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HomeMy WebLinkAboutCC_2021_04_27_AgendaPacket CITY OF ATASCADERO CITY COUNCIL AGENDA * COVID-19 NOTICE * Consistent with the SLO County Region 1 – Southern California Regional Stay at Home Order, the City Council Meeting will not be physically open to the public and City Council Members will be teleconferencing into the meeting. HOW TO OBSERVE THE MEETING: To maximize public safety while still maintaining transparency and public access, the meeting will be live-streamed on SLO-SPAN.org, on Spectrum cable Channel 20 in Atascadero, and on KPRL Radio 1230AM and 99.3FM. The video recording of the meeting will repeat daily on Channel 20 at 1:00 am, 9:00 am, and 6:00 pm and will be available through the City’s website or by visiting https://us02web.zoom.us/webinar/register/WN_ZwJ7a031S3KXauEym9ehaA. HOW TO SUBMIT PUBLIC COMMENT: Members of the public are highly encouraged to call 805-538-2888 to listen and provide public comment via phone, or submit written public comments to cityclerk@atascadero.org by 5:00 pm on the day of the meeting. Such email comments must identify the Agenda Item Number in the subject line of the email. The comments will be read into the record, with a maximum allowance of 3 minutes per individual comment, subject to the Mayor’s discretion. All comments should be a maximum of 500 words, which corresponds to approximately 3 minutes of speaking time. If a comment is received after the agenda item is heard but before the close of the meeting, the comment will still be included as a part of the record of the meeting but will not be read into the record. AMERICAN DISABILITY ACT ACCOMMODATIONS: Any member of the public who needs accommodations should contact the City Clerk’s Office at cityclerk@atascadero.org or by calling 805-470-3400 at least 48 hours prior to the meeting or time when services are needed. The City will use their best efforts to provide reasonable accommodations to afford as much accessibility as possible while also maintaining public safety in accordance with the City procedure for resolving reasonable accommodation requests. City Council agendas and minutes may be viewed on the City's website: www.atascadero.org. Copies of the staff reports or other documentation relating to each item of business referred to on the Agenda are on file in the office of the City Clerk and are available for public inspection on our website, www.atascadero.org. Contracts, Resolutions and Ordinances will be allocated a number once they are approved by the City Council. The Minutes of this meeting will reflect these numbers. All documents submitted by the public during Council meetings that are either read into the record or referred to in their statement will be noted in the Minutes and available for review by contacting the City Clerk's office. All documents will be available for public inspection during City Hall business hours once City Hall is open to the public following the termination of the Shelter at Home Order. Page 1 of 58 CITY OF ATASCADERO CITY COUNCIL AGENDA Tuesday, April 27, 2021 City Hall Council Chambers, 4th floor 6500 Palma Avenue, Atascadero, California COUNCIL CLOSED SESSION: 5:00 P.M. 1. CLOSED SESSION -- PUBLIC COMMENT 2. COUNCIL LEAVES TO BEGIN CLOSED SESSION 3. CLOSED SESSION -- CALL TO ORDER a. Conference with Labor Negotiators (Govt. Code Sec. 54957.6) Agency designated representatives: Rachelle Rickard, City Manager Employee Organizations: Atascadero Professional Firefighters, Local 3600; Atascadero Police Association; Service Employees International Union, Local 620; Mid-Management/Professional Employees; Non-Represented Professional and Management Workers and Confidential Employees 4. CLOSED SESSION – ADJOURNMENT 5. COUNCIL RETURNS 6. CLOSED SESSION – REPORT REGULAR SESSION – CALL TO ORDER: 6:00 P.M. PLEDGE OF ALLEGIANCE: Council Member Bourbeau ROLL CALL: Mayor Moreno Mayor Pro Tem Newsom Council Member Bourbeau Council Member Dariz Council Member Funk City Council Closed Session: 5:00 P.M. City Council Regular Session: 6:00 P.M. Page 2 of 58 APPROVAL OF AGENDA: Roll Call Recommendation: Council: 1. Approve this agenda; and 2. Waive the reading in full of all ordinances appearing on this agenda, and the titles of the ordinances will be read aloud by the City Clerk at the first reading, after the motion and before the City Council votes. PRESENTATIONS: None. A. CONSENT CALENDAR: (All items on the consent calendar are considered to be routine and non-controversial by City staff and will be approved by one motion if no member of the Council or public wishes to comment or ask questions. If comment or discussion is desired by anyone, the item will be removed from the Consent Calendar and will be considered in the listed sequence with an opportunity for any member of the public to address the Council concerning the item before action is taken.) 1. City Council Draft Action Minutes – April 13, 2021  Recommendation: Council approve the April 13, 2021 Draft City Council Regular Meeting Minutes. [City Clerk] 2. March 2021 Accounts Payable and Payroll  Fiscal Impact: $2,214,528.19  Recommendation: Council approve certified City accounts payable, payroll and payroll vendor checks for March 2021. [Administrative Services] 3. Budget Adjustment for the Atascadero Mall Sewer Condition Improvements Project  Fiscal Impact: $781,000.00  Recommendation: Council authorize the Director of Administrative Services to allocate an additional $250,000 in Wastewater Enterprise Fund balance toward the Atascadero Mall Sewer Condition Improvements Project budget (Project No. C2019W02). [Public Works] UPDATES FROM THE CITY MANAGER: (The City Manager will give an oral report on any current issues of concern to the City Council.) COMMUNITY FORUM: (This portion of the meeting is reserved for persons wanting to address the Council on any matter not on this agenda an d over which the Council has jurisdiction. Speakers are limited to three minutes. Please state your name for the record before making your presentation Comments made during Community Forum will not be a subject of discussion. A maximum of 30 minutes will b e allowed for Community Forum, unless changed by the Council. Any members of the public who have questions or need information may contact the City Clerk’s Office, between the hours of 8:30 a.m. and 5:00 p.m. at (805) 470-3400, or cityclerk@atascadero.org.) B. PUBLIC HEARINGS: None. Page 3 of 58 C. MANAGEMENT REPORTS: 1. Draft Strategic Plan and Draft Action Plan Study Session  Fiscal Impact: None.  Recommendation: Council review and provide staff direction on the Strategic Plan Draft and the Draft Action Plan. [Administrative Services] D. DISCUSSION ITEM: Discussion of COVID 19 issues including oral updates by Mayor Moreno and City Manager Rickard, questions by City Council, public comment and comments by City Council. 1. Coronavirus (COVID-19) update – Mayor Moreno 2. Coronavirus (COVID-19) update – City Manager Rickard E. COUNCIL ANNOUNCEMENTS AND COMMITTEE REPORTS: (On their own initiative, Council Members may make a brief announcement or a brief report on their own activities. The following represent standing committees. Informative status reports will be given, as felt necessary): Mayor Moreno 1. City Selection Committee 2. County Mayors Round Table 3. Economic Vitality Corporation, Board of Directors (EVC) 4. SLO Council of Governments (SLOCOG) 5. SLO Regional Transit Authority (RTA) Mayor Pro Tem Newsom 1. City / Schools Committee 2. Design Review Committee 3. League of California Cities – Council Liaison 4. Visit SLO CAL Advisory Committee Council Member Bourbeau 1. City of Atascadero Finance Committee 2. City / Schools Committee 3. Integrated Waste Management Authority (IWMA) 4. SLO County Water Resources Advisory Committee (WRAC) Council Member Dariz 1. Air Pollution Control District 2. California Joint Powers Insurance Authority (CJPIA) Board 3. City of Atascadero Finance Committee Council Member Funk 1. Atascadero Basin Ground Water Sustainability Agency (GSA) 2. Design Review Committee 3. Homeless Services Oversight Council Page 4 of 58 F. INDIVIDUAL DETERMINATION AND / OR ACTION: (Council Members may ask a question for clarification, make a referral to staff or take action to have staff place a matter of business on a future agenda. The Council may take action on items listed on the Agenda.) 1. City Council 2. City Clerk 3. City Treasurer 4. City Attorney 5. City Manager ADJOURN Please note: Should anyone challenge any proposed development entitlement listed on this Agenda in court, that person may be limited to raising those issues addressed at the public hearing described in this notice, or in written correspondence delivered to the City Council at or prior to this public hearing. Correspondence submitted at this public hearing will be distributed to the Council and available for review in the City Clerk's office. Page 5 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 1 of 6 CITY OF ATASCADERO CITY COUNCIL DRAFT MINUTES Tuesday, April 13, 2021 City Hall Council Chambers, 4th floor 6500 Palma Avenue, Atascadero, California COUNCIL CLOSED SESSION: 5:00 P.M. Mayor Moreno called Closed Session to order at 5:02 p.m. 1. CLOSED SESSION -- PUBLIC COMMENT – None. 2. COUNCIL LEAVES TO BEGIN CLOSED SESSION 3. CLOSED SESSION -- CALL TO ORDER a. Conference with Labor Negotiators (Govt. Code Sec. 54957.6) Agency designated representatives: Rachelle Rickard, City Manager Employee Organizations: Atascadero Professional Firefighters, Local 3600; Atascadero Police Association; Service Employees International Union, Local 620; Mid-Management/Professional Employees; Non-Represented Professional and Management Workers and Confidential Employees 4. CLOSED SESSION – ADJOURNMENT 5. COUNCIL RETURNS 6. CLOSED SESSION – REPORT The City Attorney reported that there was no reportable action. REGULAR SESSION – CALL TO ORDER: 6:00 P.M. City Council Closed Session: 5:00 P.M. City Council Regular Session: 6:00 P.M. Page 6 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 2 of 6 Mayor Moreno called the meeting to order at 6:01 p.m. and Council Member Dariz led the Pledge of Allegiance. ROLL CALL: Present: By Teleconference - Council Members Bourbeau, Dariz and Funk, Mayor Pro Tem Newsom and Mayor Moreno Others Present: None Staff Present: By Teleconference – City Manager Rachelle Rickard, Administrative Services Director Jeri Rangel, Public Works Director Nick DeBar, Community Development Director Phil Dunsmore, City Attorney Brian Pierik, Deputy City Manager/City Clerk Lara Christensen, and IT Manager Luke Knight APPROVAL OF AGENDA: MOTION: By Mayor Pro Tem Newsom seconded by Council Member Bourbeau to: 1. Approve this agenda; and, 2. Waive the reading in full of all ordinances appearing on this agenda, and the titles of the ordinances will be read aloud by the City Clerk at the first reading, after the motion and before the City Council votes. Motion passed 5:0 by a roll-call vote. PRESENTATIONS: 1. Proclamation Recognizing April 2021 as Sexual Assault Awareness Month The City Council presented a proclamation to Christina Kaviani with RISE. A. CONSENT CALENDAR: 1. City Council Draft Action Minutes – March 23, 2021 and March 24, 2021  Recommendation: Council approve the March 23, 2021 Draft City Council Regular and Special Meeting Minutes and the March 24, 2021 Draft City Council Special Meeting Minutes. [City Clerk] 2. Weed/Refuse Abatement Program  Fiscal Impact: The City recovers costs for administering this program through recovery of the cost of abatement, plus a flat fee of $260 plus a percentage charge of 166% administrative fee, which is placed on the San Luis Obispo County Special Tax Assessment for the fiscal year 2021-2022 Tax Roll.  