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This memorandum was prepared by Don Cisco, Engineering Project Manager. <br /> BUDGET/TIME IMPLICATIONS: Budget Impact: Funding for this project will come from the Local <br /> Motor Fuel Tax Fund, the Water Fund, Sanitary Sewer Fund, and Storm Water Fund. Water valve box <br /> adjustments and patches from watermain work will be funded from the Water Fund ($375,251.80). Sanitary <br /> sewer manhole adjustments will be funded from the Sanitary Sewer Fund (S83,600). Storm sewer and inlets <br /> will be funded out of the Storm Water Fund (S37,515). It is proposed that a total project expenditure of <br /> $3.096,023.78 be authorized which includes 52,599,656.98 of Local Motor Fuel Tax funds and the amounts <br /> from the other sources listed. These amounts represent the low bid amount of S3.096,023.78. <br /> Staff Impact: Staff time has been allocated for this project in the Capital Improvement Plan. <br /> ATTACHMENTS: <br /> 1. 2026-39 Resolution Accepting the Bid and Authorizing the Execution of a Contract with Dunn Company, <br /> for the Local Motor Fuel Tax Street Improvement Pr <br /> 2. 2026-39 Council Bid Tab CP2026-25 <br />