 250,000 Fire Station 1 Expansion & Reconfiguration of the Sleeping Quarters 4950 - Measure O-2006 Sales Tax - - - 150,000 - - - - - - 4912 - Fire Facilities DIF - - - 150,000 - - - - - - 300,000 Police Station Security Fencing 4950 - Measure O-2006 Sales Tax - - - - 40,000 - - - - - 40,000 City Facility Flooring (Fire Station 1, City Hall, Corp Yard, PD) 4950 - Measure O-2006 Sales Tax - - - - 150,000 - - - - - 150,000 Corporation Yard Renovations 4950 - Measure O-2006 Sales Tax - - - - - 260,000 - - - - 260,000 TOTAL PUBLIC FACILITIES PROJECTS 1,017,000 1,050,000 3,075,000 3,400,000 290,000 260,000 - - - - 9,092,000 Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total SEWER PROJECTS Trenchless Sewer Rehabilitation - Pilgrim Way, Orchard Avenue, W est Cherry Avenue and California Street 4930 - Sewer Fund - 143,256 - - - - - - - - 4931 - Sewer Facility - 138,744 - - - - - - - - 282,000 Lift Station #3 - Creek Bank Analysis and Generator w/Automatic Switchover 4930 - Sewer Fund - 50,000 - - - 129,000 - - - - 179,000 Trenchless Sewer Rehabilitation - Alder and Cameron Court to 4930 - Sewer Fund - - 432,200 - - - - - - - 4931 - Sewer Facility - - 432,200 - - - - - - - 864,400 Maintenance Hole Rehabilitation 4930 - Sewer Fund - - - 250,000 - - - - - 250,000 500,000 Trenchless Sewer Rehabilitation - Beech & Alder backyard easements 4930 - Sewer Fund - - - - 475,000 - - - - - 4931 - Sewer Facility - - - - 475,000 - - - - - 950,000 Trenchless Sewer Rehabilitation - Hillcrest/Sierra backyard easements 4930 - Sewer Fund - - - - - - 300,000 - - - 4931 - Sewer Facility - - - - - - 300,000 - - - 600,000 Clay Pipe CCTV Inspection 4930 - Sewer Fund - - - - - - - 1,554,000 - - 1,554,000 Huasna Road Sewer Upgrade 4931 - Sewer Facility - - - - - - - - - 850,000 850,000 TOTAL SEWER PROJECTS - 332,000 864,400 250,000 950,000 129,000 600,000 1,554,000 - 1,100,000 5,779,400 10-Year Summary by Project Type Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total SIDEWALK PROJECTS Sidewalk Repairs and Improvements 4960 - Measure E-2024 Sales Tax 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 5,000,000 TOTAL SIDEWALK PROJECTS 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 500,000 5,000,000 Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total STREETS & TRANSPORTATION PROJECTS Pavement Management Program 4920 - SB1 481,000 495,400 510,300 525,600 541,400 557,600 574,300 591,500 609,200 627,500 4960 - Measure E-2024 Sales Tax 3,577,640 5,296,200 5,039,000 4,629,000 4,854,400 4,871,900 5,062,200 5,067,300 4,747,300 9,103,900 4463 - CDBG 80,866 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 50,000 58,293,506 Halcyon Road Complete Streets 4960 - Measure E-2024 Sales Tax 1,875,000 - - - - - - - - - 4926 - Transportation Facilities DIF 788,500 - - - - - - - - - 4423 - Active Transportation Program (ATP)3,200,500 - - - - - - - - - 5,864,000 E. Grand (Halcyon to Elm) Economic Development Master Plan 4950 - Measure O-2006 Sales Tax 250,000 - - - - - - - - - 250,000 Replacement of Traffic Guardrails 4950 - Measure O-2006 Sales Tax 200,000 - 200,000 - - - - - - - 400,000 Le Point Street Parking Lot 4950 - Measure O-2006 Sales Tax - 6,000 - - - - - - - - 49XX - In-Lieu Parking Fee - 144,000 - - - - - - - - 150,000 Traffic Way Corridor Plan 4926 - Transportation Facilities DIF - 472,000 - - - - - - - - 4950 - Measure O-2006 Sales Tax - 328,000 - - - - - - - - 800,000 Huasna Road, Corbett Canyon, and E. Branch Street Intersection Roundabout 4926 - Transportation Facilities DIF 400,000 1,600,000 - - - - - - - - 2,000,000 East Grand Streetscape Planning and Construction 44XX - Safe Streets for All - 200,000 640,000 5,400,000 - - - - - - 4960 - Measure E-2024 Sales Tax - 50,000 160,000 1,800,000 - - - - - - 4950 - Measure O-2006 Sales Tax - - - - - - - - - - 8,250,000 Opt-com preemptive devices on traffic signals within City Limits 4922 - Traffic Signalization - - 84,000 - - - - - - - 84,000 Branch Mill Road Slope Stabilization 4960 - Measure E-2024 Sales Tax - - - - 600,000 3,000,000 - - - - 3,600,000 Fair Oaks Ave Active Transportation Improvements, Valley Road to Traffic 4950 - Measure O-2006 Sales Tax - - - - - 75,000 225,000 - - - 300,000 Harden Street Slope Stabilization 4960 - Measure E-2024 Sales Tax - - - - - 200,000 - - - - 200,000 Safe Routes to School - Newport Slope Stabilization 44XX - SR2S - - - - - 2,000,000 - - - - 2,000,000 Connectivity from Branch (Coach) 4960 - Measure E-2024 Sales Tax - - - - - - 2,000,000 - - - 2,000,000 TOTAL STREETS & TRANSPORTATION PROJECTS 10,853,506 8,641,600 6,683,300 12,404,600 6,045,800 10,754,500 7,911,500 5,708,800 5,406,500 9,781,400 84,191,506 Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total TECHNOLOGY PROJECTS Public Safety Camera System - Phase 2 4929 - COPS 200,000 - - - - - - - - - 200,000 Digital Community Bulletin Board Project 4950 - Measure O-2006 Sales Tax 25,000 - - - - - - - - - 25,000 Software for Public Safety Camera System to allow Traffic Counts 4926 - Transportation Facilities DIF 50,000 - - - - - - - - - 50,000 Virtual Server Farm at City Hall and PD, and Nimble Network Storage 4950 - Measure O-2006 Sales Tax - 160,000 - - - - - - - - 160,000 Firewall at City Hall 4950 - Measure