Recommendation: Council adopt Draft Resolution, declaring vegetative growth and/or refuse a public nuisance, commencing proceedings for the abatement of said nuisances, and placing all abatement fees on the San Luis Obispo County Special Tax Assessment for the fiscal year 2021 -2022 Tax Roll. [Fire Department] Page 7 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 3 of 6 3. Property Acquisition for Santa Lucia Road Bridge Replacement Project  Fiscal Impact: Compensation for property acquisition, and permanent and temporary construction easements required for the Santa Lucia Road Bridge Replacement Project is covered in the 2020-2021 Santa Lucia Road Bridge Replacement Project budget. The total compensation to be paid at this time is $11,900. The HBRRP grant will cover 100% of the project costs.  Recommendation: Council adopt Draft Resolution approving compensation payments and Right-of-Way Agreements for property acquisitions located at APNs 054-271-007 and 054-272-015 for the Santa Lucia Road Bridge Replacement Project. [Public Works] 4. Annexation of the 10850 El Camino Real Subdivision into Community Facilities District 2005-1, Annexation No. 23 (10850 El Camino Real: Tract 3099)  Fiscal Impact: Assessments for this annexation are estimated to be $42,400 annually, adjusted each year for inflation. Deed restricted affordable units are exempt from the special tax.  Recommendation: Council adopt Draft Resolution, declaring its intention to annex territory, into Community Facilities District 2005-1 (Public Services) as Annexation No. 23 and to authorize the levy of special taxes therein (10850 El Camino Real: Tract 3099). [Community Development] 5. El Camino Real Downtown Infrastructure Enhancement Plan  Fiscal Impact: None.  Recommendation: Council adopt Draft Resolution and authorize staff to pursue grant-funding opportunities, in support for the Downtown Infrastructure Enhancement Project. [Public Works] MOTION: By Council Member Bourbeau and seconded by Council Member Funk to approve the Consent Calendar. (#A-2 Resolution No. 2021- 005) (#A-3 Resolution No. 2021-006 and Contract Nos. 2021-012 and 2021-013) (#A-4 Resolution No. 2021-007) (#A-5 Resolution No. 2021- 008) Motion passed 5:0 by a roll-call vote. UPDATES FROM THE CITY MANAGER: City Manager Rachelle Rickard gave an update on projects and issues within the City. COMMUNITY FORUM: The following citizens spoke by telephone or through the webinar during Community Forum: Kris Roudebush and Wendy Lewis Emails from the following citizens were read into the record by Deputy City Manager/City Clerk Christensen: Ron Krall Mayor Moreno closed the COMMUNITY FORUM period. Page 8 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 4 of 6 B. PUBLIC HEARINGS: None. C. MANAGEMENT REPORTS: 1. Del Rio Road / El Camino Real Plan Line in the Vicinity of the US 101 Interchange (West Side)  Fiscal Impact: None.  Recommendation: Council adopt Draft Resolution approving the Del Rio Road / El Camino Real Plan Line in the vicinity of the US 101 interchange (West Side). [Public Works] Public Works Director DeBar gave the staff report and answered questions from the Council. PUBLIC COMMENT: The following citizens spoke by telephone or through the webinar on this item: Geoff Auslen Mayor Moreno closed the Public Comment period. MOTION: By Council Member Bourbeau and seconded by Mayor Pro Tem Newsom to adopt Resolution No. 2021-009 approving the Del Rio Road / El Camino Real Plan Line in the vicinity of the US 101 interchange (West Side). Motion passed 5:0 by a roll-call vote. 2. General Plan & Housing Element Annual Progress Report 2020 (CPP 21-0024)  Fiscal Impact: None.  Recommendation: Council receive report of State housing goals, General Plan progress, and progress on housing unit production through 2020. [Community Development] Community Development Director Dunsmore gave the staff report and answered questions from the Council. PUBLIC COMMENT: The following citizens spoke on this item: None. Mayor Moreno closed the Public Comment period. The City Council received and filed the report. 3. City of Atascadero Marketing Update  Fiscal Impact: None.  Recommendation: Council receive and file Marketing Update recapping the calendar year for 2020 and a preview of 2021. [City Manager] Deputy City Manager Terrie Banish gave the staff report and answered questions from the Council. Page 9 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 5 of 6 PUBLIC COMMENT: The following citizens spoke by telephone or through the webinar on this item: Geoff Auslen Mayor Moreno closed the Public Comment period. The City Council received and filed the report. 4. Council Norms and Procedures Consideration of Amendments  Fiscal Impact: None.  Recommendation: Council review, amend and adopt change(s) to the Council Norms and Procedures. [City Manager] City Manager Rickard gave the staff report and answered questions from the Council. City Clerk Christensen and City Attorney Pierik also answered questions from the Council. PUBLIC COMMENT: The following citizens spoke by telephone or through the webinar on this item: None. Mayor Moreno closed the Public Comment period. There was no action taken on this item. Council provided direction to staff on further modification to the Norms to be brought back to the City Council under the Consent Calendar at a future meeting. D. DISCUSSION ITEM: Discussion of COVID 19 issues including oral updates by Mayor Moreno and City Manager Rickard, questions by City Council, public comment and comments by City Council. 1. Coronavirus (COVID-19) update – Mayor Moreno 2. Coronavirus (COVID-19) update – City Manager Rickard City Manager Rickard provided updates on Coronavirus (COVID -19) and answered questions from the Council. PUBLIC COMMENT: The following citizens spoke on this item: None. Mayor Moreno closed the Public Comment period. E. COUNCIL ANNOUNCEMENTS AND COMMITTEE REPORTS: The following Council Members made brief announcements and gave brief update reports on their committees since their last Council meeting: Page 10 of 58 ITEM NUMBER: A-1 DATE: 04/27/21 Atascadero City Council April 13, 2021 Page 6 of 6 Mayor Moreno 1. Regional Economic Action Coalition (REACH) Mayor Pro Tem Newsom 1. Design Review Committee Council Member Bourbeau 1. Integrated W aste Management Authority (IWMA) Council Member Funk 1. Atascadero Basin Ground Water Sustainability Agency (GSA) 2. Design Review Committee 3. Homeless Services Oversight Council F. INDIVIDUAL DETERMINATION AND / OR ACTION: None. G. ADJOURN Mayor Moreno adjourned the meeting at 8:20 p.m. MINUTES PREPARED BY: ______________________________________ Lara K. Christensen Deputy City Manager / City Clerk APPROVED: Page 11 of 58 ITEM NUMBER: A-2DATE: 04/27/21Page 12 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 3967 03/04/2021 ANTHEM BLUE CROSS HSA 8,136.21Payroll Vendor Payment 166962 03/04/2021 ATASCADERO MID MGRS ORG UNION 80.00Payroll Vendor Payment 166963 03/04/2021 ATASCADERO POLICE OFFICERS 1,904.00Payroll Vendor Payment 166964 03/04/2021 ATASCADERO PROF. FIREFIGHTERS 1,106.75Payroll Vendor Payment 166965 03/04/2021 EMPLOYMENT DEV. DEPARTMENT 2,284.50Payroll Vendor Payment 166966 03/04/2021 MASS MUTUAL WORKPLACE SOLUTION 6,454.07Payroll Vendor Payment 166967 03/04/2021 NATIONWIDE RETIREMENT SOLUTION 216.71Payroll Vendor Payment 166968 03/04/2021 NAVIA BENEFIT SOLUTIONS 1,685.71Payroll Vendor Payment 166969 03/04/2021 SEIU LOCAL 620 810.61Payroll Vendor Payment 166970 03/04/2021 VANTAGEPOINT TRNSFR AGT 106099 357.85Payroll Vendor Payment 166971 03/04/2021 VANTAGEPOINT TRNSFR AGT 304633 4,989.43Payroll Vendor Payment 166972 03/04/2021 VANTAGEPOINT TRNSFR AGT 706276 296.00Payroll Vendor Payment 3968 03/05/2021 STATE DISBURSEMENT UNIT 467.07Payroll Vendor Payment 3969 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 22,071.03Payroll Vendor Payment 3970 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 31,169.55Payroll Vendor Payment 3971 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 1,923.56Payroll Vendor Payment 3972 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 2,027.06Payroll Vendor Payment 3973 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 4,999.86Payroll Vendor Payment 3974 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 6,894.11Payroll Vendor Payment 3975 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 8,684.23Payroll Vendor Payment 3976 03/05/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 14,360.68Payroll Vendor Payment 166973 03/08/2021 ANTHEM BLUE CROSS HEALTH 206,031.61Payroll Vendor Payment 166974 03/08/2021 LINCOLN NATIONAL LIFE INS CO 1,912.99Payroll Vendor Payment 166975 03/08/2021 MEDICAL EYE SERVICES 1,769.60Payroll Vendor Payment 166976 03/08/2021 PREFERRED BENEFITS INSURANCE 8,443.10Payroll Vendor Payment 3977 03/09/2021 RABOBANK, N.A.50,193.22Payroll Vendor Payment 3978 03/09/2021 EMPLOYMENT DEV DEPARTMENT 14,965.03Payroll Vendor Payment 3979 03/09/2021 EMPLOYMENT DEV. DEPARTMENT 2,691.50Payroll Vendor Payment 3980 03/12/2021 BANK OF NEW YORK MELLON 352,079.94Accounts Payable Check 166977 03/12/2021 13 STARS MEDIA 476.17Accounts Payable Check 166978 03/12/2021 ACCESS PUBLISHING 377.50Accounts Payable Check 166979 03/12/2021 AGP VIDEO, INC.2,740.00Accounts Payable Check 166980 03/12/2021 ARCHIVE SOCIAL 1,095.60Accounts Payable Check 166981 03/12/2021 AT&T 46.98Accounts Payable Check 166982 03/12/2021 ATASCADERO DOOR COMPANY 260.00Accounts Payable Check 166983 03/12/2021 ATASCADERO HAY & FEED 1,714.03Accounts Payable Check 166985 03/12/2021 ATASCADERO MUTUAL WATER CO.6,286.00Accounts Payable Check 166986 03/12/2021 ATASCADERO MUTUAL WATER CO.2,340.78Accounts Payable Check 166987 03/12/2021 AVILA TRAFFIC SAFETY 92.67Accounts Payable Check 166988 03/12/2021 BASSETT'S CRICKET RANCH,INC.719.58Accounts Payable Check 166989 03/12/2021 BELL'S PLUMBING REPAIR, INC.440.00Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 13 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 166990 03/12/2021 KEITH R. BERGHER 383.75Accounts Payable Check 166991 03/12/2021 BERRY MAN, INC.1,256.25Accounts Payable Check 166992 03/12/2021 BUREAU VERITAS NORTH AMERICA 12,737.97Accounts Payable Check 166993 03/12/2021 CAL OES 2,494.00Accounts Payable Check 166994 03/12/2021 CARQUEST OF ATASCADERO 31.88Accounts Payable Check 166995 03/12/2021 CASEY PRINTING, INC.6,792.56Accounts Payable Check 166996 03/12/2021 CHARTER COMMUNICATIONS 8,609.83Accounts Payable Check 166997 03/12/2021 CLEVER CONCEPTS, INC.47.95Accounts Payable Check 166998 03/12/2021 COASTAL COPY, INC.239.93Accounts Payable Check 166999 03/12/2021 COASTAL REPROGRAPHIC SERVICES 33.83Accounts Payable Check 167000 03/12/2021 CREWSENSE, LLC 93.36Accounts Payable Check 167001 03/12/2021 CRYSTAL SPRINGS WATER 20.00Accounts Payable Check 167002 03/12/2021 CUESTA POLYGRAPH 2,050.00Accounts Payable Check 167003 03/12/2021 NICHOLAS DEBAR 300.00Accounts Payable Check 167004 03/12/2021 DELTA LIQUID ENERGY 1,002.29Accounts Payable Check 167005 03/12/2021 PHILIP DUNSMORE 300.00Accounts Payable Check 167006 03/12/2021 EL CAMINO VETERINARY HOSP 92.40Accounts Payable Check 167007 03/12/2021 ENTENMANN-ROVIN CO.431.52Accounts Payable Check 167008 03/12/2021 EP AERATION 402.99Accounts Payable Check 167009 03/12/2021 FENCE FACTORY ATASCADERO 390.52Accounts Payable Check 167010 03/12/2021 FERRELL'S AUTO REPAIR 444.17Accounts Payable Check 167011 03/12/2021 FRIENDS OF THE CHARLES PADDOCK 2,586.25Accounts Payable Check 167012 03/12/2021 GAS COMPANY 1,317.27Accounts Payable Check 167013 03/12/2021 HANSEN BRO'S CUSTOM FARMING 7,480.00Accounts Payable Check 167014 03/12/2021 HART IMPRESSIONS PRINTING 327.56Accounts Payable Check 167015 03/12/2021 DAVID P. HAYES 533.00Accounts Payable Check 167016 03/12/2021 JIFFY LUBE 95.81Accounts Payable Check 167017 03/12/2021 JK'S UNLIMITED, INC.6,657.40Accounts Payable Check 167018 03/12/2021 JOANN HEAD LAND SURVEYING 3,000.00Accounts