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HomeMy WebLinkAboutordinance.council.057-95 ie, " .' ~.: '<. ~... ~- ORDINANCE NO. 57 (Series of 1995) AN ORDINANCE RECOGNIZING GENERAL FUND REVENUE OF $2,889,921; APPROPRIATING GENERAL FUND EXPENDITURES OF $3,254,884; TRANSFERRING $45,000 FROM THE GENERAL FUND TO THE TRANSPORTATION/PARKING FUND; APPROPRIATING PARKS AND OPEN SPACE FUND EXPENDITURES OF $150,000; APPROPRIATING HOUSING/DAYCARE FUND EXPENDITURES OF $167,900; APPROPRIATING CEMETERY LANE IMPROVEMENT DISTRICT FUND EXPENDITURES OF $207,224; APPROPRIATING ELECTRIC FUND EXPENSES OF $48,000; APPROPRIATING TRANSPORTATION/PARKING FUND EXPENSES OF $45,000; APPROPRIATING WATER PLACE HOUSING FUND EXPENSES OF $189,981; AND ESTABLISHING A "WATER PLACE HOUSING FUND"; WHEREAS, by virtue of Section 9.12 of the Home Rule Charter, the City Council may make supplemental appropriations; and WHEREAS, the City Manager has certified that the City has unappropriated current year revenues available for appropriation in the General Fund, Parks and Open Space Fund, Housing/Daycare Fund, Electric Fund, Transportation/Parking Fund and the Water Place Housing Fund; and unappropriated prior year fund balance available in the General Fund, Parks and Open Space Fund, Housing/Daycare Fund, Cemetery Lane Improvement District Fund, Electric Fund and the Transportation/Parking Fund; and WHEREAS, the City Council is advised that certain expenditures, revenues and transfers must be approved, NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF ASPEN, COLORADO: Section 1 Upon the City Manager's certification that there are current year revenues available for appropriation in the General Fund, Parks and Open Space Fund, Housing/Daycare Fund, Electric Fund, Transportation/Parking Fund and the Water Place Housing Fund; and unappropriated prior year fund balance available in the General Fund, Parks & Open Space Fund, Housing/Daycare Fund, Cemetery Lane Improvement District Fund, Electric Fund and the Transportation/Parking Fund; the City Council hereby makes supplemental appropriations as itemized in Exhibit "A" attached. Section 2 There is hereby established a Water Place Housing Fund to receive proceeds from the sale of City owned residential property and other sources authorized by law. Section 3 If any section, subsection, sentence, clause, phrase or portion of this ordinance is for any reason held invalid or unconstitutional by any court of competent jurisdiction, such portion shall be deemed a separate, distinct and independent provision and such holding shall not affect the validity of the remaining portion thereof. Section 4 A public hearing on the ordinance shall be held on the 18th day of December, 1995, at 5:00 p.m. in the City Council Chamber, Aspen City Hall, Aspen, Colorado. INIRODUCED, 1 ,- \\ 'Z;~ e ., , '(', ~... (e ~ READ AND ORDERED published as provided by law by the City Council of the City of Aspen, Colorado, at its regular meeting held at the City of Aspen, December 11, 1995. ATTEST: ~j~/ ~ [7-,," . ..kId John ennett, Mayor 1995. FINALLY adopted, passed and approved on the / f day of V&!.L.11ute.A.--, ATTEST: ~ L5~A John BIlnnett, Mayor 2 '",1,'_'" ~ '~, ,. \\\. @1,_.'" '0. Exhibit "A" GENERAL FUND Revenue Attorney Westlaw reimbursement J County (00109-00000-67500) Community Development-Planning Design Charette Contribution J State Energy ConseNation Office (00113-00000-69100) Recreation Gymnastics Program Revenue (00171-00000-64240) Basketball Programs Revenue (00171-00000-64395) Hiking-Playground Program Revenue (00171-00000-64300) Misc. Revenue (00171-00000-69000) Lottery Climbing Wall Contributions (00175-00000-68000) Asset Management Plan Cozy Point Bond refunding proceeds (00191-00000-91000) Cozy Point Management Fees (00191-00000-66137) Snyder Housing Lease Revenue (00191-00000-66136) Total General Fund Revenue Expenditures Operating Budget: City Council Reclassify 1995 Contingency Funds (00103-03000-88900) Dean Gordon Trash Compactor Site J Contingency (00103-03000-82000) Alternative H additional expenses J Bulk Mailing Cost (00103-03000-82220) Contributions Tate Fisher (Teen Colorado) J Contingency (00103-03000-84000) Jazz Aspen Latino Concert J Contingency (00103-03000-84000) Arts Council Economic Study J Contingency (00103-03000-84000) 3 (8,500) (6,048) (24,300) (5,370) (3,000) (3,000) (15,403) (2,800,000) (5,000) (19,300) (2,889,921 ) (27,871) 600 1,500 400 250 1,500 -' AI.', I\~:. '.",.