O-2006 Sales Tax 40,000 - - - - - - - 40,000 Report Management System (RMS) Upgrade at PD 4929 - COPS - 125,000 - - - - - - - - 4955 - Police Facilities DIF - 25,000 - - - - - - - - 150,000 Generator at City Hall 4950 - Measure O-2006 Sales Tax - - - - - - - 200,000 - - 200,000 TOTAL TECHNOLOGY PROJECTS 275,000 350,000 - - - - - 200,000 - - 825,000 10-Year Summary by Project Type Request Title Funding Source FY 2025-26 FY 2026-27 FY 2027-28 FY 2028-29 FY 2029-30 FY 2030-31 FY 2031-32 FY 2032-33 FY 2033-34 FY 2034-35 10 Year Total Water Well #11 Facilities 4943 - Water Availability - - - - - - - - - - Reservoir No. 5 Redundancy Interconnect (Los Ciervos to Andre 4940 - Water Fund 100,000 - - - - - - - - - 100,000 Water Main and Service 4940 - Water Fund 298,900 - - - - - - - - - 4942 - Water Facility 401,100 - - - - - - - - - 700,000 Phased Main Replacement - Highway 101 Crossing Upgrade, El Camino Real to West Branch Street 4940 - Water Fund - 143,045 - - - - - - - - 4942 - Water Facility - 191,955 335,000 Reservoir No. 4 Exterior Coating 4940 - Water Fund - 550,000 - - - - - - - - 550,000 Reservoir No. 5 Booster 4940 - Water Fund - - 500,000 - - - - - - - 500,000 Miller Way Booster Zone Upgrade 4940 - Water Fund - - - 150,000 - - - - - - 4942 - Water Facility - - - 150,000 - - - - - - 300,000 Reservoir No. 5 Cleaning and Interior Coating 4940 - Water Fund - - - 730,000 - - - - - - 730,000 Alpine Crossing, Bennett and Bell 4940 - Water Fund - - - - 719,000 - - - - - 719,000 AMI - Advanced Metering 4940 - Water Fund - - - - - 1,500,000 - - - - 1,500,000 Lierly Lane to Coach Road Upgrade 4940 - Water Fund - - - - - - 105,000 - - - 4942 - Water Facility - - - - - - 315,000 - - - 420,000 Phased Main Replacement - Highway 101 Crossing Upgrade, W est Cherry Avenue 4940 - Water Fund - - - - - - 143,200 - - - 4942 - Water Facility - - - - - - 429,800 - - - 573,000 Security Cameras 4940 - Water Fund - - - - - - - 62,000 - - 62,000 Coach Road and Greenwood Drive Upgrades 4940 - Water Fund - - - - - - - - 97,500 - 4942 - Water Facility - - - - - - - - 292,500 - 390,000 4" Mains Upgrades 4940 - Water Fund - - - - - - - - 5,875,000 - 5,875,000 Well #1 Replacement 4940 - Water Fund - - - - - - - - - 2,635,000 2,635,000 TOTAL WATER PROJECTS 800,000 885,000 500,000 1,030,000 719,000 1,500,000 993,000 62,000 6,265,000 2,635,000 15,389,000 Grand Total, All Capital Projects 20,692,665 12,762,600 12,182,700 17,704,600 9,054,800 14,053,500 10,904,500 8,824,800 17,271,500 14,676,400 138,128,065 Projects Budgeted FY 2025-26 Project Number Category Request Title Description of Improvement Funding Source FY 2025-26 350-5614 Bridge Bridge Street Bridge Habitat Mitigation Five year post-construction environmental mitigation and monitoring for the Bridge Street Bridge Rehabilitation project. 4487 - HBP 48,628 4487 - HBP 5,580,786 4950 - Measure O-2006 Sales Tax 792,745 4950 - Sales Tax - Outreach 50,000 4487 - HBP 44,265 4950 - Measure O-2006 Sales Tax 5,735 350-57XX Drainage Watershed Management Plan and Stormwater Master Plan SW Master Plan evaluates infrastructure & practices of SW system for current & future needs; Watershed Mgmt. Plan assesses a watershed including water quality, flood risk, protecting water bodies, etc. Documents to be concurrent. 4950 - Measure O-2006 Sales Tax 500,000 350-57XX Parks & Play Structures Soto Basin #2 Reservoir Liner Repair There is a hole in the liner of Drainage Basin #2 at Soto Park requiring repair. 4950 - Measure O-2006 Sales Tax 200,000 350-55XX Parks & Play Structures Replace Beach Volleyball Court at Rancho Grande Park Existing sand needs to be removed and replaced with appropriate sand for regulation sand volleyball. Net to be replaced. 4950 - Measure O-2006 Sales Tax 25,000 350-54XX Public Facilities Fire Station 1 HVAC Unit Replacement Replace HVAC at Fire Station 1. 4950 - Measure O-2006 Sales Tax 100,000 350-54XX Public Facilities Fire Station 1 Front Lobby Security Add Security inside the Front Lobby of Fire Station 1. 4950 - Measure O-2006 Sales Tax 22,000 4950 - Measure O-2006 Sales Tax 350,000 4914 - Park Improvement 20,000 350-54XX Public Facilities Old City Hall Building Repairs Complete repairs to Old City Hall based on building report assessment. 4950 - Measure O-2006 Sales Tax 100,000 350-5679 350-57XX Design and construction to replace the three lane bridge constructed in 1932 over Arroyo Grande Creek. Five year post-construction environmental mitigation and monitoring for the Traffic Way Bridge Rehabilitation project. Traffic Way Bridge replacement habitat mitigation Bridge Bridge Traffic Way Bridge Replacement Evaluate and repair City building roofs, and repair of balcony and southern/western siding at City Hall. City Structures Roof Repairs (City Hall, Balcony & Southern & Western Siding, Old City Hall, Council Chambers, PD, Women's Club, Fire Station 1) Public Facilities350-54XX Projects Budgeted FY 2025-26 Project Number Category Request Title Description of Improvement Funding Source FY 2025-26 350-54XX Public Facilities ADA Improvements Items identified as part of the ADA Tranisition Plan, such as signs and accessability adjustments 4950 - Measure O-2006 Sales Tax 75,000 350-54XX Public Facilities Safety Improvements Improvements identified through the Risk Management Evaluation and the Workplace Violence Prevention Plan site inventories. 