Payable Check 167019 03/12/2021 JUSTIN KAMP 195.00Accounts Payable Check 167020 03/12/2021 KIRK CONSTRUCTION 171,012.95Accounts Payable Check 167021 03/12/2021 KPRL 1230 AM 320.00Accounts Payable Check 167022 03/12/2021 LEE WILSON ELECTRIC CO. INC 6,039.22Accounts Payable Check 167023 03/12/2021 LIFE ASSIST, INC.1,576.65Accounts Payable Check 167024 03/12/2021 MARBORG INDUSTRIES 62.28Accounts Payable Check 167025 03/12/2021 WADE MCKINNEY 496.51Accounts Payable Check 167026 03/12/2021 MICHAEL K. NUNLEY & ASSC, INC.569.08Accounts Payable Check 167027 03/12/2021 MIG 4,262.50Accounts Payable Check 167028 03/12/2021 MINER'S ACE HARDWARE 557.34Accounts Payable Check 167029 03/12/2021 MISSION UNIFORM SERVICE 41.60Accounts Payable Check 167030 03/12/2021 MNS ENGINEERS, INC.7,195.00Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 14 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 167031 03/12/2021 JULIAN A. MORA 1,330.00Accounts Payable Check 167032 03/12/2021 MORRO SECURE STORAGE 991.00Accounts Payable Check 167033 03/12/2021 MV TRANSPORTATION, INC.5,411.24Accounts Payable Check 167034 03/12/2021 NORTH COAST ENGINEERING INC.305.00Accounts Payable Check 167035 03/12/2021 ANDRES J. NUNO 2,750.00Accounts Payable Check 167036 03/12/2021 ANDRES J. NUNO 2,750.00Accounts Payable Check 167037 03/12/2021 NUTRIEN AG SOLUTIONS, INC.484.88Accounts Payable Check 167038 03/12/2021 OFFICE DEPOT INC.304.89Accounts Payable Check 167041 03/12/2021 PACIFIC GAS AND ELECTRIC 47,859.84Accounts Payable Check 167042 03/12/2021 PACIFIC WEST STEEL, INC.844.99Accounts Payable Check 167043 03/12/2021 FLAVIA PAROTTI 126.07Accounts Payable Check 167044 03/12/2021 PASO ROBLES FORD LINCOLN MERC 1,155.00Accounts Payable Check 167045 03/12/2021 PRAXAIR DISTRIBUTION, INC.59.86Accounts Payable Check 167046 03/12/2021 PROCARE JANITORIAL SUPPLY,INC.279.91Accounts Payable Check 167047 03/12/2021 PROSOUND BUSINESS MEDIA, INC.99.00Accounts Payable Check 167048 03/12/2021 RAINSCAPE, A LANDSCAPE SVC CO.7,242.00Accounts Payable Check 167049 03/12/2021 JERI RANGEL 300.00Accounts Payable Check 167050 03/12/2021 READYREFRESH BY NESTLE 62.50Accounts Payable Check 167051 03/12/2021 REVENUE & COST SPECIALISTS LLC 7,000.00Accounts Payable Check 167052 03/12/2021 RACHELLE RICKARD 500.00Accounts Payable Check 167053 03/12/2021 BROOKE ROBY 168.54Accounts Payable Check 167054 03/12/2021 SANTA MARIA TIRE, INC.1,469.20Accounts Payable Check 167055 03/12/2021 SCOTT O'BRIEN FIRE & SAFETY CO 1,725.63Accounts Payable Check 167056 03/12/2021 SERVICE SYSTEMS ASSC, INC.2,500.00Accounts Payable Check 167057 03/12/2021 SIGTRONICS CORP.524.11Accounts Payable Check 167058 03/12/2021 SOUTH COAST EMERGENCY VEH SVC 151.84Accounts Payable Check 167059 03/12/2021 STANLEY CONVERGENT SECURITY 637.53Accounts Payable Check 167060 03/12/2021 SUNLIGHT JANITORIAL, INC.1,700.00Accounts Payable Check 167061 03/12/2021 THOMA ELECTRIC, INC.850.00Accounts Payable Check 167062 03/12/2021 TURF STAR, INC.135.27Accounts Payable Check 167066 03/12/2021 U.S. BANK 19,761.84Accounts Payable Check 167067 03/12/2021 ULTREX LEASING 260.76Accounts Payable Check 167068 03/12/2021 VERDIN 11,088.35Accounts Payable Check 167069 03/12/2021 VERIZON WIRELESS 1,973.07Accounts Payable Check 167070 03/12/2021 VISITOR TELEVISION LLC 595.00Accounts Payable Check 167071 03/12/2021 VITAL RECORDS CONTROL 163.11Accounts Payable Check 167072 03/12/2021 WALLACE GROUP 38,576.17Accounts Payable Check 167073 03/12/2021 WALSH ENGINEERING 1,700.00Accounts Payable Check 167074 03/12/2021 WEX BANK - 76 UNIVERSL 7,449.10Accounts Payable Check 167075 03/12/2021 WEX BANK - WEX FLEET UNIVERSAL 5,634.93Accounts Payable Check 167076 03/12/2021 WHITLOCK & WEINBERGER TRANS.3,288.00Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 15 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 167077 03/12/2021 ZOETIS US, LLC 284.68Accounts Payable Check 3981 03/18/2021 ANTHEM BLUE CROSS HSA 8,036.21Payroll Vendor Payment 3982 03/18/2021 STATE DISBURSEMENT UNIT 467.07Payroll Vendor Payment 167078 03/18/2021 ATASCADERO MID MGRS ORG UNION 80.00Payroll Vendor Payment 167079 03/18/2021 ATASCADERO POLICE OFFICERS 1,833.50Payroll Vendor Payment 167080 03/18/2021 ATASCADERO PROF. FIREFIGHTERS 1,027.05Payroll Vendor Payment 167081 03/18/2021 MASS MUTUAL WORKPLACE SOLUTION 6,342.69Payroll Vendor Payment 167082 03/18/2021 NATIONWIDE RETIREMENT SOLUTION 276.16Payroll Vendor Payment 167083 03/18/2021 NAVIA BENEFIT SOLUTIONS 1,685.71Payroll Vendor Payment 167084 03/18/2021 SEIU LOCAL 620 832.16Payroll Vendor Payment 167085 03/18/2021 VANTAGEPOINT TRNSFR AGT 106099 357.85Payroll Vendor Payment 167086 03/18/2021 VANTAGEPOINT TRNSFR AGT 304633 4,992.70Payroll Vendor Payment 167087 03/18/2021 VANTAGEPOINT TRNSFR AGT 706276 396.00Payroll Vendor Payment 3983 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 22,071.03Payroll Vendor Payment 3984 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 30,167.90Payroll Vendor Payment 3985 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 2,068.23Payroll Vendor Payment 3986 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 2,008.56Payroll Vendor Payment 3987 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 4,999.86Payroll Vendor Payment 3988 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 7,247.16Payroll Vendor Payment 3989 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 8,162.99Payroll Vendor Payment 3990 03/19/2021 CALIF PUBLIC EMPLOYEES RETIREMENT SYSTEM 13,406.65Payroll Vendor Payment 3991 03/23/2021 RABOBANK, N.A.47,947.44Payroll Vendor Payment 3992 03/23/2021 EMPLOYMENT DEV DEPARTMENT 14,300.96Payroll Vendor Payment 3993 03/23/2021 EMPLOYMENT DEV. DEPARTMENT 2,572.37Payroll Vendor Payment 167088 03/26/2021 13 STARS MEDIA 627.70Accounts Payable Check 167089 03/26/2021 ALTHOUSE & MEADE, INC.356.25Accounts Payable Check 167090 03/26/2021 AMERICAN PUBLIC WORKS ASSC 102.06Accounts Payable Check 167091 03/26/2021 AMERICAN WEST TIRE & AUTO INC 2,491.66Accounts Payable Check 167093 03/26/2021 AT&T 1,122.89Accounts Payable Check 167094 03/26/2021 AT&T 384.52Accounts Payable Check 167095 03/26/2021 ATASCADERO MUTUAL WATER CO.15,153.04Accounts Payable Check 167096 03/26/2021 AURORA WORLD, INC.1,045.84Accounts Payable Check 167097 03/26/2021 BELL'S PLUMBING REPAIR, INC.199.00Accounts Payable Check 167098 03/26/2021 BIG RED MARKETING, INC.3,450.00Accounts Payable Check 167099 03/26/2021 CHARLES BOURBEAU 22.38Accounts Payable Check 167100 03/26/2021 CALPORTLAND COMPANY 2,685.07Accounts Payable Check 167101 03/26/2021 CARQUEST OF ATASCADERO 252.06Accounts Payable Check 167102 03/26/2021 CHARTER COMMUNICATIONS 67.41Accounts Payable Check 167103 03/26/2021 CHROMATIC COLLECTIVE 1,400.00Accounts Payable Check 167104 03/26/2021 CO OF SAN LUIS OBISPO SART PRG 563.00Accounts Payable Check 167105 03/26/2021 COUNTY OF SAN LUIS OBISPO 62.00Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 16 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 167106 03/26/2021 CREWSENSE, LLC 99.99Accounts Payable Check 167107 03/26/2021 CULLIGAN/CENTRAL COAST WTR TRT 70.00Accounts Payable Check 167108 03/26/2021 MARK DARIZ 22.38Accounts Payable Check 167109 03/26/2021 BRIAN DEDMOND 53.64Accounts Payable Check 167110 03/26/2021 PATRICIA DEIRMENJIAN 25.70Accounts Payable Check 167111 03/26/2021 DELTA LIQUID ENERGY 15.03Accounts Payable Check 167112 03/26/2021 DOGGIE WALK BAGS COMPANY 286.84Accounts Payable Check 167113 03/26/2021 ASHLEY DONOVAN 40.00Accounts Payable Check 167114 03/26/2021 JOSH DONOVAN 43.75Accounts Payable Check 167115 03/26/2021 EARTH SYSTEMS PACIFIC 9,718.50Accounts Payable Check 167116 03/26/2021 FERRELL'S AUTO REPAIR 698.53Accounts Payable Check 167117 03/26/2021 FGL ENVIRONMENTAL 162.00Accounts Payable Check 167118 03/26/2021 FIESTA MAHAR MANUFACTURNG CORP 1,039.03Accounts Payable Check 167119 03/26/2021 CHRISTOPHER GALPIN 80.00Accounts Payable Check 167120 03/26/2021 GAS COMPANY 1,557.25Accounts Payable Check 167121 03/26/2021 GLOBAL EYEWEAR 275.10Accounts Payable Check 167122 03/26/2021 HANSEN BRO'S CUSTOM FARMING 11,220.00Accounts Payable Check 167123 03/26/2021 HART IMPRESSIONS PRINTING 32.33Accounts Payable Check 167124 03/26/2021 BRET HEINEMANN 22.38Accounts Payable Check 167125 03/26/2021 HINDERLITER, DE LLAMAS 1,800.31Accounts Payable Check 167126 03/26/2021 JESSICA HOMEN 107.28Accounts Payable Check 167127 03/26/2021 IRON MOUNTAIN RECORDS MGMNT 122.39Accounts Payable Check 167128 03/26/2021 JK'S UNLIMITED, INC.1,201.39Accounts Payable Check 167129 03/26/2021 STEVEN KAHN 207.18Accounts Payable Check 167130 03/26/2021 TORI KEEN 22.38Accounts Payable Check 167131 03/26/2021 ESTHER KENNER 64.28Accounts Payable Check 167132 03/26/2021 KEY TERMITE & PEST CONTROL,INC 555.00Accounts Payable Check 167133 03/26/2021 WADE S. KNOWLES 40.00Accounts Payable Check 167134 03/26/2021 LEHIGH HANSON 574.31Accounts Payable Check 167135 03/26/2021 LIFE ASSIST, INC.1,327.88Accounts Payable Check 167136 03/26/2021 MADRONE LANDSCAPES, INC.415.00Accounts Payable Check 167137 03/26/2021 JAMIE MALESZA 64.30Accounts Payable Check 167138 03/26/2021 MARBORG INDUSTRIES 62.28Accounts Payable Check 167139 03/26/2021 NICHOLAS MATTSON 22.38Accounts Payable Check 167140 03/26/2021 MEYER TREE CONSULTING 420.00Accounts Payable Check 167141 03/26/2021 MID-COAST GEOTECHNICAL, INC.2,500.00Accounts Payable Check 167142 03/26/2021 MID-COAST MOWER & SAW, INC.126.88Accounts Payable Check 167143 03/26/2021 MIG 942.50Accounts Payable Check 167144 03/26/2021 MINER'S ACE HARDWARE 354.79Accounts Payable Check 167145 03/26/2021 MISSION UNIFORM SERVICE 199.82Accounts Payable Check 167146 03/26/2021 JULIAN A. MORA 445.00Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 17 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 167147 03/26/2021 HEATHER MORENO 134.96Accounts Payable Check 167148 03/26/2021 MOSS LANE VENTURES, LLC 56,430.00Accounts Payable Check 167149 03/26/2021 MUNICIPAL MAINT EQUIPMENT, INC 215.21Accounts Payable Check 167150 03/26/2021 DEREK NAVARRETTE 107.28Accounts Payable Check 167151 03/26/2021 NBS 6,978.16Accounts Payable Check 167152 03/26/2021 DANIELLE NUNES-HAKANSON 30.24Accounts Payable Check 167153 03/26/2021 NVB EQUIPMENT, INC.4,145.44Accounts Payable Check 167154 03/26/2021 OFFICE DEPOT INC.696.35Accounts Payable Check 167155 03/26/2021 O'REILLY AUTOMOTIVE, INC.64.63Accounts Payable Check 167156 03/26/2021 PEAKWIFI, LLC 650.00Accounts Payable Check 167157 03/26/2021 PERRY'S PARCEL & GIFT 131.75Accounts Payable Check 167158 03/26/2021 MATT PIGEON 190.72Accounts Payable Check 167159 03/26/2021 PRO TOW 260.00Accounts Payable Check 167160 03/26/2021 PROCARE JANITORIAL SUPPLY,INC.641.97Accounts Payable Check 167161 03/26/2021 PRP COMPANIES 414.77Accounts Payable Check 167162 03/26/2021 QUINCY ENGINEERING, INC.30,527.23Accounts Payable Check 167163 03/26/2021 QUINN RENTAL SERVICES 3,934.27Accounts Payable Check 167164 03/26/2021 RAINSCAPE, A LANDSCAPE SVC CO.16,360.98Accounts Payable Check 167165 03/26/2021 READYREFRESH BY NESTLE 86.16Accounts Payable Check 167166 03/26/2021 RICK ENGINEERING COMPANY 35,475.50Accounts Payable Check 167167 03/26/2021 MICHELE SCHAMBER 60.00Accounts Payable Check 167168 03/26/2021 SPEAKWRITE, LLC.866.10Accounts Payable Check 167169 03/26/2021 SPECIALIZED EQUIPMENT REPAIR 2,048.73Accounts Payable Check 167170 03/26/2021 SPECTRUM REACH 600.00Accounts Payable Check 167171 03/26/2021 BRUCE ST. JOHN 145.00Accounts Payable Check 167172 03/26/2021 RUTH STEWART 64.30Accounts Payable Check 167173 03/26/2021 SUNLIGHT JANITORIAL, INC.961.00Accounts Payable Check 167174 03/26/2021 SUPERION, LLC 900.00Accounts Payable Check 167175 03/26/2021 JERRY H TANIMOTO TRE 43.75Accounts Payable Check 167176 03/26/2021 THOMSON REUTERS - WEST 170.00Accounts Payable Check 167177 03/26/2021 ULTREX BUSINESS PRODUCTS 33.56Accounts Payable Check 167178 03/26/2021 ULTREX LEASING 