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Staff details use-tax-funded capital projects, culverts and electrical upgrades
Summary
City staff reported $41,885 in reimbursable expenses on an ongoing Hall Park project and outlined upcoming use-tax projects including two culvert replacements (~$40,000 each) and $42,000 in electrical pedestal upgrades for RV parking and event spaces.
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Staff provided a line-by-line summary of use-tax-funded projects and reimbursements. Eric told the board they spent $41,885 on the first reimbursement expense and have received $20,942.58 back on a $50,500 total; a second expense of $47,193.83 was submitted and is expected to reimburse $23,596.91. He listed prior projects paid with use tax, including playground surfacing and a skate-park ramp.
Eric outlined upcoming capital needs, including two culvert replacements (each budgeted at about $40,000) and $42,000 for electrical pedestal upgrades to add 50-amp pedestals in the rodeo, demo-derby and amphitheater RV parking. He said some hauling costs are being reduced by using the city's truck for rip-rap hauling.