4950 - Measure O-2006 Sales Tax 25,000 350-54XX Public Facilities City Council Chambers Remodel City Hall update including chairs, caucus room, Council dais, update the front to ramps only, update the c lock on the building front. 4950 - Measure O-2006 Sales Tax 50,000 350-55XX Public Facilities Master Plan incl. ADA Access (Community Center, Elm St. Park, Soto Sports Complex, Don Roberts Field, Corp Yard) & Community Survey Master Plan for Elm St., Soto Sports Complex, Don Roberts Field, and the City Corporation Yard to address connectivity, best use, restroom locations, year-round field use, and community survey for community center project. 4950 - Measure O-2006 Sales Tax 275,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 481,000 4960 - Measure E-2024 Sales Tax 3,577,640 4463 - CDBG 80,866 Streets & Transportation 350-5638 The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Pavement Management Program Projects Budgeted FY 2025-26 Project Number Category Request Title Description of Improvement Funding Source FY 2025-26 4960 - Measure E-2024 Sales Tax 1,875,000 4926 - Transportation Facilities DIF 788,500 4423 - Active Transportation Program (ATP) 3,200,500 350-54XX Streets and Transportation E. Grand (Halcyon to Elm) Economic Development Master Plan Develop a comprehensive corridor plan that considers the needs and goals of multimodal users, residents, businesses, and City leaders for East Grand Avenue with a focus on the section from Halcyon Road to Elm Street. Objectives include economic enhancement and vitality, safety, providing distinct nodes/gateways/districts, functionality, and beautification. 4950 - Measure O-2006 Sales Tax 250,000 350-56XX Streets & Transportation Replacement of Traffic Guardrails Replacement of damaged guardrails. 4950 - Measure O-2006 Sales Tax 200,000 350-56XX Streets & Transportation Huasna Road, Corbett Canyon, and E. Branch Street Intersection Roundabout One of the major circulation improvements identified in the Circulation Element was on East Branch Street at Huasna Road/Corbett Canyon Road adding a new roundabout to help improve the flow of traffic. 4926 - Transportation Facilities DIF 400,000 The project consists of Complete Streets improvements along 1.7 Miles of Halcyon Road from US 101 to The Pike. The project narrow vehicle driving lanes, add buffered bike lanes with green conflict striping, fill in sidewalk gaps, add two-staged crossings with stop control at key intersections, and install a new signal or roundabout at Fair Oaks Avenue. A safety education program will be part of the project to inform residents of the benefits and proper use of roundabouts. Halcyon Road Complete StreetsStreets & Transportation 350-5606 Projects Budgeted FY 2025-26 Project Number Category Request Title Description of Improvement Funding Source FY 2025-26 350-5468 Technology Public Safety Camera System - Phase 2 Replace failed public safety video system with a local vender in order to monitor City buildings and identified intersections. 4929 - COPS 200,000 350-54XX Technology Digital Community Bulletin Board Project This project is to replace the current outdated and deteriorating physical community bulletin board located outside City Hall with a modern, digital bulletin board that allows for more dynamic, accessible, and user-friendly communication for community members. 4950 - Measure O-2006 Sales Tax 25,000 350-56XX Technology Software for Public Safety Camera System to allow Traffic Counts Software to obtain traffic counts from the Public Safety Video C ameras. 4926 - Transportation Facilities DIF 50,000 640-59XX Water Reservoir No. 5 Redundancy Interconnect (Los Ciervos to Andre Dr.) The water distribution system for Reservoir No. 5 pressure zone has only one watermain that can provide water to the pressure zone. This project will provide a redundant interconnect to assure the zone has water delivery from Reservoir No. 5 with the watermain off. The project will interconnect the watermain from Los Ciervos to Andre Drive. 4940 - Water Fund 100,000 4940 - Water Fund 298,900 4942 - Water Facility 401,100 Total FY 2025-26 Projects 20,692,665 Underground water utility work that will be completed in advance of paving to reduce the potential need to cut into brand-new pavement. Water Main and Service Replacement related to PMP Projects 640-59XX Water Projects Budgeted FY 2026-27 Project Number Category Request Title Description of Improvement Funding Source FY 2026-27 4487 - HBP 44,265 4950 - Measure O-2006 Sales Tax 5,735 4950 - Measure O-2006 Sales Tax 290,000 4924 - Storm Drain Facilities DIF 10,000 4950 - Measure O-2006 Sales Tax 71,500 4924 - Storm Drain Facilities DIF 2,500 4950 - Measure O-2006 Sales Tax 175,000 4921 - Park Facilities DIF 175,000 350-55XX Parks & Play Structures Foot Bridge & Kiosk at Entrance of James Way Open Space The entrance to James Way Trail (near windmill) east of Stevenson Dr. becomes unpassable during rain. Users have placed stones and debris to make their own crossing. Proposal to build footbridge over the area which floods and install new kiosk. 