260.76Accounts Payable Check 167179 03/26/2021 TRUIT G. VANCE 133.00Accounts Payable Check 167180 03/26/2021 VERIZON WIRELESS 1,148.90Accounts Payable Check 167181 03/26/2021 VILLAGE ORIGINALS, INC.102.00Accounts Payable Check 167182 03/26/2021 VITAL RECORDS CONTROL 163.11Accounts Payable Check 167183 03/26/2021 WALLACE GROUP 2,747.50Accounts Payable Check 167184 03/26/2021 WARM FUZZY TOYS 1,254.81Accounts Payable Check 167185 03/26/2021 WEST COAST AUTO & TOWING, INC.184.55Accounts Payable Check 167186 03/26/2021 BONNIE WILLIAMS 808.64Accounts Payable Check 167187 03/26/2021 WISHPETS CO.96.74Accounts Payable Check ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 18 of 58 Check Number Check Date Vendor Description Amount City of Atascadero Disbursement Listing For the Month of February 2021 167188 03/26/2021 WW SURVEYING, INC.175.00Accounts Payable Check 167189 03/26/2021 ZOOM IMAGING SOLUTIONS, INC.977.83Accounts Payable Check $1,628,293.05 ITEM NUMBER: A-2 DATE: 04/27/21 ATTACHMENT: 1 Page 19 of 58 ITEM NUMBER: A-3 DATE: 04/27/21 Atascadero City Council Staff Report – Public Works Department Budget Adjustment for the Atascadero Mall Sewer Condition Improvements Project RECOMMENDATION: Council authorize the Director of Administrative Services to allocate an additional $250,000 in Wastewater Enterprise Fund balance to ward the Atascadero Mall Sewer Condition Improvements Project budget (Project No. C2019W02). DISCUSSION: Background As part of the 2019-2021 CIP Budget, a Project was included to improve sewer condition deficiencies, including repairing cracked pipes, displaced pipe joints, non -conforming slopes and sags, and manhole issues. One of the problem locations needing improvement was the section of eight-inch sewer main crossing below State Route 101 (SR 101) between the Ardilla Road/Atascadero Mall intersection and behind the La Plaza development just north of the Atascadero Mall Plaza under construction . A construction contract was awarded to Rob Reynolds Construction, Inc. on February 9, 2021, for a total of $271,876.60. The project is designed as a “jack & bore” project, which consists of excavating “sending” and “receiving” pits, then boring a 4-inch pilot bit to establish alignment, followed with boring a 16-inch bore bit and steel casing, and lastly placing the 8-inch ductile iron sewer main pipe within the 16-inch steel casing. This trenchless construction is required to avoid trenching US 101 and f or better elevation control for gravity sewer construction. During the initial pilot tube boring process, the contractor encountered a substantial obstruction at approximately 160 feet from the sending pit located at the intersection of Atascadero Mall and Ardilla Avenue. A second pilot tube bore with a slightly different alignment was started, hoping to avoid the obstruction, but was also halted at the same distance. While no objects were found on any as -built plans during the sewer project design phase, City staff did further research and found two historical photos that indicate the obstruction is likely a large box culvert that originally conveyed drainage across and below Atascadero Mall, but must have been buried in place during construction of the freeway in the 1950’s (shown in boxed areas in photos below). No construction plans are available for Atascadero Mall, the box culvert, or this segment of existing sewer main. Page 20 of 58 ITEM NUMBER: A-3 DATE: 04/27/21 The contractor took exploratory borings above the obstruction in the US 101 northbound lanes to determine the location and elevation of the obstruction to better determine if an Page 21 of 58 ITEM NUMBER: A-3 DATE: 04/27/21 abandoned box culvert did exist and the extents of the obstruction. The exploratory borings confirmed it is highly likely that the obstruction is the abandoned box culvert structure. Abandoning structures in place was common prior to the 1970’s and unfortunately, somewhat common in older parts of Atascadero, such as the downtown. Several recent excavation projects within the downtown core uncovered previously unknown obstructions, including concrete rubble dumps, old concrete curb, and abandoned foundations and footings. Alternative Analysis After determination of assumed obstruction type, City engineering staff reviewed multiple alternatives. Alternatives considered to be feasible include: Alternative 1: Vertical excavation to remove obstruction from above. The obstruction falls within the limits of the northbound US 101 off-ramp at Traffic Way, so this alternative will require ramp closure for an extended period, as well as trench shoring due to obstruction depth (approximately 14.5 feet from roadway surface to top of culvert). After removal of obstruction trench the area will be backfilled and the boring will proceed as originally planned. This method ensures full removal of obstruction, while also allowing for construction of the sewer line as originally designed. Alternative 2: Installation of 28” boring pipe to obstruction, then manual removal of obstruction by a worker from within the pipe. This method, while potentially feasible, is considerably more dangerous and is similar in expected cost to Alternative 1. In addition, during vertical exploratory coring, it was determined that the culvert may not have been backfilled prior to being buried and could be voided, which “jack & bore” construction methods are unable to accommodate. Alternative 3: Switch construction method to direction drilling or micro tunneling. This alternative, while potentially feasible, also cannot bridge void spaces and may not work due to thickness of existing culvert walls, and expected steel reinforcement. Additionally, existing bore pits would need to be reconstructed and a switch of construction method would almost certainly result in a greater overall cost. Alternative 4: Switch construction method to pipe bursting. This is a common method of sewer line replacement, which places a new pipe within the existing pipe alignment. However, since the original impetus for this project is to fix the vertical alignment issues with the existing pipe, this alternative would not result in a significantly better final product. Additionally, based on coring data, it now appears likely that the existing sewer line was actually constructed through the box culvert, making pipe bursting potentially impossible. Alternative 5: Bore new pipe over obstruction. This alternative is possible but would result in the new sewer main placed at a slope of 0.2%, which is below minimum design slope for gravity sewers. City standards require a minimum of 0.5% on 8” sewer mains and it is advisable to be steeper to ensure cleansing velocity. Additionally, to avoid existing utilities on the downstream side, a manhole would need to be constructed within Caltrans right- of-way with a permanent easement of maintenance access right granted. While the cheapest option, this alternative would likely not significantly decrease maintenance frequency from the existing condition and would have the highest long-term costs and staff time requirements. Page 22 of 58 ITEM NUMBER: A-3 DATE: 04/27/21 Alternative 6: Abandon existing project and construct at new alignment. This alternative would abandon the existing project and construct a new alignment approximately 100 feet to the north. This would be the most costly alternative and would require performing new surveying and design, preparing plans and specifications, and re-bidding the new project.design. In addition, there are no assurances other obstructions would not be encountered in the new alignment. The new alignment would be installed in a cellular tower easement that would take a very long time to resolve. Lastly, Ardilla Avenue between Santa Lucia Road and Atascadero Mall requires closure during construction. After thorough review of the various alternatives with the contractor and the design team, the City Engineer recommends Alternative 1 to be the most reasonable approach while considering cost, schedule, and overall project success. Alternative 1 will require closure of the No. 2 northbound lane (right-hand lane) of US 101, including ramp closures at SR 41 and Traffic Way, to allow the contractor to excavate 15 + feet below US 101. Staff and the contractor have developed a work plan which was submitted to Caltrans for approval of US 101 impacts that are estimated to last a week. Staff expects a response from Caltrans in the next couple of weeks. In the meantime, a work suspension order has been issued to the contractor pending Caltrans approval and City Council authorization of budget adjustments to cover these increased costs. Fiscal Analysis The contractor has provided a detailed cost breakdown of additional expenses incurred to date, including demobilizing and remobilizing the subcontractor, providing extended traffic control at the sending bore pit (Atascadero Mall), and to provide exploratory boring. Contractor has further provided a cost estimate to do all work associated with obstruction removal within Caltrans right-of-way. A summation of these costs is as follows: Additional Work Costs Additional Work Item Subcontractor Costs, Demobilization & Remobilization 20,000$ Exploratory Boring, Traffic Control 45,000 Additional Traffic Control and Shoring (Atascadero Mall)10,000 Obstruction Removal Phase 1: Night Work, Traffic Controls, Mobilization 80,000 Phase 2: Excavate Obstruction 35,000 Phase 3: Removal of Obstruction 42,500 Phase 4: Slurry, Trench Plates 20,000 Phase 5: Night Work, Guard Rail, Slurry Excavation 42,500 Phase 6: Night Work, A/C Paving, Lane Closure 17,500 Phase 7: Reinstall Guard Rail, Demobilize 12,500 Obstruction Removal Subtotal 250,000 Total Additional Work Costs 325,000$ Estimated Cost Page 23 of 58 ITEM NUMBER: A-3 DATE: 04/27/21 FISCAL IMPACT: Council approval of staff’s recommendation will increase the project budget amount by $325,000. While this increase is substantial in relation to the construction contract amount, the contractor’s bid was fortunately significantly lower than other bid amounts. To date, the estimated work completed is $225,000. The Project funding sources and uses are as follows: ESTIMATED EXPENDITURES Design and Bid Phase $ 92,000 Construction Contract $ 271,877 Construction Inspection/Testing/Management (13.8%) $ 37,748 Construction Contingency (20%) $ 54,375 Additional Costs associated with Obstruction Removal $ 325,000 Total Estimated Expenditures: $ 781,000 BUDGETED FUNDING Budgeted Wastewater Funds $ 456,000 Additional Wastewater Funds $ 325,000 Total Funding $ 781,000 ALTERNATIVES: Council may cancel the project or direct staff to pursue one of the other alternatives listed above. Cancelling the project will “kick the can” down the road since the sewer main requires replacement and incurred costs to date will be for none. Selecting a different alternative could increase costs, delay replacement schedule, or could be less successful. ATTACHMENTS: None. Page 24 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 Atascadero City Council Staff Report – Administrative Services Draft Strategic Plan and Draft Action Plan Study Session RECOMMENDATION: Council review and provide staff direction on the Strategic Plan Draft and the Draft Action Plan. REPORT IN BRIEF: The passage of Measure D-20 and the resulting much needed funding are truly a benefit; it is also a tremendous responsibility of both the community and the Council to spend these funds, along with all City funds wisely. Staff and the public have provided specific input to the Council. Based on the input received, at their February 19-20 goal setting session, Council developed four strategic priorities each with key focus areas for consideration. Based on the significant public input received and the discussions that took place as part of the February 19-20 goal setting