- "'-',' I'" y 1;. '(< ~a",'" '. Exhibit "A" (cont.) General Fund (cont.) Lynn Haines Shimakappu Air Fare I Contingency (00103-03000-84000) Energy 2000 Green Cont. Speaker I Contingency (00103-03000-84000) Hats for Boards & Commissions I Contingency (00103-03000-84000) ACRA Airlines, Tourism Contribution I Contingency (00102-04324-84036) Attorney Westlaw I Purchased Services (00109-09000-81230) Finance Audit Fees I Purchased Services (00111-11200-82000) Community Development - Planning Alternative H Work I Professionai Fees (00113-13300-82000) Aiternative H I Additional Expenditures (00113-13300-82000) Entrance to Aspen Design Charrette I Professional Fees (00113-13300-82000) Streets Snow Hauling I Rental Fees (00141-41200-82500) Recreation Labor I Temporary Help (00171-71300-80030) Operating Budget! Professional Fees (00171-71300-82000) Lottery Climbing Wall (00175-71500-86220) Contribution Portion (00175-71500-86200) Lottery Portion Raise Pool Departmental Distribution Personnel Raise Pool City Manager PFP 1995 Personnel City Clerk Attorney Finance Planning Engineering Env, Health Police Streets Parks Data Processing Recreation Ice Garden (00106-06300-80091 ) (00105-05000-80012) (00106-06000-80012) (00107-07000-80012) (00109-09000-80012 ) (00111-11000-80012) (00113-13000-80012) (00115-15000-80012) (00125-25000-80012) (00131-31000-80012) (00141-41000-80012) (00155-55000-80012) (00161-61000-80012) (00171-71000-80012) (00174-74000-80012) " " " " 4 435 1,000 1,686 2,000 8,500 11,435 45,000 13,500 6,773 30,000 22,335 10,000 15,403 10,000 (175,528) 8,097 2,157 4,497 3,319 12,701 21,398 7,166 9,796 50,430 15,087 20,064 4,107 8,667 8,042 -. it, 1%" '\~<- "- !t \1L",. .t,'It',"" @ ;Q \\~ Exhibit "A" (cant.) General Fund (cant.) Asset Management Plan Snyder Rental Unit! Roof repairs (00105-70034-82900) City Hall! Heating System, Meeting Rooms (00191-91000-82700) City Hall! contingency (00191-91000-82700) City Hall! Windows (00191-91000-82000) City Hall! New items (00191-91000-82700) Water Piace Housing! Reduce Budget (00191-91200-82000) Cozy Point Ranch! Bond Refunding (00191-91300-89610) Baiance of old note (00191-91300-89610) Savings on principal (00191-91300-89630) Interest payments (00191-91300-82001) Refunding fees (00191-91300-82000) Finders Fee-Roaring Fork Comm. Partners Cozy Point Ranch !Improvements & Equipment (00191-91300-86000) Cozy Point Ranch! Council Contingency Items (00191-91300-82700) Bridge Repairs (00191-91300-82000) Fatal Flaw Study Snow Melter ! Relocation (00194-30331-82000 ) Total General Fund Expenditures Transfers To Transportation Fund! Share of EIS Labor - Contingency (00195-00000-95450) To Transportation Fund! Share of EIS Labor - Fund balance (00195-00000-95450) To Transportation Fund! Entrance to Aspen, Alternative H, EIS (00195-00000-95450) Total General Fund Outgoing Transfers Parks & Open Space Fund Expenditures Asset Management Plan Maroon Creek Pedestrian & Bike Bridge! City Share (10094-55526-82700) Total Parks & Open Space Fund Expenditures 5 95,000 50,000 30,321 243,000 (29,981) 2,510,227 (31,993) 10,169 90,854 50,000 41,941 7,000 3,000 30,000 900 10,000 20,000 15,000 3,254,884 150,000 45,000 150,000 a .. r~a ,<. -~ "," I," J\ ~\:\, Exhibit "A" (cont.) HousinglDaycare Fund Expenditures Asset Management Plan Yellow Brick School I Roof Repair ( 15024-24000-82700) Total Housing/Daycare Fund Expenditures Cemetery Lane Improvement District Expenditures Improvement District I Construction Fees (36094-12620-82700) Total Improvement District Expenditures Electric fund Expenses Asset Management Plan Red Brick