4914 - Park Improvement 50,000 4921 - Park Facilities DIF 135,000 4950 - Measure O-2006 Sales Tax 45,000 350-54XX Public Facilities EV Infrastructure Master Plan The Advanced Clean Fleets Regulation requires 50% of new City Vehicles purchased after January 1, 2024, to be low- emission, and 100% after January 1, 2027. Before purchasing EVs, a Plan is needed to evaluate the City needs, charging infrastructure, and utility transformer upgrades. 4499 - Other Gov Agencies 150,000 Compliance as mandated by the MS4 Stormwater Permit required by the State. 350-5798 Drainage Trash Amendments Compliance Develop Short Street into a vibrant pedestrian-friendly plaza including, dining areas, vendor spaces and an amphitheater park area. The development will permanently close Short Street to traffic. 350-5430 Parks & Play Structures Short Street Plaza Design 350-5568 Parks & Play Structures ADA Bathrooms Elm Street Park Restroom facility to replace porta potties in use after demolition of Mark M. Millis Community Center. 350-57XX Bridge Annual project to repair deteriorating corrugated metal pipes (CMP) throughout the City. 350-5794 Drainage Corrugated Metal Pipe (CMP) Investigation and Repair Five year post-construction environmental mitigation and monitoring for the Traffic Way Bridge Rehabilitation project. Traffic Way Bridge replacement habitat mitigation Projects Budgeted FY 2026-27 Project Number Category Request Title Description of Improvement Funding Source FY 2026-27 350-54XX Public Facilities City Facility Access Control Upgrades (PW, Parks, Chambers, Fire, PD) Card readers and authentication program at City facilities to be retrofitted or replaced to install card readers. 4950 - Measure O-2006 Sales Tax 100,000 350-54XX Public Facilities City Council Chambers Remodel City Hall update including chairs, caucus room, Council dais, update the front to ramps only, update the clock on the building front. 4950 - Measure O-2006 Sales Tax 200,000 350-5556 Public Facilities Recreation Services / Community Center Building Conceptual study that presents design alternatives and cost analysis, and then preparation of construction documents for a new Recreation Services/Community Center building. Includes ADA bathroom design and construction. 4950 - Measure O-2006 Sales Tax 600,000 4930 - Sewer Fund 143,256 4931 - Sewer Facility 138,744 612-58XX Sewer Lift Station #3 - Creek Bank Analysis and Generator w/Automatic Switchover Emergency backup power to prevent sanitary sewer overflow if the portable generator is not available during an outage. Evaluation and repair of creek bank erosion . 4930 - Sewer Fund 50,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City 4960 - Measure E-2024 Sales Tax 500,000 Cured-in-place pipe rehabilitation along the entire length of the sections mentioned below to reduce infiltration, root intrusion, and maintenance requirements, as well as probability of failure. Sewer Trenchless Sewer Rehabilitation - Pilgrim Way, Orchard Avenue, West Cherry Avenue and California Street 612-58XX Projects Budgeted FY 2026-27 Project Number Category Request Title Description of Improvement Funding Source FY 2026-27 4920 - SB1 495,400 4960 - Measure E-2024 Sales Tax 5,296,200 4463 - CDBG 50,000 4950 - Measure O-2006 Sales Tax 6,000 49XX - In-Lieu Parking Fee 144,000 4926 - Transportation Facilities DIF 472,000 4950 - Measure O-2006 Sales Tax 328,000 350-56XX Streets & Transportation Huasna Road, Corbett Canyon, and E. Branch Street Intersection Roundabout One of the major circulation improvements identified in the Circulation Element was on East Branch Street at Huasna Road/Corbett Canyon Road adding a new roundabout to help improve the flow of traffic. 4926 - Transportation Facilities DIF 1,600,000 Streets & Transportation 350-56XX Traffic Way Corridor Plan Planning document to evaluate traffic circulation improvement opportunities for Traffic Way and adjacent streets. Pavement Management Program The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. 350-5638 Streets & Transportation The life of the existing structure as a safe residence is at its end. A historical and archeological analysis will be completed in anticipation of demolition and regrading/repaving of the site to allow for the design and construction of approximately 15 additional parking spaces. Le Point Street Parking Lot Expansion Streets and Transportation 350-5422 Projects Budgeted FY 2026-27 Project Number Category Request Title Description of Improvement Funding Source FY 2026-27 44XX - Safe Streets for All 200,000 4960 - Measure E-2024 Sales Tax 50,000 350-54XX Technology Virtual Server Farm at City Hall and PD, and Nimble Network Storage Update the existing Virtual Server's that the City uses for storage at City Hall and the Police Station. 4950 - Measure O-2006 Sales Tax 160,000 350-54XX Technology Firewall at City Hall Update the Firewall located at City Hall. 4950 - Measure O-2006 Sales Tax 40,000 4929 - COPS 125,000 4955 - Police Facilities DIF 25,000 4940 - Water Fund 143,045 4942 - Water Facility 191,955 640-5948 Water Reservoir No. 4 Exterior Coating Sand blast, prime and re-coat Reservoir No. 4 exterior. The tank was built in 1983 and has never been painted since it was originally built. 