session, staff has developed a draft action plan intended to be used as a guiding document for not only the two -year budget, but also for the work to be performed by staff over the next two years. Tonight’s session is intended to review the action plan and some of the costs expected to achieve that action plan in order to refine the plan and to provide general direction for the budget. At this meeting, we are not intending to arrive at final budget figures but instead staff hopes to receive information from the Council on t he general priorities and relative importance of various potential action items. Based on input received, staff will come back with a final Action Plan and budget for adoption. DISCUSSION: As part of considering a sales tax measure on the November 2020 ballot, the Council clearly expressed the desire to have a very robust public outreach process on the expenditure of the sales tax proceeds, should the measure be passed by the voters. Council understood the importance of transparency and the need to insure that the public would have multiple opportunities to provide input on the City’s priorities and the expenditure of both the tax measure funds and other City funds. In September 2020, the Council approved a strong public outreach plan that included bringing back a robust discussion item on the Action Plan prior to adoption of the budget and final action plan. Page 25 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 Background on Public Engagement and input received on Priorities Public engagement is a continuous ongoing dialog between City Council, City staff and the community. The City’s budget process is purposely structured to receive public input on where funds are spent. Members of the public can speak at City Council meetings, reach out to Council Members outside of the meeting setting, and talk with City staff. Survey In preparation for the 2021-2023 budget cycle, the Council expanded public outreach even further. The City Council commissioned a Revenue Measure Feasibility Study performed by True North Research, Inc. The survey was administered to a random sample of 787 voters in the City of Atascadero who were likely to participate in the November 2020 election. The survey followed a mixed -method design that employed multiple recruiting methods (telephone and email) and m ultiple data collection methods (telephone and online). Administered between January 18 and January 23, 2020, the average interview lasted 16 minutes. The survey was one more method of gathering feedback from the community, and results were not unexpected. When presented with a list of 10 City services that could be funded by the sales tax measure, the surveyed voters were most interested in using the money to 1) provide fire protection and paramedic services; 2) provide quick responses to 911 emergencies; and 3) repair and maintain public facilities and infrastructure. Kickoff The formal kickoff session for the public outreach meetings was held at the January 12, 2021 Council meeting. Staff is charged with providing services to the community on a day to day basis and has a deep understanding of the existing resource constraints that are barriers to providing services at levels that the community would like to see. In preparation for the January 12 meeting, staff identified the following key categories of existing resource deficiencies:  Equipment Replacement and Additions  Vehicles / Apparatus Replacement  Fire Stations Rehabilitation  Staffing Levels  Employee Retention  Concerns Related to Transients and Homelessness Issues  Deferred Maintenance  Unfunded Infrastructure  Economic Development  Underfunded Operations  Operational Efficiencies At the January 12 meeting, Council viewed a video that would be played at each of the following D-20 study sessions and heard public input on the video and priorities for the expenditure of D-20 funds. Page 26 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 Study Sessions Following the January 12 meeting, the City held 9 separate study sessions as follows:  Study Session 1: Thursday, January 14th, 10am  Study Session 2: Thursday, January 14th, 2pm  Study Session 3: Wednesday, January 20th, 4pm  Study Session 4: Saturday, January 23rd, 10am  Study Session 5: Thursday, January 28th, 6pm  Study Session 6: Friday, January 29th, 12pm  Study Session 7: Monday, February 1st, 1:30pm  Study Session 8: Thursday, February 4th, 4pm  Study Session 9: Saturday, February 6th, 9am At each of the study sessions the participants viewed the video prepared by staff on the priorities that had been identified at the January 12th meeting. The participants were given a brief opportunity to ask questions about the video and then were broken into smaller breakout groups. Each breakout group was led by a minimum of two senior staff members and the participants were asked to brainstorm and answer a series of questions. Over all, there were over 130 people that attended at least some portion of a session and about 100 separate individuals who were able to engage for an entire session. Those sessions generated 150 pages of input and were provided to Council and the public in preparation for the Council Strategic Planning Session. Below are the Questions asked of the study session participants:  What is going well in the City?  What things big and small would make Atascadero better?  The City has promised to spend some of these funds on expenses that have been put off a long time. Which of these do you think are the most important and which could be delayed a little longer?  If the City spent the D-20 funds perfectly, what would success look like as part of the development of Measure D-20?  How should the City measure that success?  What else we should know that we did not ask. February 19-20, 2021 Goal Setting Workshop (Strategic Planning Session) On the evening of Friday February 19 and the morning of Satu rday February 20, Council, staff and interested members of the public got together to determine the priorities for not only the expenditure of Measure D-20 funds, but also the priorities for the expenditure of all funds. The session was facilitated by Nicole Lance and Eric Bailey of Extraordinary Balance. Prior to the meeting, the facilitators had interviewed Council Members and executive staff, along with reviewing the input provided at the nine study sessions, in order to understand general priorities and areas of concern. The interviews took into account the public input that each interviewee had received from: Page 27 of 58 ITEM NUMBER: C-1 DATE: 04/27/21  Public comments  Discussions with community members  Emails  Financial strategies, budgets and audits  Discussions with staff and general operational knowledge  Results of the January 2020 statistical survey  Feedback provided to Council members throughout the election cycle  January 2021 kickoff session  Emails received from the public regarding the expenditure of D -20  Nine study sessions The session began on Friday with some communication exercises and a review of the progress made on the 2019-2021 priorities. Summaries of the input received were pre-populated on a document and the facilitators walked the meeting participants through an exercise to categorize the items of interest into four separate strategic priorities and focus areas. Breakout groups then defined each of the four categories: ECONOMIC AND COMMUNITY VIBRANCY MEANS: Creating the environment and services to nurture quality and diverse economic, recreational, and community connections that create prosperity and enrich our genuine, authentic community. Key Focus Areas - Recreation & Events - Downtown - Safe & Hospitable Business/Work Environment - Business Infrastructure, Technology & Support FISCAL AND INFRASTRUCTURE EFFICIENCY & SUSTAINABILITY MEANS: Continuing to be responsible and accountable stewards of our resources now and into the future by efficiently and effectively investing in modern and reliable infrastructure and equipment, and maintaining financial stability regardless of economic conditions. Staff has the tools, technology and resources they need to do their jobs. Key Focus Areas - Asset Management/Replacement/Modernization - Financial Strategies - Transparency & Accountability Page 28 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 ENSURING PUBLIC SAFETY AND PROVIDING EXCEPTIONAL CITY SERVICES MEANS: That we have the tools, resources, and professional staffing necessary to create and maintain an environment where our community (residents, businesses, visitors, and staff) feels safe, served, and mutually respected. Key Focus Areas - Staffing - Unhoused Population - Community Engagement QUALITY OF LIFE We are embracing our warm friendly atmosphere and building on our sense of community by providing attractions, open spaces, outdoor interactions, and a variety of things to do for all. Atascadero: Where everybody knows your name and is willing to lend a hand. Key Focus Areas - Things to do - Welcoming and inclusive - Supporting families At the meeting, Council prioritized the Key focus areas for all strategic priorities as follows: Focus Area D20 High Priority Medium Priority Recreation & Events x Downtown x Safe & Hospitable Work/Business Environment x Business Infrastructure, Technology & Support x x Asset Management/Replacement/Modernization x x Financial Strategies x x Transparency & Accountability x x Staffing - x x Unhoused Population x x Community Engagement x Things To Do x Welcoming * x Supporting Families x Page 29 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 Department Head Strategic Planning Based upon the input received, City staff began the work of preparing operating budgets, refining revenue projections, identifying deficiencies, researching solutions for areas of prioritization, developing cost projections, and generally gathering information. Extraordinary Balance then worked with the department head team to develop an action plan. For each key focus area under the four strategic priorities, actions that would advance the key focus areas were brainstormed and categorized into those actions that could be accomplished within the two year budget time frame and those actions that would take longer to accomplish. The draft action plan includes the group notes from the Council Goal Setting session in February, Year 1-2 Action items, and Beyond Year 2 Action Items. Once the action plan was developed, the arduous task of looking at all supplemental budget requests through the lens of does this budget request move us closer to advancing one of the Key Focus areas in the area of Strategic Priorities or does funding the budget request item divert resources to an area that is not a strategic priority. Once staff refined the budget requests and action plan, there were still well over $25 million in one-time and on-going funding requests. All of the budget requests are for much needed repairs, staffing, equipment, priorities and programs; however there is not enough available funding to fund all of the items on the list , nor is the list an exhaustive list of those items needed to serve the community. While staff is still refining final costs and looking at other potential solutions, the draft list of budget requests was then sorted into four separate categories or tiers based on the identified priorities and the relative consequences of not funding the request . The categories for the lists are as follows:  Measure D-20 Tier 1: Those top budget requests that clearly are a priority for Measure D-20 funds based on the input received throughout the Measure D-20 process and the Focus Area prioritization as developed during the Council Goal Setting Session.  