Primary Line I Construction Fees (43145-70032-82700) Second Feeder I Construction Fees (43145-70033-82700) Total Electric Fund Expense Parking I Transportation Fund Expenses EIS, TDP labor I Contingency & General Fund balance (45032 -321 00-82000) Entrance to Aspen, Alternative H studiesl General Fund balance (45032-32100-82000) Total Transportation Fund Expense Transfers From General Fund for EIS, TDP labor I Contingency (45096-00000-95001 ) From General Fund for EIS, TDP labor I Fund Balance (45096-00000-95001 ) From General Fund for Entrance to Aspen Study I Fund Balance (45096-00000-95001 ) Total Transfers to Transportation Fund Water Place Housing Fund Expense Planning & Design Fees I Professional Fees (70194-05000-82700) Total Water Place Housing Fund Expense 6 167,900 207,224 167,900 30,000 18,000 207,224 30,000 15,000 48,000 (10,000) (20,000) (15,000) 45,000 189,981 (45,000) 189,981 ~"'" \. @e'" ~\ -<,- ,., '. "EXHIBIT B" MEMORANDUM TO: Amy Margerum, City Manager~, Stan Clauson, Community Development Directo~::'(~=~).. Debbie DuBord, Budget Assistant W November 16, 1995 THRU: FROM: DATE: RE: Recap of Entrance to Aspen Design Charrette Expenses $20,000.00 was appropriated for the Entrance to Aspen Design Charrette, The State of Colorado, Office of Energy Conservation contributed $6,047,50 in support of the Charrette. Total expenses were $26,773.35 as recapped below. The net cost to the City is $20,725.85. Staff requests that an additional $6,773.00 be appropriated to City Advance Planning Professional Fees. $6,047.50 should be appropriated to City Miscellaneous Revenue as an off-set of these expenses. Speakers: Professional Fees, Airfare and Lodging Advertising and Printing: Meeting Rooms & Meals: Miscellaneous: Follow-up assistance to charrette: Eugene Jud Professional Fees Lodging Total 7 $18,869.02 1,217.36 1,543.09 315.50 $3,521.42 $1,306.96 $26,773.35 'e; t,:~!,..", l\\ <'ii, ~, s-. ~,'e',;" \~.< '\\ ~~ Exhibit "e" MEMORANDUM TO: Mayor and City Council THRU: Amy Margerum, City Manag, \ \ ^ David Hauter, Asset ManagercW \ FROM: RE: Final Completion - City Hall Renovation DATE: December 5,1995 Summary: The Project is substantially complete. It has been a long arduous project, especially for all those who have had to carry on with business in and around a construction site. There have been many problems and difficulties in keeping City Hall operational during the construction process. The work remaining is mainly painting, finishing, systems testing and Punch List items that must be completed before the Project will truly be finished. The City Hall building has had a long history and many uses. It began as the Aspen Armory building in 1891-92 and was later used as a dance hall, roller rink and gymnasium. It became Aspen City Hall in the 50's, and today with the addition of the new Council Chambers, Lobby and meeting rooms below grade it is now a four story building. The new lower floor is accessed by the new central stairs, the elevator or from the outside by the new exterior stairs and lightwell with planting facing Conner Park. Renovation and "retrofitting" systems into an existing building poses many complex design and construction situations. The complexities ofthis project were great and the accomplishments are significant. The existing building has been excavated and underpinned to enclose 4,000 square feet of brand new finished space. This Project can be appreciated when you consider a 104 year old historical landmark building is still being used; it's exterior has been restored; and it is adapting itselfto today's systems and technologies. The actual costs of the new finished space under the existing structure cost approximately $165 per square foot. This compares favorably to new construction including interior finishes for similar space in downtown Aspen, especially when you make adjustments for the added structural problem of working under a historic existing building. The new lobby area and office remodeling at ground level includes an additional 2,200 square feet and approximately 1,200 square feet of office space has been remodeled on the second floor. 