4940 - Water Fund 550,000 Total FY 2026-27 Projects 12,762,600 Streets & Transportation 350-56XX East Grand Streetscape Planning and Construction Planning phase of the East Grand Streetscape project. 350-5470 640-5973 Water Technology Report Management System (RMS) Upgrade at PD Phased Main Replacement - Highway 101 Crossing Upgrade, El Camino Real to West Branch Street Upgrade the existing 8-inch cast iron pipe to an 8-inch high density polyethylene (HDPE) pipe under Highway 101 from El Camino Real to West Branch Street. Upgrade the Police Department report writing system to Pro Phoenix to coincide with the San Luis Obispo Sherriff’s Department upgrade. Projects Budgeted FY 2027-28 Project Number Category Request Title Description of Improvement Funding Source FY 2027-28 4487 - HBP 44,265 4950 - Measure O-2006 Sales Tax 5,735 4950 - Measure O-2006 Sales Tax 397,500 4924 - Storm Drain Facilities DIF 2,500 4950 - Measure O-2006 Sales Tax 65,000 4924 - Storm Drain Facilities DIF 5,000 350-55XX Parks & Play Structures Rotary Bandstand (Termite Treatment, Repairs, Camera) Termite treatment, repairs to damaged columns, addition of a new camera. 4950 - Measure O-2006 Sales Tax 40,000 4950 - Measure O-2006 Sales Tax 735,000 4906 - Recreation Facilities DIF 15,000 4499 - Other Gov Agencies 2,250,000 350-54XX Public Facilities Property and Evidence Storage System Upgrade Upgrade current property and evidence storage system with custom storage compartments and electronic organization system. 4955 - Police Facilities DIF 25,000 350-54XX Public Facilities City Hall Remodel of Work Spaces and Security Glass Design to update the City Hall workspaces for better use of space, update the counters, security glass, and safety. 4950 - Measure O-2006 Sales Tax 50,000 4930 - Sewer Fund 432,200 4931 - Sewer Facility 432,200 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 Recreation Services / Community Center Building Conceptual study that presents design alternatives and cost analysis, and then preparation of construction documents for a new Recreation Services/Community Center building. Includes ADA bathroom design and construction. Public Facilities350-5556 Bridge Compliance as mandated by the MS4 Stormwater Permit required by the State. Five year post-construction environmental mitigation and monitoring for the Traffic Way Bridge Rehabilitation project. Annual project to repair deteriorating corrugated metal pipes (CMP) throughout the City. 350-5798 Drainage Trash Amendments Compliance Corrugated Metal Pipe (CMP) Investigation and Repair Drainage350-5794 Traffic Way Bridge replacement habitat mitigation 350-57XX Cured-in-place pipe rehabilitation along the entire length of the sections mentioned below to reduce infiltration, root intrusion, and maintenance requirements, as well as probability of failure. Trenchless Sewer Rehabilitation - Alder and Cameron Court to Victorian Way, and Woodland Sewer612-5826 Projects Budgeted FY 2027-28 Project Number Category Request Title Description of Improvement Funding Source FY 2027-28 4920 - SB1 510,300 4960 - Measure E-2024 Sales Tax 5,039,000 4463 - CDBG 50,000 350-56XX Streets & Transportation Replacement of Traffic Guardrails Replacement of damaged guardrails. 4950 - Measure O-2006 Sales Tax 200,000 44XX - Safe Streets for All 640,000 4960 - Measure E-2024 Sales Tax 160,000 350-54XX Streets and Transportation Opt-com preemptive devices on traffic signals within City Limits Adding opt-com pre-emptive devices on traffic signals within City limits. 4922 - Traffic Signalization 84,000 640-59XX Water Reservoir No. 5 Booster Modification & Temporary Storage (Rancho Grande) Improvements to Rancho Grande Pump station to increase long term reliability and reduce temporary s torage required to provide water supply with Reservoir 5 offline which will occur for Reservoir 5 Cleaning and Interior Coating. 4940 - Water Fund 500,000 Total FY 2027-28 Projects 12,182,700 350-56XX Streets & Transportation East Grand Streetscape Planning and Construction Design phase of the East Grand Streetscape project. Pavement Management ProgramStreets & Transportation 350-5638 The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Projects Budgeted FY 2028-29 Project Number Category Request Title Description of Improvement Funding Source FY 2028-29 4487 - HBP 44,265 4950 - Measure O-2006 Sales Tax 5,735 4950 - Measure O-2006 Sales Tax 67,500 4924 - Storm Drain Facilities DIF 2,500 4950 - Measure O-2006 Sales Tax 735,000 4906 - Recreation Facilities DIF 15,000 4499 - Other Gov Agencies 2,250,000 350-54XX Public Facilities City Hall Remodel of Work Spaces, Security Glass, Safety Update the City Hall workspaces for better use of space, update the c ounters, security glass, and safety. 4950 - Measure O-2006 Sales Tax 100,000 4950 - Measure O-2006 Sales Tax 150,000 4912 - Fire Facilities DIF 150,000 612-5849 Sewer Maintenance Hole Rehabilitation Rehabilitate existing sanitary sewer manholes with an epoxy liner. 