General Fund Tier 1: Those top budget requests that are either necessary (i.e. cost of the animal control contract with the County), were identified as a high priority but didn’t necessarily rise to the first cut of Measure D-20 funds (i.e. improving the City website), those items that improve staff efficiency or staff time (i.e. electronic plan review equipment) and a few of those items that addressed key focus areas that were listed as a medium priority (i.e. lake algae bloom management).  Tier 2: Those budget requests that are imp ortant, perhaps even identified specifically in the Council Goal Setting session, but that based on the amount of available funding may not fit within the upcoming budget cycle’s available funding.  Use of Replacement Reserves / Identified Funds: Budget re quests where there was an identified reserve available to replace existing vehicles or technology equipment were placed in this category. The planned General Fund update was also placed in this category as the City will seek grants and use available General Fund reserves. Page 30 of 58 ITEM NUMBER: C-1 DATE: 04/27/21 Each list provides a range of estimated costs for each budget request and indicates the strategic priorities that would be advanced if funded. While numbers continue to be crunched and information gathered, staff believes that each item listed under Tier 1 (both D-20 and General Fund) can be funded at some level in the upcoming budget cycle. Although staff will continue to look for opportunities for those items listed under Tier 2, it is likely that most if not all items on this will not be funded in this budget cycle. Review of the Action Plan Tonight’s session is intended to review and refine the Draft Action Plan. The information provided on the budget requests is intended to provide context for the Draft Action Plan and to generally assist in understanding the resources necessary to advance the plan. While the draft action plan in large part will drive the budget and the expenditure of Measure D-20 funds, this review is not intended to be a detailed budget setting session. Instead, the review is intended to insure that the actions are consistent with the Council’s vision and to seek Council input on the relative prioritization of those actions and budget requests necessary to implement the Draft Action Plan. Next steps Based on the input received from tonight’s Council meeting, staff will go back and refine the Action Plan and will begin building the budget. Over the next month, the Finance Committee will review the draft budget that incorporates the feedback received from tonight’s meeting and will recommend a Draft Budget and Action Plan for adoption by the City Council at the June 8th Council meeting. FISCAL IMPACT: There is no fiscal impact for this item. ALTERNATIVES: Not Applicable. ATTACHMENTS: 1. Draft Strategic Plan 2. Draft Action Plan 3. Supplemental Budget Request Page 31 of 58 CITY OF ATASCADERO Strategic Plan Draft Modified: 4/8/2021 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 32 of 58 1 Table of Contents Table of Contents 1 This Plan 2 The Process 2 The Steps of Creating the Strategic Plan 2 Strategic Priorities 3 ECONOMIC AND COMMUNITY VIBRANCY 4 Definition 4 Key Focus Areas 4 FISCAL AND INFRASTRUCTURE EFFICIENCY & SUSTAINABILITY 4 Definition 4 Key Focus Areas 4 ENSURING PUBLIC SAFETY AND PROVIDING EXCEPTIONAL CITY 5 Definition 5 Key Focus Areas 5 QUALITY OF LIFE 5 Definition 5 Key Focus Areas 5 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 33 of 58 2 This Plan This plan was developed by the City of Atascadero in conjunction with Nicole Lance and Eric M. Bailey, Managing Partners of Extraordinary Balance, a consulting firm based in Phoenix, AZ. Research has shown that by developing this plan, City of Atascadero leadership has a much higher sense of ownership over the direction of the work and will exhibit significantly higher energy and passion toward achieving the outcomes. This ownership leads to more efficient use of time, more creative work output, and increased job satisfaction. Extraordinary Balance is a learning organization. Our methods are rooted in years of research on organizational psychology, team dynamics, and neuroscience that weave together a unique experience unlike any other. With a focus on science and real-world application, our method appeals to people on both sides of the analytical / emotional continuum and delivers unmatched business results. The Process The strategic planning process is as important as the plan itself. The Extraordinary Balance team process is designed to teach participants how to understand themselves so that they can clearly communicate their purpose. It is designed to teach participants how to understand each other so that they can honestly listen to new ideas. It is designed to teach participants how to understand the process, so that they can be fully engaged in creating, sharing, and executing the strategic plan. The Steps of Creating the Strategic Plan 1. Learn the Principles of Human UnderstandingTM 2. Identify the Strategic Priorities 3. Define the Strategic Priorities for optimal external and internal communication 4. Create Key Focus Areas for each Strategic Priority 5. Identify high-impact action items grouped into, “years one and two” and “beyond year two” in a separate action planning document ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 34 of 58 3 Strategic Priorities Through a process of discovery and collaboration between council members and staff along with community input, the City of Atascadero identified four strategic priorities for the upcoming strategic plan:  Economic and Community Vibrancy  Fiscal and Infrastructure Efficiency & Sustainability  Ensuring Public Safety and Providing Exceptional City Services  Quality of Life ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 35 of 58 4 ECONOMIC AND COMMUNITY VIBRANCY Definition Creating the environment and services to nurture quality and diverse economic, recreational, and community connections that create prosperity and enrich our genuine, authentic community. Key Focus Areas 1. Recreation & Events 2. Downtown Atascadero 3. Safe & Hospitable Business/Work Environment 4. Business Infrastructure, Technology & Support FISCAL AND INFRASTRUCTURE EFFICIENCY & SUSTAINABILITY Definition Continuing to be responsible and accountable stewards of our resources now and into the future by efficiently and effectively investing in modern and reliable infrastructure and equipment and maintaining financial stability regardless of economic conditions. Staff has the tools, technology and resources they need to do their jobs. Key Focus Areas 1. Asset Management/Replacement/Modernization 2. Financial Strategies 3. Transparency & Accountability ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 36 of 58 5 ENSURING PUBLIC SAFETY AND PROVIDING EXCEPTIONAL CITY Definition That we have the tools, resources, and professional staffing necessary to create and maintain an environment where our community (residents, businesses, visitors, and staff) feels safe, served, and mutually respected. Key Focus Areas 1. Staffing 2. Unhoused Population 3. Community Engagement QUALITY OF LIFE Definition We are embracing our warm, friendly atmosphere and building on our sense of community by providing attractions, open spaces, outdoor interactions, and a variety of things to do for all. Atascadero: Where everybody knows your name and is willing to lend a hand. Key Focus Areas 1. Things to do 2. Welcoming and Inclusive 3. Supporting families ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 1 Page 37 of 58 CITY OF ATASCADERO Action Plan Draft Modified: 4/8/2021 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 38 of 58 1 Table of Contents Strategic Priorities 2 ECONOMIC AND COMMUNITY VIBRANCY 3 Key Focus Area: Recreation & Events 3 Key Focus Area: Downtown 4 Key Focus Area: Safe & Hospitable Business / Work Environment 5 Key Focus Area: Business Infrastructure, Technology & Support 6 FISCAL AND INFRASTRUCTURE EFFICIENCY & SUSTAINABILITY 7 Key Focus Area: Asset Management / Replacement / Modernization 7 Key Focus Area: Financial Strategies 8 Key Focus Area: Transparency & Accountability 9 ENSURING PUBLIC SAFETY AND PROVIDING EXCEPTIONAL CITY 10 Key Focus Area: Staffing 10 Key Focus Area: Unhoused Population 11 Key Focus Area: Community Engagement 11 QUALITY OF LIFE 13 Key Focus Area: Things to do 13 Key Focus Area: Welcoming and Inclusive 14 Key Focus Area: Supporting families 15 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 39 of 58 2 Strategic Priorities Through a process of discovery and collaboration between council members and staff, the City of Atascadero identified four strategic priorities for the upcoming strategic plan:  Economic and Community Vibrancy  Fiscal and Infrastructure Efficiency & Sustainability  Ensuring Public Safety and Providing Exceptional City Services  Quality of Life ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 40 of 58 3 ECONOMIC AND COMMUNITY VIBRANCY Definition Creating the environment and services to nurture quality and diverse economic, recreational, and community connections that create prosperity and enrich our genuine, authentic community. Key Focus Area: Recreation & Events Notes to consider  Communal: Events & Shared Experiences/Connections (Events)  Recreation/Zoo/Hiking/Trails/Parks Year 1-2 Action Items  Restart events  Plan and execute events at the new Zoo event center  Design events around new plaza  Hold new/recurring events in Centennial plaza to ensure the space is shared by all in the community  Encourage events on privately owned vacant properties downtown (interim until developed)  Encourage more events that focus on downtown (Music, Food, Host a stage) Beyond Year 2 Action Items  Expand hiking/trails and park amenities  Look for opportunities to build more contiguous trails- build off the trails we have, plan for future  Trails/open space/hiking - facilitate new trail connections associated w/new developments  Explore opportunities to acquire new open space  Evaluate zoning code and city policies as part of General Plan Update to encourage private development of recreational, hospitality & resort -type development  Restart discussion w/owners of Eagle Ranch property (interest in resort-type land use near 101) ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 41 of 58 4 Key Focus Area: Downtown Notes to consider  Thriving downtown (people want to come to / infrastructure / shovel-ready / outdoors / Completion of downtown improvements / collaboration w/ businesses)  Upzoning/Mixed-Use/Potential incentives Year 1-2 Action Items  Pursue funding and complete construction documents for Downtown Infrastructure Enhancement Plan  Assist development of new restaurants o Explore ways to reduce start-up costs  Maximize utilization of the plazas (food trucks, etc)  Look for funding and opportunities to fix existing street trees & sidewalks in the downtown  Pursue opportunities along East Mall o Develop land use options for the adapted re-use options of the City- owned property near Centennial Plaza  Explore programs such as infrastructure assistance, parking flexibility, and zoning changes to promote new desired development of underutilized space  Promote the preservation of the theater in Colony square  Pursue the Armory site as a potential location for replacement of fire station #1  Develop and implement a plan to increase utilization of parking in City-owned alleys  Communicate collaboratively with businesses to encourage a sense of pride, ownership, positive attitude, and harmony that promotes downtown vibrancy Beyond Year 2 Action Items  Complete downtown infrastructure enhancement plan  Consider upzoning/Mixed-Use/Potential incentives as part of the General Plan Update  Engage property owners and tenants to encourage compatible development of vacant lots  Explore incentives and code revisions to expedite the relocation of nonconforming uses and the occupancy of vacant buildings downtown  Develop the creek into a quality aesthetic feature to be enjoyed by all  Alleviate downtown bird nuisance ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 42 of 58 5 Key Focus Area: Safe & Hospitable Business / Work Environment Notes to consider  Connectivity throughout the community (physical spaces)  Support Infrastructure to attract businesses (broadband, restaurants open late, all-night coffee shops, class A office space)  Built Business Infrastructure - safe & hospitable/welcoming environment & spaces  Constructive engagement with those experiencing homelessness o Tie to mental health support  Supportive engagement by businesses  Commercial nodes & corridors outside downtown Year 1-2 Action Items  Work to enhance broadband infrastructure  Evaluate areas for restricted time parking  Expand the Outreach for Underrepresented Residents (OUR)Team  Increase pedestrian safety/access downtown through the Downtown Infrastructure Enhancement Plan  Commence citywide General Plan update Beyond Year 2 Action Items  Continue to facilitate enhancement of broadband system  Enhance streetscape in strategic locations to support business development  Complete General Plan Update and begin implementation strategies ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 43 of 58 6 Key Focus Area: Business Infrastructure, Technology & Support Notes to consider  Additional commercial nodes/Economically diverse city  Internal processes - business-friendly - permitting, etc.  