HomeMy WebLinkAboutagenda.council.worksession.202010061
AGENDA
CITY COUNCIL WORK SESSION
October 6, 2020
4:00 PM, City Council Chambers
130 S Galena Street, Aspen
WEBEX
Go to: www.webex.com Click "Join" at the top right-hand corner
Enter Meeting Number 126 507 3356
Password provided 81611
Click "Join Meeting"
OR
Join by phone
Call: 1-408-418-9388
Meeting number (access code): 126 507 3356
Meeting password: 81611
I.WORK SESSION
I.A.2021 Recommended Budget Review
--Engineering; Events, Arts & Recreation; Asset
1
2021 BUDGET DEVELOPMENT
Engineering (000 & 001 Funds)
Trish Aragon, City Engineer OCTOBER 06, 2020 2
What We Do
Construction
Mitigation
Safety of
Travelling
Public
Environment
& Water
Quality
Technical
Support
Services
OUTREACH
2 3
Strategic Alignment
Safety of
Travelling
Public
Construction
Mitigation
Technical
Support
Services
Environment
& Water
Quality
OUTREACH
Safe & Lived-In
Community of choice
Protect our
Environment
Smart, Customer
Focused
Government
3 4
Changes Due to COVID
4
•Construction site safety plans and inspections
•Construction schedules and budgets have increased
•Roadway usage for restaurants/retail
•Virtual services
5
Supplemental Requests
5
Recommended
•Operational Reductions –One-time ($10K); Ongoing ($69K)
6
On the Horizon
•Pedestrian and bike safety
•Paepcke transit hub
•Traffic signal maintenance
•Top 12 pedestrian connections –City Market
intersection
•Midland / Park living lab
•Road safety (Roundabout)
•3D planning
•Advancing our GIS utility networks for water, electric,
storm and telecom
6 7
Revenues & Expenditures
$1,356,400
$2,164,860
$0
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
2019 2020 2021 2022 2023 2024 2025
Revenues Expenditures
7
>50% Subsidy
8
Revenue Sources -Engineering
$12,000
$14,000
$19,400
$36,000
$50,000
$250,000
$375,000
$600,000
$0 $200,000 $400,000 $600,000 $800,000
Land Use Review
Digital Submission
Miscellaneous
ROW Permits
Encroachment Permits
Construction Mitigation Fees
Building Permit Review Fees
Land Lease
8 9
$18,360
$35,700
$208,270
$270,530
$275,290
$297,740
$364,890
$694,080
$0 $200,000 $400,000 $600,000 $800,000
Pedestrian Infrastructure Maintenance
Bicycle Infrastructure Maintenance
Mill Street Annex - Facility Costs
Inspection And Enforcement
Capital Labor
GIS Services
Development Review
Administrative
11.80 FTE
Expenditure by Program -Engineering
9 10
2021 Capital Projects
•Largest 5 Projects
$275,000
$467,500
$490,000
$980,000
$1,650,000
$0 $400,000 $800,000 $1,200,000 $1,600,000
Hallam Street Roadway Improvements at
Yellow Brick Building
Courthouse Trail Regrade
Concrete Replacement - 2021
CDOT Joint Project on Concrete
Roundabout Design & Construction
Garmisch Bus Stop & Pedestrian
Improvements
10 11
11
Questions?
12
2021 BUDGET DEVELOPMENT
Events, Recreation & Red Brick (000 & 001 Funds)
Sarah Roy, Sandra Doebler, Cory Vander Veen OCTOBER 6th, 202013
RED BRICK -What We Do: Create Together
2
•Historic building and
public park
•Below market rent for 12
working artists and 9
nonprofits
•Affordable conference
room and dance studio
for rent
14
RED BRICK -What We Do: Create Together
3
•Youth and adult arts
education
•Art exhibitions and
community engagement
•Build strategic
partnerships with the
arts and culture
community of the
Roaring Fork Valley
15
Strategic Alignment
4
Economic Vitality
Safe & Lived-in Community of Choice
•Art classes for all ages and abilities
•Offer engagement experiences with the arts
•Affordable nonprofit offices and artist studios
•Affordable community spaces
•Support local arts economy
•Build community partnerships
16
Changes Due to COVID
5
Facility
•Limited public access
•Prioritization use of shared spaces for essential community services
Arts Programming & Community Engagement
•Prioritization of youth arts education
•Creation of virtual engagement and take-home art kits
•Continuation of gallery exhibitions with limited hours and private tours
New Efforts
•Collaborations with Roaring Fork Valley partners to support the
creative economy.