4930 - Sewer Fund 250,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 Five year post-construction environmental mitigation and m onitoring for the Traffic Way Bridge Rehabilitation project. Traffic Way Bridge replacement habitat mitigation Bridge350-57XX 350-5798 Drainage Trash Amendments Compliance 350-5556 Public Facilities Recreation Services / Community Center Building Conceptual study that presents design alternatives and cost analysis, and then preparation of construction documents for a new Recreation Services/Community Center building. Includes ADA bathroom design and construction. Divide existing large bedrooms to create dorm rooms and office s pace. Compliance as mandated by the MS4 Stormwater Permit required by the State. 350-54XX Public Facilities Fire Station 1 Expansion & Reconfiguration of the Sleeping Q uarters Projects Budgeted FY 2028-29 Project Number Category Request Title Description of Improvement Funding Source FY 2028-29 4920 - SB1 525,600 4960 - Measure E-2024 Sales Tax 4,629,000 4463 - CDBG 50,000 44XX - Safe Streets for All 5,400,000 4960 - Measure E-2024 Sales Tax 1,800,000 4940 - Water Fund 150,000 4942 - Water Facility 150,000 640-59XX Water Reservoir No. 5 Cleaning and Interior Coating Interior coating is showing signs of failing and must be recoated to preserve the steel tank and protect water quality. The inspection in 2003 indicated it had a useful life of 5 years which has elapsed. 4940 - Water Fund 730,000 Total FY 2028-29 Projects 17,704,600 Miller Way Booster Zone UpgradeWater640-59XX East Grand Streetscape Planning and Construction Construction phase of the East Grand Streetscape project. Streets & Transportation 350-56XX The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Pavement Management ProgramStreets & Transportation 350-5638 Complete upgrade on the Miller Way Booster Station, including a new pump building (or enclosed package pump station), new pumps and motors (2 x 5-HP), and new bladder tanks. The upgraded booster station will have a design capacity of 75-gpm. This will increase the reliability of the water supply to the Miller Way zone and will improve water service pressure. In addition, this is expected to decrease maintenance costs and increase efficiency. Projects Budgeted FY 2029-30 Project Number Category Request Title Description of Improvement Funding Source FY 2029-30 4487 - HBP 44,265 4950 - Measure O-2006 Sales Tax 5,735 4950 - Measure O-2006 Sales Tax 397,500 4924 - Storm Drain Facilities DIF 2,500 350-55XX Parks & Play Structures Soto Sports Complex LED Lighting Replace lighting with energy efficient LED lighting. 4950 - Measure O-2006 Sales Tax 100,000 350-54XX Public Facilities City Hall Remodel of Work Spaces, Security Glass, Safety Update the City Hall workspaces for better use of space, update the counters, security glass, and s afety. 4950 - Measure O-2006 Sales Tax 100,000 350-54XX Public Facilities Police Station Security Fencing Add height to the existing fence. 4950 - Measure O-2006 Sales Tax 40,000 350-54XX Public Facilities City Facility Flooring (Fire Station 1, City Hall, Corp Yard, PD) Replace flooring in City Facilities. 4950 - Measure O-2006 Sales Tax 150,000 4930 - Sewer Fund 475,000 4931 - Sewer Facility 475,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 Corrugated Metal Pipe (CMP) Investigation and Repair Annual project to repair deteriorating corrugated metal pipes (CMP) throughout the City. 350-5794 Cured-in-place pipe rehabilitation along the entire length of the sections mentioned below to reduce infiltration, root intrusion, and maintenance requirements, as well as probability of failure. Trenchless Sewer Rehabilitation - Beech & Alder backyard easements Sewer612-58XX 350-57XX Bridge Traffic Way Bridge replacement habitat mitigation Five year post-construction environmental mitigation and monitoring for the Traffic Way Bridge Rehabilitation project. Drainage Projects Budgeted FY 2029-30 Project Number Category Request Title Description of Improvement Funding Source FY 2029-30 4920 - SB1 541,400 4960 - Measure E-2024 Sales Tax 4,854,400 4463 - CDBG 50,000 350-56XX Streets & Transportation Branch Mill Road Slope Stabilization This is one of the 3 main streets not addressed in the 13-year PMP. The design phase of this project will help find solutions to correct the slope that continues to fall into the nearby creek area. Once the City Council has approved the design of the slope stabilization the construction contractor will be selected and construction can begin. 4960 - Measure E-2024 Sales Tax 600,000 640-59XX Water Alpine Crossing, Bennett and Bell Mains and Services The 4 inch main segment along Bennett Ave and N. Alpine St. lacks sufficient capacity to meet fire flow requirements. This project was identified as a project A-6 to upgrade this main to 6" or greater PVC pipe. 4940 - Water Fund 719,000 Total FY 2029-30 Projects 9,054,800 350-5638 Streets & Transportation Pavement Management Program The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Projects Budgeted FY 2030-31 Project Number Category Request Title Description of Improvement Funding Source FY 2030-31 350-55XX Parks & Play Structures Don Roberts Scoring Shed at Volunteer Field New scoring shed.4950 - Measure O-2006 Sales Tax 10,000 350-55XX Parks & Play Structures Rancho Grande Playground Replacement Replace playground at Rancho Grande Park. 4950 - Measure O-2006 Sales Tax 800,000 350-55XX Parks & Play Structures Pump Track/Skate Park Design and build a pump track which is usable for scooters, skateboards and bicycles. 