Business retention, expansion & prospecting  Entrepreneurial support/business incubators  Broadband Year 1-2 Action Items  Creatively support development at Del Rio, Dove Creek & San Anselmo nodes  Implement an online payment and tracking system for City fees and tax payments  Discuss potential policies related to wastewater capacity charges and other development fees that may discourage desired business types  Look for opportunities and grants to fund infrastructure  Create and incentivize a new customer satisfaction survey for permit/planning processes  Support expansion of Bridgeworks through SB1090  Update City Engineering Standards to provide safe and consistent public improvements Beyond Year 2 Action Items  Perform critical third-party review of permitting process towards essentialism ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 44 of 58 7 FISCAL AND INFRASTRUCTURE EFFICIENCY & SUSTAINABILITY Definition Continuing to be responsible and accountable stewards of our resources now and into the future by efficiently and effectively investing in modern and reliable infrastructure and equipment and maintaining financial stability regardless of economic conditions. Staff has the tools, technology and resources they need to do their jobs. Key Focus Area: Asset Management / Replacement / Modernization Notes to consider  Replace failing/vulnerable and vital equipment and facilities and citywide apparatus o Modernize o Optimization for replacement o Energy infrastructure (back-up generators, redundancy)  Resources (tools, equipment, facilities) to assist staff/build capacity  Infrastructure/asset management o Major equipment inventory & plan to where we can maintain cost-effectively o Proactive monitoring, assessing & evaluating infrastructure, equipment & vehicles o Look to quality & cost-effectiveness Year 1-2 Action Items  Purchase and implement an asset management system  Prepare a detailed inventory w/condition assessment  Develop a sustainable replacement plan for City assets  Begin funding vehicle, technology, equipment, infrastructure and facility reserves  Replace failing/vulnerable and vital equipment and facilities and citywide apparatus  Begin Replacement Fire station 1 o Prepare needs assessment o Explore use of Armory site for Fire Station #1 replacement project o Complete design phase and engineers estimates o Prepare financing plan  Ensure that the resources (tools, equipment, facilities) are available to assist staff and to build staff capacity. ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 45 of 58 8 o Identify and invest in equipment and facilities to increase long-term operational efficiencies o Use technology where appropriate/right technology applications to save staff time o Expand energy infrastructure (back-up generators, redundancy)  Consider sidewalk repair amnesty or other limited assistance program Beyond Year 2 Action Items  Complete Replacement of Fire Station 1  Completely fund equipment, vehicle, technology, infrastructure and facility reserves based on asset management plan Key Focus Area: Financial Strategies Notes to consider  Maintain/develop responsible reserves generally and for currently unfunded uses o Continue conservative Council/general fiscal strategy o Addressing unfunded mandates o Be prepared for changing economic conditions  Invest modestly to achieve future efficiencies & benefits o Records management o Grants  Public and private partnerships  Consider and plan for lifecycle costs and long-term cost savings/cost- effectiveness Year 1-2 Action Items  Develop responsible reserves for unfunded liabilities (non-asset) o Explore and consider funding Section 115 Trust for pension o Consider additional payments for unfunded pension liability (UAL) o Look for ways to fund reserve for future State and Federal mandates  Adopt budgets and fiscal strategies that: o Continue conservative Council/general fiscal strategy o Prepare the City for changing economic conditions o Consider and plan for lifecycle costs and long-term cost savings/cost- effectiveness  Develop balanced strategy of operational expenditures vs. capital/one-time expenditures that will accommodate future growth for Measure D-20 funds  Implement opportunities, strategies and plans to grow the organization as the community grows ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 46 of 58 9  Identify and modestly invest in programs to increase long-term operational efficiencies  Capitalize on grant opportunities to accomplish action plan goals  Explore public and private partnerships to achieve action plan goals Beyond Year 2 Action Items  Maintain responsible reserves for unfunded liabilities  Continue fiscal strategies and adjust plans as needed to allow the City to respond to changes in a fiscally sustainable manner  Establish Citywide primary survey benchmark system to reduce public works and technology staff time and to streamline development Key Focus Area: Transparency & Accountability Notes to consider  Technology for transparency and accountability o Reporting for the community o Website/share more information o Improved responses to requests/records management  Annual tax measure Reporting Year 1-2 Action Items  Use technology for transparency and accountability o Overhaul/modernize/simplify/make more efficient website o Develop and implement strategy to maintain website and accessibility  Implement records management program to facilitate access to public records  Prepare, publicize and widely distribute an annual report on the use of Measure D-20 funds. While the Measure D-20 annual report will not include detailed accounting of spending, it should include information on the general areas where the funding was targeted, the goals to be achieved with the Measure D-20 funding, and objective metrics for measuring the success in achieving those goals. Beyond Year 2 Action Items ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 47 of 58 10 ENSURING PUBLIC SAFETY AND PROVIDING EXCEPTIONAL CITY Definition That we have the tools, resources, and professional staffing necessary to create and maintain an environment where our community (residents, businesses, visitors, and staff) feels safe, served, and mutually respected. Key Focus Area: Staffing Notes to consider  Hire, Grow and Retain o Salary o Training/development o Hire for heart (consider local) o Resources and support for staff  Need a sufficient number of staff and capacity to achieve our priorities  Optimization of processes Year 1-2 Action Items  Hire and retain an adequate number of staff to achieve our priorities  Complete an essentialism evaluation of each department  Provide competitive salaries/benefits and appropriate classifications for all employees  Provide opportunities for employee growth & succession  Explore other retention and attraction strategies  Provide training and professional development opportunities  Hire for heart  Encourage growth and development of local workforce o Expand PD explorer program  Explore a wider City employee recognition/commendation program  Work to insure that employees have the tools necessary to do their job Beyond Year 2 Action Items  Create a long-term strategy to keep employee salaries and benefits competitive o Continue to maintain and look for opportunities to enhance other hiring, retention employee growth and development programs  Create a long-term plan for staffing based on projected changes to workload as community grows/demands change ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 48 of 58 11 Key Focus Area: Unhoused Population Notes to consider  Routine cleanups  Training of available resources for staff and community  Continue strong relationships with regional partners  Increase support of Community Action Team (CAT) Year 1-2 Action Items  Perform regular clean-ups of problem encampments  Perform vegetation management activities in the Downtown District  Train and educate staff and community members on available support resources for our unhoused population  Train and educate staff and community members on compassionate interactions with our under-represented residents  Establish needed Outreach for Underrepresented Residents (OUR) Team (formerly known as CAT)  Support partner non-government organizations outreach efforts  Support regional combined approach related to unhoused population  Implement strategies to encourage existing unhoused residents to reduce trash and litter in public and sensitive environmental areas  Implement strategies for ongoing areas of public concern including design of public spaces  Provide staff resources to maximize effectiveness (use technology)  Look for opportunities and grants to provide resources to respond to future opportunities to support underrepresented residents Beyond Year 2 Action Items  Expand vegetation management activities Key Focus Area: Community Engagement Notes to consider  Community Policing o Strong relationships and trust between PD and the community  Public participation  Emergency Preparedness Year 1-2 Action Items  Establish needed Outreach for Underrepresented Residents (OUR) Team (formerly known as CAT) ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 49 of 58 12  Hold more public safety outreach events  Ensure that all messaging is accessible and consistent across all media platforms  Look for more opportunities for public engagement  Continue online and in-person engagement in decision-making discussions  Improve emergency planning communications with business community through the fire inspection program Beyond Year 2 Action Items  Continue robust communications regarding community wildfire preparedness and evacuation planning ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 50 of 58 13 QUALITY OF LIFE Definition We are embracing our warm friendly atmosphere and building on our sense of community by providing attractions, open spaces, outdoor interactions, and a variety of things to do for all. Atascadero: Where everybody knows your name and is willing to lend a hand. Key Focus Area: Things to do Notes to consider  Outdoor Activities o Hiking/equestrian/biking trails o Lake Park/Zoo  Discuss the future of the Zoo (AZA Accreditation) o Skate park  Galaxy Theater  Recreation / Youth sports  Don’t have to go out of town for “date night” (Come to A-Town for date night)  Events that attract local residents as well as folks from out of town.  