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HomeMy WebLinkAboutItem 4.11 AI Mechanic BldgCITY CLERK File# 0600-35 AGENDA STATEMENT CZTY COUNCZL MEETZNG DATE: September 5, 2000 SUBJECT: Acceptance of Work - Contract No. 00-03, Swim Center Mechanical Building Renovation Report Prepared by: Paul McCreary, Recreation Supervisor ATTACHMENTS: 1. Budget Change Form RECOMMENDATION/~ 1. V ,~. Accept improvements under Contract No. 00-03 and authorize the release of retention in the amount of $23,065.70 after 35 days if there are no subcontractor claims. Approve Budget Change Form FINANCIAL STATEMENT: FY 1999/2000 BUDGET ACTUAL Engineering / Inspection Miscellaneous Testing Services Architectural Services Improvements Under Contract Improvements Other TOTAL $1,200 $5,071 $450 $1,398 $0 $3,236 $14,050 $14,961 $228,875 $223,030 $0 $9,213 $244,575 .$256,909 The Dublin Swim Center Mechanical Building Renovation project is budgeted in the General Fund (OOO. The actual cost of the project exceeded the project budget by $12,334. Therefore, a budget transfer from the Unappropriated Reserve is needed to close out the project. DESCRIPTION: On March 7, 2000, the City Council awarded Contract No. 00-03, the Dublin Swim Center Mechanical Building Renovation, to Zovich Construction. The project improvements included the renovation and expansion of the mechanical building and the installation of new pool heaters. The actual cost of the project exceeded the available budget by $12,334. The additional cost is mainly due to repairs to the pumps in the motor pit. Two weeks before the start of the project, the motor pit flooded due to a mechanical problem and the pump motors had to be rebuilt during the renovation Of the building. Additionally, inspection costs exceeded the estimate provided for the budget. Soil testing which was not included in the budget was also necessary due to the poor quality of the soil at the Swim Center. Staff recommends that the City Council accept the improvements under Contract No. 00-03 and authorize the release of retention in the amount of $23,065.70 after 35 days if there are no subcontractor claims. Further, Staff recommends that the City Council approve the budget change in the amount of $12,334. COPIES TO: Zovich Construction ITEM NO. C:\WINDOWS\TEMPkc952000acceptance.doc CITY OF DUBLIN BUDGET CHANGE FORM CHANGE FORM # New Appropriations (City Council Approval Required): From Unappropriated Reserves From New Revenues I)I~:ClitEASE BUDGET ACCOUNT Name: Salaries Full Time Account #: 95071-701-001 Name: Professional Services $597 Account #: 95070-741-000 Name: Account #: Name: Account #: Name: Account #: Name: Account #: Name: Account #: Name: Account #: AMOUNT $392 Budget Transfers: From Budgeted Contingent Reserve (1080-799.000) Within Same Department Activity Between Departments (City Council Approval Required) Other INCREASE BUDGET ACCOUNT AMOUNT Name: Postage $60 Account #: 95071-711-000 Name: Printing &Binding $804 Account #: 95071-716-000 Name: Legal Notices $84 Account #: 95071-728-000 Name: Contract Svcs - General $1,508 Account #: 95071-740-000 Name: Gen Insp/Construction Mngrnt $2,115 Account #: 95071 ~740-075 Name: Engineering Testing $3,236 Account #: 95071-740-077 Name: Engineering Inspection $2,148 Account #: 95071-740-079 Name: Improvements $3,368 Account #: 95071-701-008 Fin Mgr/ASD: Date: Signature REASON FOR BUDGET CHANGE ENTRY: In order to close out the Dublin Swim Center Renovation Project, additional funding is needed. City Manager: Date: Signature .'.-. :..:.. :.i...:~. :!,:. ::!: .,: As Approved at the Ciiy Council Meeting on: [)ate: Mayor: Date: Signature Posted By: Signature formslbudgchng Date: q- 5- '7/../I