4921 - Park Facilities DIF 100,000 350-54XX Public Facilities Corporation Yard Renovations Renovation of Corporation Yard buildings and facilities. 4950 - Measure O-2006 Sales Tax 260,000 612-58XX Sewer Lift Station #3 - Creek Bank Analysis and Generator w/Automatic Switchover Emergency backup power to prevent sanitary sewer overflow if the portable generator is not available during an outage. Evaluation and repair of creek bank erosion. 4930 - Sewer Fund 129,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 557,600 4960 - Measure E-2024 Sales Tax 4,871,900 4463 - CDBG 50,000 Streets & Transportation 350-5638 The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Pavement Management Program Projects Budgeted FY 2030-31 Project Number Category Request Title Description of Improvement Funding Source FY 2030-31 350-56XX Streets & Transportation Branch Mill Road Slope Stabilization This is one of the 3 main streets not addressed in the 13-year PMP. The design phase of this project will help find solutions to correct the slope that continues to fall into the nearby creek area. Once the City Council has approved the design of the slope stabilization the construction contractor will be selected and construction can begin. 4960 - Measure E-2024 Sales Tax 3,000,000 350-5601 Streets & Transportation Fair Oaks Ave Active Transportation Improvements, Valley Road to Traffic W ay Construct improvements on this corridor with better pedestrian and bicycle facilities, traffic calming and improved access and circulation at the intersection of US 101 south bound ramps and Orchard Ave. Work toward applying for Active Transportation Project funding to complete the design and construction. 4950 - Measure O-2006 Sales Tax 75,000 350-56XX Streets & Transportation Harden Street Slope Stabilization This is one of the 3 main streets not addressed in the 13-year PMP. The design phase of this project will help find solutions to correct the slope that continues to fall into the nearby creek area. Once the City Council has approved the design of the slope stabilization the construction contractor will be selected and construction can begin. 4960 - Measure E-2024 Sales Tax 200,000 Projects Budgeted FY 2030-31 Project Number Category Request Title Description of Improvement Funding Source FY 2030-31 350-57XX Streets & Transportation Safe Routes to School - Newport Slope Stabilization Solution for access and slope stabilization on Newport 44XX - SR2S 2,000,000 640-59XX Water AMI - Advanced Metering Infrastructure Upgrading to automated meter reading system will allow the City to conduct on-demand meter readings, remotely manage data in near real time, and identify non revenue water. 4940 - Water Fund 1,500,000 Total FY 2030-31 Projects 14,053,500 Projects Budgeted FY 2031-32 Project Number Category Request Title Description of Improvement Funding Source FY 2031-32 4950 - Measure O-2006 Sales Tax 390,000 4924 - Storm Drain Facilities DIF 10,000 350-55XX Parks & Play Structures Strother Park Playground Equipment Replacement (Small) Replace small playground at Strother Park 4950 - Measure O-2006 Sales Tax 250,000 350-55XX Parks & Play Structures Oro Park Playground Equipment Replacement Replace playground at Oro Park. 4950 - Measure O-2006 Sales Tax 250,000 4930 - Sewer Fund 300,000 4931 - Sewer Facility 300,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 574,300 4960 - Measure E-2024 Sales Tax 5,062,200 4463 - CDBG 50,000 Corrugated Metal Pipe (CMP) Investigation and Repair Drainage Pavement Management ProgramStreets & Transportation 350-5638 The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. 350-5794 Cured-in-place pipe rehabilitation along the entire length of the sections mentioned below to reduce infiltration, root intrusion, and maintenance requirements, as well as probability of failure. Trenchless Sewer Rehabilitation - Hillcrest/Sierra backyard easements Sewer612-58XX Annual project to repair deteriorating corrugated metal pipes (CMP) throughout the City. Projects Budgeted FY 2031-32 Project Number Category Request Title Description of Improvement Funding Source FY 2031-32 350-5601 Streets & Transportation Fair Oaks Ave Active Transportation Improvements, Valley Road to Traffic Way Construct improvements on this corridor with better pedestrian and bicycle facilities, traffic calming and improved access and circulation at the intersection of US 101 south bound ramps and Orchard Ave. Work toward applying for Active Transportation Project funding to complete the design and construction. 4950 - Measure O-2006 Sales Tax 225,000 350-56XX Streets & Transportation Connectivity from Branch (Coach)Coach Road is a major collector with existing Right-of-Way which could be connected to Huasna. 