Winter Wonderland  Colony Day Parade and Tent City  Tamale Festival  Wine Festival  Dancing in the Streets  Cider Festival  First Fridays (when its safe)  Concerts in the park (Community bands)  Attracting private pop-up events / activities  Performing Arts Center  Affordable activities Year 1-2 Action Items  See Action Items under the “Economic and Community Vibrancy” section  Discuss long-term capital needs of the zoo and the viability of continuing AZA accreditation  Begin to address key deferred maintenance issues in parks and public spaces  Fund lake quality program to mitigate algae blooms Beyond Year 2 Action Items  Address additional deferred maintenance issues in parks and public spaces ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 51 of 58 14 Key Focus Area: Welcoming and Inclusive Notes to consider  Supportive community  Diversity (in many categories)  Ethnicity (not just skin color- socio-economic, background / thought, etc.)  Community Engagement o Reach out to new folks  Hiring for Heart  Reach out to Schools and PTAs  Volunteerism o Atascadero leading in volunteerism o Make volunteering easier / simpler o Work with community partners  Awareness of scholarships and sponsorships  Community Beautification o Environmental improvements o Clean (trash-free) physical spaces o Blight removal Year 1-2 Action Items  Work with and support community partners and volunteers to advance diversity, inclusion, and community beautification  Use technology to facilitate volunteer opportunities  See Action Items under “Ensuring Public Safety and Providing Exceptional City Services” Beyond Year 2 Action Items ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 52 of 58 15 Key Focus Area: Supporting families Notes to consider  Spurring the conversation around childcare  Collaborate with partners  Internet / Broadband  Mental health support for adults and children  Affordable housing  Bringing more jobs to Atascadero* Year 1-2 Action Items  Encourage regional organizations that bring attention to childcare needs in the community  Continue on-going successful partnerships with organizations such as ECHO, LINK, and AUSD  Remain involved in regional efforts to improve broadband access to residents and businesses  Educate staff and community members of availability of mental health resources that are available in the community  Continue to implement affordable housing policies of the General Plan Housing Element including minimum densities, objective design standards, small lot standards, ADU ordinance, and inclusionary housing ordinance  See “Economic and Community Vibrancy” section for other action items Beyond Year 2 Action Items  Consider a childcare policy statement in the General Plan Update to support working families ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 2 Page 53 of 58 Description Economic VibrancyFiscal StrategiesPublic Safety & Ex.City Quality of lifeMandatoryD-20HighMediumLowHighCapital D-20 FundsOther FundsMeasure D-20 Tier 1 Subtotals 3,292,600 7,504,100 2,063,750 753,800 1 Police Staffing- 4 officers, 1 dispatcher + 2 vehicles X **676,600 843,000 - 160,000 2 OUR Team/ CAT Team X **208,400 545,500 - 69,000 3 Battalion Chief and SAFER Firefighter- Staff X **159,280 159,280 - - 4 Citywide Salary Increases, reclassifications, and retention strategies X **800,000 2,000,000 - - 5 Fire Station 1 Rebuild X **650,000 1,500,000 - - 6 Homeless Encampment Cleanup X **50,000 100,000 - - 7 Asset Management System X **20,000 40,000 - 420,000 8 Vehicle Reserves X **196,500 196,500 158,120 - 9 Building Maint and Replacement Reserves X **250,000 1,500,000 - - 10 Equipment Reserves X **225,000 500,000 - - 11 CAD/RMS System Replacement X **- - 600,000 - 12 Generator for Templeton repeater X **- - - 100,000 13 Radio Repeater Replacement X **- - 380,000 - 14 Handheld radio replacement X **- - 652,330 - 15 Increase Fire Operating Budget Items X **25,000 37,500 - - 16 Life Pak ECG Modem X X - - 4,800 4,800 17 NeoGov X **12,320 12,320 3,500 - 18 Zonehaven maintenance X **9,500 9,500 - - 19 Emergency Planning X **5,000 30,500 - - 20 Replacement of Ambulance X **- 15,000 60,000 - 21 Vegetation Management in Downtown Creek area X X **- - 55,000 - 22 Trash community cleanup program X X **5,000 15,000 - - 23 Parks Replacements- dock, benches, sidewalk repairs, etc X X - - 150,000 - Sorting Ongoing Supplemental Budget Requests- Measure D20 Tier 1 CapitalStrategic Priorities 1 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 3 Page 54 of 58 Description Economic VibrancyFiscal StrategiesPublic Safety & Ex.City Quality of lifeMandatoryD-20HighMediumLowHighLowHighGeneral Fund- Tier 1 Subtotals 293,900 627,040 705,690 1,234,450 1 Animal Services Contract X X *33,000 45,000 - - 2 Atascadero Basin-GSP Development X **- - 5,000 5,000 3 CCCSIF Insurance- Additional Payment for old claims X X *- - 25,000 157,380 4 Impact Fee Study-Additional Costs X X *- - 10,000 10,000 5 Office Furniture X X *- - 8,500 8,500 6 Traffic Signal Repairs X X **10,000 10,000 7 Repair and upgrade Zoo electrical systems X X **- - 30,000 30,000 8 Replace animal food freezer and walk in cooler X X **- 40,000 9 Increase Zoo operating costs (utilities, animal food, vet, uniforms) X X *55,000 65,000 - - 10 Software Licensing- Microsoft email retention & compliance X X **25,000 28,000 - - 11 Teen Center Equipment Replacement X X *450 2,150 12 Software Licensing- GIS Increased cost X X **5,000 24,900 13 Repairs and replacement of Pavilion equipment (folding walls, Chairs and interior window frames) X X *- - 1,540 15,220 14 Pavement Markings X X **30,000 50,000 - - 15 Website /Social Media Technician (new)X X X X **70,000 112,500 1,200 1,800 16 Council Chambers AV Replacement X X **220,000 220,000 17 Software Licensing- Laserfiche extra users X **5,080 5,080 27,400 27,400 18 Remote Conference Capability- Council Chambers X **- - 30,000 90,000 19 Internet Bandwidth X X **3,000 3,000 - - 20 Website update X **4,000 4,000 55,000 55,000 21 Add needed computers, scanners and printers to the system X *1,400 6,600 11,000 22 Electronic Plan Review Equipment X *1,420 4,260 30,000 - 23 Central Reception Staffing X *35,000 75,800 - 1,000 24 Customer Satisfaction Survey X *1,000 2,500 - - 25 Credit Card Acceptance Program X *- 150,000 40,000 100,000 26 TOT Tracking/payment software X X **- 10,000 5,000 5,000 27 Update City Engineering Standards X X *- - 25,000 25,000 28 Maintenance Building Interior Remodel X **- - 5,000 10,000 29 Turf Mower Replacement X **- - 75,000 75,000 30 Parking Lots and Trails Repairs X *25,000 200,000 31 Essentialism Evaluation X **- - 60,000 80,000 32 Grant Writing Contract Services X X X X **- 12,000 5,000 30,000 33 Atascadero Lake Algae Bloom Management Program X *20,000 30,000 - - 34 Replace Colony Park Shade Sails X X **- - 5,000 25,000 35 Sidewalk Inspection and Minor Repair Program X **5,000 5,000 - - Supplemental Budget Requests- General Fund Tier 1 Strategic Priorities Sorting Ongoing Capital 2 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 3 Page 55 of 58 Description Economic VibrancyFiscal StrategiesPublic Safety & Ex.City Quality of lifeMandatoryD-20HighMediumLowHighLowHighTier 2 Subtotals 1,436,170 2,717,050 6,699,600 8,855,100 1 CalPERS UAL Additional Payment X *50,000 600,000 - - 2 Contribution toward CEPPT Sec 115 Trust X *- - 100,000 1,000,000 3 Police Officers- 1 additional (5 Total)X **136,000 171,600 - 9,000 4 Dispatchers - 2 additional (Ttl 3 added)X **183,340 222,920 - - 5 Full Time Records Clerk X **91,670 111,460 - - 6 Sergeant X **172,740 203,810 - - 7 OUR Team- Add'l Officer X **136,000 171,600 9,000 8 OUR Team- Add'l Outreach X **60,000 75,000 - - 9 Our Team - Add'l Mental health Psych Tech X **125,000 150,000 - - 10 Shift Staffing-Hire 3 Additional Firefighters X **- 368,700 - 12,000 11 Fire Station 2 Remodel X **- - 4,092,910 4,092,910 12 Management Analyst Position (new)X X X X X **101,290 152,060 5,000 5,000 13 City Stand-by Generators X **2,000 10,000 45,000 800,500 14 Opportunities Reserves for Programs for Unhoused Pop X **5,000 500,000 5,000 500,000 15 Additional funds for sidewalks and streets trees downtown X X *- - 75,000 75,000 16 PD software- underrepresented contact management program X **- - - - 17 Purchase a Skid Steer Loader X **1,300 2,000 35,000 35,000 18 Downtown Bird Control Program X *5,000 25,000 19 Replacement of older/non- complaint animal exhibits X X *- - 1,000,000 1,000,000 20 Annual Replacement Reserve for Radios X *29,410 29,410 104,240 104,240 21 Miscellaneous Recreation Items X *15,000 15,000 - - 22 Hiring new Zoo cashier X *22,000 22,000 - - 23 Establish Primary Survey Benchmark System X *- - 40,000 40,000 24 Maintenance Worker 1 Addition X **52,560 88,620 - - 25 Corp Yard Fencing Improvements X **- - 65,000 65,000 26 Vehicle and Equipment Shelters X **- - 20,000 20,000 27 Towable Boom Lift X X **1,400 1,800 35,000 35,000 28 Part-Time Service Worker X **23,500 28,000 - - 29 Fueling Station X *- 10,000 75,000 100,000 30 Add 2 Turf Mowers to Replacement Schedule X **16,000 16,000 75,000 75,000 31 Replace Utility Cart X **- - 15,000 15,000 32 Add 3 Utility Carts to Replacement Schedule X **4,500 4,500 - - 33 Radio Operating increase X **- 33,000 - - 34 New IT vehicle for radios maintenance needs X **- - 40,000 40,000 35 Replace Avtec Dispatch Consoles X **- - 40,000 40,000 36 Upgrade the Microwave radio Network upgrades X **- - 25,000 25,000 Capital Supplemental Budget Requests- Tier 2 Strategic Priorities Sorting Ongoing 3 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 3 Page 56 of 58 Description Economic VibrancyFiscal StrategiesPublic Safety & Ex.City Quality of lifeMandatoryD-20HighMediumLowHighLowHighCapital Supplemental Budget Requests- Tier 2 Strategic Priorities Sorting Ongoing 37 Additional IT System Administrator Position X **123,870 147,680 5,000 5,000 38 Trakit Depreciation X *43,490 43,490 - - 39 Security Camera Depreciation X **18,200 18,200 - - 40 Software Licensing- Microsoft audio conferencing license X **100 1,200 - - 41 Software Licensing- Additional GIS X **19,900 19,900 - - 42 Cloud Backup X **20,400 20,400 - - 43 Remote Conference Capability (8 Conference rooms, $6,000 per room) X **- - 48,000 48,000 44 Remote Conference Capability (3 Conference rooms, $4,000 per room) X **- - 12,000 12,000 45 Digital Signatures X *4,000 4,000 - - 46 Wi-Fi Upgrades Zoo X X *12,000 12,000 1,720 1,720 47 Wi-Fi Upgrades City Hall X **3,000 3,000 430 430 48 ClearGov X **5,500 5,500 1,800 1,800 49 Purchase of Rescue (TRT)X **- 25,000 550,000 550,000 50 Deodar Cedar Tables for City Hall X *- - 10,000 10,000 51 Compaction Roller Replacement X **- 1,200 30,000 30,000 52 Construction Air Compressor X X **- 1,000 23,000 23,000 53 Volunteer coordination software program X *2,000 2,000 500 500 54 Parks Repairs / Replacements X X **- - 150,000 1,000,000 55 Drainage Assessment Evaluation X **- - 75,000 75,000 4 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 3 Page 57 of 58 Description Economic VibrancyFiscal StrategiesPublic Safety & Ex.City Quality of lifeMandatoryD-20HighMediumLowHighLowHighUse of Replacement Reserves/Identified Funds 1 General Plan Update X X - - 800,000 1,085,000 2 Pave City-owned parking area behind North ECR businesses (LTF) X X 75,000 200,000 3 Storm Drain Replacement (LTF)X 50,000 250,000 - - 4 Police Replacement Vehicles X - - 420,000 420,000 5 Computer Replacements X - - 39,600 39,600 6 Server Replacements X - - 28,000 28,000 7 Printer & Scanner Replacements X - - 8,000 8,000 8 MDT Replacements X - - 67,500 67,500 9 Replacement of Wildland Engine 7574 X - - 450,000 450,000 Supplemental Budget Requests- Replacement and Other Reserves Strategic Priorities Sorting Ongoing Capital 5 ITEM NUMBER: C-1 DATE: 04/27/21 ATTACHMENT: 3 Page 58 of 58