HomeMy WebLinkAboutCity Council Resolution 2021-223
C ITY OF P LYMOUTH
R ESOLUTION N O. 2021-223
R ESOLUTION A PPROVING TO DESIGNATE FUNDING
FOR PUBLIC IMPROVEMENT PROJECTS
WHEREAS, public improvement projects have been undertaken by the City of Plymouth; and
WHEREAS, the projects have been approved by the City Council, but total project funding has not
been designated by resolution; and
WHEREAS, it is necessary to formally designate total project funding.
NOW, THEREFORE, BE IT HEREBY RESOLVED BY THE CITY COUNCIL OF THE CITY OF PLYMOUTH,
MINNESOTA, that the funding is designated as follows and the transfers be recorded in the financial records
effective December 31, 2020:
From To Amount Description
Streets Capital Projects General Fund $23,602 ST209004.001 - Public Works Mill & Overlay
$23,602
Facilities General Capital Projects $223,780 AS200001 - Council Chambers Remodel
Park Replacement General Capital Projects $57,437
PR140003.201 - Replace Misc Boardwalk
Park Replacement General Capital Projects $159,527
PR140004.201 - Tennis Court Repair
PR200001.181 - The Meadows - Community
Park Dedication General Capital Projects $8,660
/Playfield
Park Replacement General Capital Projects $234,664
PR200002 - Field Renovation/Replacement
Park Replacement General Capital Projects $248,586
PR209002 - Trail Repair
PR209003.201 - Playground Replacement - West
Park Replacement General Capital Projects $261,561
Medicine Lake
PR209003.202 - Playground Replacement - Swan
Park Replacement General Capital Projects $125,000
Lake
Park Replacement General Capital Projects $273,607
PR209004 - Misc Park Improvements
Park Replacement General Capital Projects $128,115
PR209005 - Park Amenities & Facilities
Park Replacement General Capital Projects $87,389
PR209007 - Park Building Repair/Renovation
General General Capital Projects $1,271
SRP201802 - Fire Department Radio Encryption
Plymouth Crk Cntr
Expanion General Capital Projects $734,451
PC180001 - Plymouth Creek Center Expansion
FM20006 - Community Development, Engineering
Resource Planning General Capital Projects $38,826
Office & Lunchroom Remodel
$2,582,874
Minnesota State Aid Streets Capital Projects $7,000 NCIP1901 - County Road 47 Corridor Study
Street Reconstruction Streets Capital Projects $46,193
ST110010.201- 2020 Concrete Sidewalk Replacement
ST179002.001 - Schmidt Lake Rd - Peony Ln to
Street Reconstruction Streets Capital Projects $1,072
Cheshire Ln Mill & Overlay
Street Reconstruction Streets Capital Projects $2,000
ST180002 - Troy Lane from 54th Avenue to CR47
Street Reconstruction Streets Capital Projects $1 ST189004.001 - 2018 PW Edge Mill & Overlay
Minnesota State Aid Streets Capital Projects $100,280 ST190005 - Brockton Lane Reconstruction Project
ST199001.001 - Candlelight Terrace Street
Street Reconstruction Streets Capital Projects $10,289 Reconstruction
Street Reconstruction Streets Capital Projects $66 ST199003 - Replace Retaining Walls - Rockford Road
Street Reconstruction Streets Capital Projects $600
ST210002 - Ridgemount Ave Rehabilitation
Street Reconstruction Streets Capital Projects $170,285
ST219001 - 2021 Street Reconstruction
Street Reconstruction Streets Capital Projects $126,074
ST219002 - 2021 Mill & Overlay Project
Street Reconstruction Streets Capital Projects $7,951
ST219005 - 2021 Full Depth Reclamation Project
Street Reconstruction Streets Capital Projects $1,219
STR16005 - Old Rockford Road Mill & Overlay
$473,030
Water Sewer
Water Construction $3,600
WTR15003 - Refurbish Zachary Water Tower
Water Sewer
Water Construction $18,000
WA190001 - Refurbish Central Water Tower
$21,600
Water Resources Water Res. Construction $5,539
WRS12036 - Plymouth Meadows Pond Maintenance
WR180001 - St. Mary’s Addition Drainage
Water Resources Water Res. Construction $4,145
Improvement
$9,684
Streets Capital Projects Water $5,500 ST190005 - Brockton Lane Reconstruction Project
Water Sewer
Construction in Progress Transferred - Refurbish
Construction Water $27,500
Central Water Tower
$33,000
Streets Capital Projects Water Resources $10,291 ST190005 - Brockton Lane Reconstruction Project
Water Res.
Construction in Progress Transferred - St. Mary’s
Construction Water Resources $4,145
Addition Drainage Improvement
Water Res. Construction in Progress Transferred - Elm Creek
Construction Water Resources $523 Stream Restoration - Hwy 55 to WHS
Water Res. Construction in Progress Transferred -
Construction Water Resources $50,078 Ivanhoe/Pleasant Hills Drainage Improvement
Water Res. Construction in Progress Transferred - Plymouth
Construction Water Resources $5,539 Meadows Pond Maintenance
$70,576
Utility Trunk System Trunk Utility Reimbursement for Maple Creek
Expansion Sewer $166,333 Meadow
$166,333
Streets Capital Projects Central Equipment $6,427 ST209004.001 - Public Works Mill & Overlay
Water Resources Central Equipment $316,043 Contribute Unit 2084 to Central Equipment
Water Resources Central Equipment $28,217 Contribute Unit 4017 to Central Equipment
$7,796 Unit 1064 new vehicle setup
$5,766 Unit 1730 new vehicle setup
$364,249
$3,744,948 TOTAL
APPROVED by the City Council on this 10th day of August, 2021.