4960 - Measure E-2024 Sales Tax 2,000,000 4940 - Water Fund 105,000 4942 - Water Facility 315,000 4940 - Water Fund 143,200 4942 - Water Facility 429,800 Total FY 2031-32 Projects 10,904,500 4" water main has insufficient capacity to meet fire flow requirements and must be upsized. Lierly Lane to Coach Road UpgradeWater640-59XX 640-59XX Water Phased Main Replacement - Highway 101 Crossing Upgrade, West Cherry Avenue This project will replace the existing 8-inch cast iron water main with new 8-inch PVC pipe. Projects Budgeted FY 2032-33 Project Number Category Request Title Description of Improvement Funding Source FY 2032-33 4921 - Park Facilities DIF 600,000 4950 - Measure O-2006 Sales Tax 200,000 612-58XX Sewer Clay Pipe Inspection Closed Circuit television inspection to assess the condition of old Clay sewer pipe. 4930 - Sewer Fund 1,554,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 591,500 4960 - Measure E-2024 Sales Tax 5,067,300 4463 - CDBG 50,000 350-54XX Technology Generator at City Hall This generator will provide backup power in the event of a power outage to help provide essential support services to the City from City Hall. The current generator only supports the City’s IT Server Room. 4950 - Measure O-2006 Sales Tax 200,000 640-59XX Water Security Cameras Installation of security cameras at the recommendation of the Vulnerability Assessment to improve security of the City's water distribution system. 4940 - Water Fund 62,000 Total FY 2032-33 Projects 8,824,800 Develop Short Street into a vibrant pedestrian-friendly plaza including, dining areas, vendor spaces and an amphitheater park area. 350-5430 Short Street Plaza DesignParks & Play Structures 350-5638 Streets & Transportation Pavement Management Program The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Projects Budgeted FY 2033-34 Project Number Category Request Title Description of Improvement Funding Source FY 2033-34 4960 - Measure E-2024 Sales Tax 3,000,000 4960 - Measure E-2024 Sales Tax 900,000 4950 - Measure O-2006 Sales Tax 390,000 4924 - Storm Drain Facilities DIF 10,000 350-55XX Parks & Play Structures Soto Sports Complex ADA Access Trails, Circulation, Irrigation Connectivity of Soto Sports Complex, Elm St. Park, and Don Roberts with Trails including ADA Access and updated irrigation. 4950 - Measure O-2006 Sales Tax 800,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 609,200 4960 - Measure E-2024 Sales Tax 4,747,300 4463 - CDBG 50,000 4940 - Water Fund 97,500 4942 - Water Facility 292,500 640-59XX Water 4" Mains Upgrades Replace segments of 4" water main which are inadequate to provide fire flow. 4940 - Water Fund 5,875,000 Total FY 2033-34 Projects 17,271,500 350-5638 Existing 4" main is inadequate to provide fire flow and must be upgraded to 6" or greater PVC. Coach Road and Greenwood Drive Upgrades Water640-59XX Streets & Transportation Pavement Management Program The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. Corrugated Metal Pipe (CMP) Investigation and Repair Annual project to repair deteriorating corrugated metal pipes (CMP) throughout the City. Drainage350-5794 350-56XX Bridge Mason Street Bridge Widening of Mason Street Bridge. Projects Budgeted FY 2034-35 Project Number Category Request Title Description of Improvement Funding Source FY 2034-35 350-57XX Bridge Fair Oaks Bridge Coating Surface coating to prolong the life of Fair Oaks Bridge. 4950 - Measure O-2006 Sales Tax 60,000 350-55XX Parks & Play Structures Kiwanis Park ADA Access Update and add ADA Access to Kiwanis Park. 4950 - Measure O-2006 Sales Tax 350,000 350-55XX Parks & Play Structures Heritage Square Park Playground Replacement Replace playground at Heritage Square Park. 4950 - Measure O-2006 Sales Tax 250,000 612-58XX Sewer Huasna Road Sewer Upgrade Hydraulic analysis indicated that thew sewer in Huasna is undersized and need to be upgraded to me.et projected buildout. 4931 - Sewer Facility 850,000 612-5849 Sewer Maintenance Hole Rehabilitation Rehabilitate existing sanitary sewer manholes with an epoxy liner. 4930 - Sewer Fund 250,000 350-5658 Sidewalks Sidewalk Repairs and Improvements Annual funding allocated towards sidewalk improvements and repairs throughout the City. 4960 - Measure E-2024 Sales Tax 500,000 4920 - SB1 627,500 4960 - Measure E-2024 Sales Tax 9,103,900 4463 - CDBG 50,000 640-59XX Water W ell No. 1 Replacement A supply shortage was identified if Lopez and Well 3 are out of s ervice. Well No. 1 is the oldest well installed in 1940 and is the candidate to be replaced. 4940 - Water Fund 2,635,000 Total FY 2034-35 Projects 14,676,400 350-5638 Streets & Transportation Pavement Management Program The City’s Pavement Management Program provides maintenance history and pavement condition index (PCI) for all public streets in Arroyo Grande. The City annually performs pavement maintenance on public streets to the extent that funds are available. Streets are selected based on pavement condition, location, and the type of maintenance application. Maintenance applications are digouts, slurry seals, chip seals, and pavement overlays. OFFICIAL CERTIFICATION I, JESSICA MATSON, City Clerk of the City of Arroyo Grande, County of San Luis Obispo, State of California, do hereby certify under penalty of perjury, that the attached Resolution No. 2025-030 was passed and adopted at a regular meeting of the City Council of the City of Arroyo Grande on the 13th day of May, 2025. WITNESS my hand and the Seal of the City of Arroyo Grande affixed this 20th day of May, 2025. JESSICA MATSON, CITY CLERK