8 ,,&_, I" '" \' '< ~- . '.','It""., 10 ."., Exhibit "e" (cont.) Other aspects of the project included the complete restoration of the brick exterior; new sandstone exterior wall at council chambers; new insulating windows, miscellaneous electrical upgrades; a new roof; 3rd floor skylight remodel; exterior painting; roof repairs & structural reinforcement of the old roof structure; and the installation of a new communications infrastructure for an information systems network. The energy conservation of the building will also be greatly improved through the increased insulation value added by the new double pane windows and the conversion to a gas heating system for the new lower floor. Budget Request: At this time we are requesting that additional appropriations in order to take the Project through Final Completion in the amounts as follows: *Close-Out-- Phase One .......................................................$46,900 *Finish & Close -Out-- Phase Two.....................................$136,l00 Renovate 2nd Floor Bathrooms ..........................................$30,000 Tenant Furnishings................................................ ........... ...$1 0,000 Contingency........... ..... ..... ................ ........ ................... ... ..... .$20,000 TOTAL..... ................................................................... ..... ..$243 ,000 * These figures include approximately $90,300 claimed by the Contractor and not approved because we believe the charges are not valid. 9 ,a ,. ,&,.',:'1,.,'_.., (f, \\, ~",y-j m \,', EXHIBIT D MEMORANDUM TO: Mayor and City Council Steve Barwick, Assistant City ~ira:er _~ David Hauter, Asset Manager ~\ THRU: FROM: RE: Water Place Housing -- Update and Budget Request DATE: December 4, 1995 Summary: The project has progressed through a series of very constructive work sessions with the Design Team, P & Z and City Council. The Design Team has been synthesizing the input of this process and we are close to having a single site plan and concept to take to a neighborhood meeting for comment and then through the four-step review process leading to the Pinal Plat approval for the Project. The work this fall has been to integrate staff, council and P&Z input into a "Green Approach" to the new site plan and building design. The new design offers a more diverse unit mix and approaches the project with a more comprehensive planning process. At this time we are requesting that $120,000 be appropriated for Planning & Design to talee the Project through the Final Submission, Approvals and Design Development Phase. All of the cost of this Project will be reimbursed to the City through the sale of units. The following summarizes the overall design program and the budget status. The Program: TYPES BDRMS\ TOTAL UNIT BDRMS BTHS! UNIT TOTAL UNITS SF! UNIT TOTAL LIVING TOTAL GARAGE! CARPORT SF SF SINGLE FAMILY "A" SINGLE FAMILY "B" SINGLE FAMILY "C'" 2 960 1100 3 6 2 22000 4 2 1 1400 2800 480 4 2 2 1550 3100 960 4 8 DUPLEX "D" DUPLEX "E" 2 2 720 720 3 3 1100 950 3300 2850 3 2 9 6 TOWNHOUSES: 2 BD RM "F" 2 1 BD RM "G" 1 STUDIO "H" 1 900 3600 750 3000 600 1800 960 960 720 8 4 3 2 1 1 4 4 3 TOTALS 48 22 6,480 21,250 10 OPTION ".UNFIN." BSMNT. SF 1100 1400 1550 2200 1900 1800 1500 11 ,450 (.,'",',, ~(. ~_.., tS ~\- \\;- It.,' f,?"."" ~,. The above table indicates a project that has changed since the last update as follows: . The total number of new units has increased from 18 to 22. . Rather than demolishing the existing approx. 