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13 City of Pleasanton Capital Improvement Program • FY 2023/24 - FY 2026/27 <br />A summary of the major funded projects is as follows: <br />Transportation and Streets• $16.3 million in the CIP for street resurfacing and related improvements, including $8.2 million in the <br />first two years. In recent years, funding for this project has generally ranged between $3.0 million <br />and $4.0 million. Proposed annual funding of just over $4.0 million will allow the City to maintain local <br />roads and streets and continue to meet the standard set by the City’s Pavement Management Sys-tem Index. The actual streets to be resurfaced will be determined following an update to the City’s pavement management system. Notwithstanding this funding, staff anticipates that additional street <br />maintenance funding will be needed in the future to meet ongoing street maintenance needs. <br />• $5.3 million over a four-year period for various street-related maintenance and improvement proj- <br />ects, including slurry sealing ($3.3 million), installation of ramps on sidewalks and intersections ($0.8 <br />million), sidewalk maintenance ($0.6 million), intersection improvements ($0.4 million), and instal- <br />lation of traffic buttons and line markers ($0.2 million). These funded amounts are consistent with <br />funding in recent previous years. <br />• $1.5 million for installation of traffic signals at various locations to be determined consistent with the <br />General Plan and the City Traffic Improvement Fees. Signal locations will be presented to the City <br />Council before awarding a design and installation contract. <br />• $0.7 million for Bicycle and Pedestrian Improvements at various locations. <br />• (New) $0.4 million to repair and replace paved trail surfaces on various City-maintained trails. <br /> <br />Parks• $3.1 million for a new skate park at the Ken Mercer Sports Park. <br />• $1.5 million in annual projects, including playground renovations ($0.9 million) and court resurfacing <br />($0.6 million) at various locations. <br />• (New) $1.5 million for three new projects, including annual park sidewalk, trail, & pathway resurfacing <br />($0.8 million), replacement of irrigation controllers ($0.6 million), and Callippe Preserve trail improve- <br />ments ($0.1 million). <br />Facilities <br />• $4.4 million for design and construction of a 50-meter pool deck and replastering at the Aquatic <br />Center. <br />• $2.7 million for repairs and upgrades at the Police Department Training Facility. <br />• $0.9 million for replacement of lighting fixtures at the City Library. <br />Miscellaneous• $0.5 million over a four-year period for annual soundwall repair and replacement. <br />• (New) $3.5 million for two new projects, including updating of City infrastructure for fleet electrification <br />($2.0 million) and Asset Management Plan ($1.5 million). <br />Water and Sewer <br />• $6.0 million over a four-year period for annual repair and improvement of the sewer collection system. <br />• $4.2 million over a four-year period for annual repair and replacement of the water distribution sys- <br />tem ($4.0 million) and recycled water distribution system ($0.2 million). <br />• (New) $0.7 million for electrical improvements at Sewer Lift Station S-14.