•Development of digital content: blog, online gallery, videos
17
On the Horizon –Red Brick
6
Arts and Culture Impact Study
18
7
Questions?
19
EVENTS -What We Do
8
•Produce community and
signature events
•Coordinate the events
calendar
•Permit events that happen
within city limits
•Market Aspen Recreation and
Parks Sites
•Manage the City Employee
Volunteer Program
20
Strategic Alignment
9
Community Engagement
•Building Community Partnerships
Safe & Lived-in Community of
Choice
•Community Events
21
Changes Due to COVID
10
•Continuously evolving programs and
community outreach
•Marketing and education for Recreation
facilities as they re-open
•Changes in the Special Events permit
process
•Winter in Aspen
22
On the Horizon -Events
11
•Events safety protocols for our
signature and community events
•Community calendar
•Website migration to new
hosting site and new content
management system
•New software system 2021
23
Questions?
12 24
RECREATION -What We Do: Facilities
Red Brick
13
Red Brick Rec Center Aspen Rec Center Aspen Ice Garden
Operates:
250 days/year,
55 hrs./week
Operates:
360 days/year,
96 hrs./week Operates:
Events -4 months
Ice rink -8 months,
60+ hrs./week
25
RECREATION -What We Do: Insights
14
•480 plus adult softball players
26
RECREATION -What We Do: Partnerships
15
•Junior Hockey
•Aspen Skating Club
•USPTA Tennis
•Revolutions Skating Club
•Mother Puckers
•Aspen Curling
•ARC Advisory Committee
•Aspen Youth Center
•Aspen Lacrosse
•Aspen Gymnastics
•Roaring Fork Soccer
•Aspen School District
•Aspen Youth football
•Rugby
•Challenger Soccer
•USA Pickleball
27
Strategic Alignment
16
Fiscal Health & Economic Vitality
Safe & Lived-in Community of Choice
•Provide structured and non-structured recreation
for the community and visitors
•Offer community spaces and amenities for all
•Offer premier indoor and outdoor facilities
•Build community partnerships
•Support local organizations and businesses
•Provide recreation tourism, large events, and
athletics tournaments
28
Changes Due to COVID
17
Recreation
•2020 Summer and Fall Recreation counts
•Total youth activity counts to date: 15,473
•Total adult activity counts to date: 4,230
•Multi-year rebound to get back to 50% subsidy
•Users will have to schedule times to use facilities
•Reduction of seasonal staff and guest services and proposed
cuts to public services
29
On the Horizon -Recreation
18
•Facility master planning
•Inventory asset planning
•New software system 2021
30
19 31
Supplemental Requests
20
Recommended
•Operational Reductions –Events:
•One-time ($3,700)
•Ongoing ($31k)
•Operational Reductions –Red Brick: One-time ($19k)
•Operational Reductions –Recreation:
•One-time ($90k)
•Ongoing ($65k) 32
Revenues & Expenditures -Events
21
$32,500
$949,380
$0
$200,000
$400,000
$600,000
$800,000
$1,000,000
$1,200,000
2019 2020 2021 2022 2023 2024 2025
Revenues Expenditures
33
Revenue Sources -Events
22
$2,500
$30,000
$0 $10,000 $20,000 $30,000 $40,000
Special Event Permits
Special Event Registration
Fees
34
Expenditure by Program -Events
23
$27,870
$116,460
$126,900
$212,050
$405,300
$0 $200,000 $400,000 $600,000
Main Street Cabin
Event Application Processing
Administrative
Marketing Efforts
Event Logistics
4.43 FTE
35
Revenues & Expenditures -Recreation
24
$1,711,350
$4,809,110
$0
$1,000,000
$2,000,000
$3,000,000
$4,000,000
$5,000,000
$6,000,000
2019 2020 2021 2022 2023 2024 2025
Revenues Expenditures
64% Subsidy
36
Revenue Sources -Recreation
25
$80,000
$144,000
$215,000
$304,500
$395,000
$572,850
$0 $200,000 $400,000 $600,000 $800,000
Retail
Facility Rental
Daily Admissions
User Group Revenue
Pass Revenue
Program Fees
37
Expenditure by Program -Recreation
26
$46,670