1,000 sf residence it is proposed that it remain. The feasibility of it being renovated should be investigated as a separate project. . The total proposed square footage ofliving space has been reduced. . The mix of units has been changed to include one bedroom and studio units. . The program has added the option for unfinished basements (future living space) under one half of the units. . The program includes garages at all single family units and open covered parking/storage at all other units. The Project was originally submitted as a combined Conceptual and Final Submission. This approach was not successful. The Project is now going through a redesign and more comprehensive planning process, and is on track for the full four step review process. Final approval should be obtained by next March. The new design requires a new plat, however the original application will be the basis of the new application, and the new application submitted as an addendum rather than starting over. Budget Request: The total cost for Planning, Design & Engineering of this Project was originally estimated at $200,000. City Council has previously appropriated $70,000 of this $200,000 for the Planning Phase of this Project. The estimated total cost for Planning, Design & Engineering has increased to $230,000 due to the change from a two-step to a four-step process. At this time we are requesting the appropriation of an additional $120,000 in order to take the Project through the Final Submission, Approvals and Design Development Phase. This appropriation will be reimbursed to the City through the sale of these new units andj or the existing Cemetery Lane units. Upon completion of the Design Development Phase the Project will be defined and described including all materials, structural & mechanical systems. At this stage we will be able to begin requesting proposals and enter into the bidding and negotiations with Contractors. 11 ~",0,"_'", \\11 '~ tit '$.' 10,.,.,." ~\, " BUOGET STATUS Version 12/6/95 -. I I I I City of Aspen .- _.n Water Place Housing Preliminary Budget Estimate I ... ., I Description Total Castl Total SF SF Land $0 Infrastructure $600,000 Landscaping $100,000 Buildings; Single Family Units 6700 95 $636,500 Duplex Units 6150 95 $584,250 Townhouse Units 8400 95 $798,000 Garagesl Covered Parking 6480 48 $311,040 SUB.TOTAL 27730 109 $3,029.790 Planning I Design: Thru Conceptual $70,000 Thru Design Development $120,000 Thru Construction $40,000 ---- Testing $10,000 ---" Applications/ Permits $40.000 Financing $100,000 Sewer Tap Fees u $43,000 Appaisal $5,000 -...- Contingency $40,000 SUB.TOTAL $468,000 TOTAL PROJECT COSTS $3,497,790 _. TOTAL TOTAL PROJECT COST! TOTAL SF OF LlVING(21250) = $164,60 !SF ,.,- I I 'UNIT SALES COST SUMMARY: UNIT DESCRIPTION #OF SF! TOTAL COST! TOTAL TYPE UNITS UNIT SF UNIT COST ,. .. "A" Single Family 2 1,100 2,200 $181,062 $362,124 "B" Single Family . 1 1,400 1,400 $230,443 $230,443 "C" Single Family 2 1.550 3,100 $255.133 $510,266 "0" Duplex 3 1,100 3.300 $181,062 $543,186 "E" Duplex 3 950 2,850 $156,372 $469,115 "F" (2) Bd Rm Townhome 4 900 3,600 $148,142 $592,567 "G" (I) Bd Rm Townhome 4 750 3.000 $123,451 $493.806 "H' Studio 3 600 1,800 $98.761 $296,283 ., TOTAL REVENUES $3,497.790 ~,-'" * The cost .of a basement is optional, and not included in the basic unit cost. 12 ~.' Mi'" ~\. :I,',.,':,.,."" Ii' '\', It $,."" ~ i(c \, Exhibit "E" TO: Mayor and City Council CC: Stan Clauson Doug Smith Amy Margerum ~ Additional Costs for Transportation Work FROM: RE: As you are aware, the City Council allocated $60,000 for work to be completed by OT AK on Alternative H and for review of the DEIS by consultants Eric Schreffler and Bob Johnson. As a result of requests from City Council, we have the following additional costs associated with this work which we can fund from the $30,000 which is being donated to this effort via the 1/2 cent sales tax. Please let me know if you have any problems with this approach. Due to the fast moving pace of this project, we have been unable to discuss these additions with the full Council. 5,000 copies of Brochure on Alternative H Mailing Costs of Brochure Video of OT AK Slide Presentation Additional analysis of increased RFT A service Travel time impacts of Alt H Meeting in Denver Dec 19 Contact of Vendors to Measure Interest Additional Costs 13 $4,000 $1,500 $2,000 $2,500 $1,250 $2,500 $1,250 $15,000 ~-- ~