$200,707
$278,487
$404,260
$504,855
$695,156
$1,012,394
$1,208,681
$0 $500,000 $1,000,000 $1,500,000
Other - Lease Purchase Pmt
Business Services
Adult Programming
Aquatics
Youth Programming
Ice Programs
Administrative / Guest Services
Facilities
24.53 FTE
38
Revenues & Expenditures –Red Brick
27
$470,000
$523,900
$0
$100,000
$200,000
$300,000
$400,000
$500,000
$600,000
$700,000
2019 2020 2021 2022 2023 2024 2025
Revenues Expenditures
39
Revenue Sources –Red Brick
28
$5,000
$12,000
$25,500
$30,000
$37,000
$68,500
$262,000
$0 $100,000 $200,000 $300,000
Misc. Revenue
Facility Rental
Parking Fees
Nongovernmental Grants
Program Fees
Refund of Expenditure - Utilities
Tenant Rent
40
Expenditure by Program –Red Brick
29
$243,110
$247,990
$240,000 $242,000 $244,000 $246,000 $248,000
Red Brick - Facility Maintenance
Administrative
2.58 FTE
41
2021 Capital Projects -Recreation
•Largest Projects
30
$50,000
$50,000
$65,000
$68,000
$75,000
$100,000
$0 $20,000 $40,000 $60,000 $80,000 $100,000 $120,000
AIG Roof Repair - 2021
Training Room ARC Remodel Phase 3
Aspen Ice Garden Master Plan
Interior Replacement - ARC - FF&E Customer and Employee
Areas - 2021
Parks and Rec Facilities Maintenance Plan
Aspen Rec Center Master Plan
42
2021 Capital Projects –Red Brick
31
$25,000
$50,000
$0 $20,000 $40,000 $60,000
Electrical Panel Upgrade
Public Corridor & Gallery Design
and Permit Development
43
32
Questions?
44
2021 BUDGET DEVELOPMENT
Asset Management (000 & 001 Funds)
OCTOBER 06, 2020Jeff Pendarvis 45
2
What We Do: Maintenance of Assets
•City Hall (Armory)
•City-Owned Employee Housing Units
•Aspen Police Department
•Old Powerhouse
•Rio Grande Plaza & Building
•Animal Shelter
•Mill Street Annex
•Wheeler Opera House
•Recreation Facilities
46
3
What We Do: Develop New Assets
47
Strategic Alignment
Safe & Lived-in
Community of Choice •Maintain community
facilities
•Customer Focused
•Energy Efficiency
4
Community
Engagement
Protect our
Environment
48
Changes Due to COVID
5
Operational adjustments:
•Respond to organizational needs –acquiring and
distributing supplies
•Making modifications to facilities
Service Delivery:
•In-person support and continued Project
Management
•Continued a high level of productivity with
projects and operations.
49
On the Horizon
•City Hall @ Galena Plaza completion
•Wheeler renovation
•Burlingame Phase III construction (150 Fund)
•Armory and Old Powerhouse renovations
•Continued and ongoing support of all
departments concerning vertical construction
related activities.
6 50
Supplemental Requests
7
Recommended Supplementals
•New City Hall Operations and Maintenance: $125,000
•Will increase to $250,000 in 2022
•Operational Reductions –One-time ($65K)
51
Revenues & Expenditures –Asset
$63,000
$1,948,800
$0
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
2019 2020 2021 2022 2023 2024 2025
Revenues Expenditures
Funded Through
Overhead
New City
Hall O&M
8 52
Revenue Sources –Asset
$19,000
$44,000
$0 $10,000 $20,000 $30,000 $40,000 $50,000
Refund of Expenditure
Facility Rentals
9
Animal
Shelter
53
$20,700
$22,780
$22,780
$27,910
$35,922
$41,290
$48,650
$56,020
$92,853
$99,000
$125,000
$194,480
$285,700
$377,575
$498,140
$0 $150,000 $300,000 $450,000 $600,000
Mill Street Annex, Main St. Cabin
Housing Development Properties
Animal Shelter
Employee Housing Properties
Rio Grande Building
City Hall Rio Grande
Aspen Police Department - Main Street
Capital Labor
8.15 FTE
Expenditure by Program -Asset
10 54
2021 Capital Projects -Asset
$15,000
$40,000
$108,000
$250,000
$0 $100,000 $200,000 $300,000
Rubber Deck Pavers
Animal Shelter Maintenance - 2021
Facility Maintenance - 2021
Armory Upgrades - 2021
11 55
12
Questions?
56