Legislation Details

File #: G26-5702   
Type: Council Consent Status: Passed
File created: 4/9/2026 In control: City Council
On agenda: 4/21/2026 Final action: 4/21/2026
Title: Consideration of Resolution No. 26-1035 authorizing various improvements to the Water and Sewer System of the City and setting forth the intent to issue Water and Sewer Revenue Bonds.
Staff Contact: Jamie Robichaud, Mary Jaeger
Attachments: 1. A. Resolution 26-1035

Focus Area: Economy

Staff Contact: Jamie Robichaud/Mary Jaeger

Subject: Consideration of Resolution No. 26-1035 authorizing various improvements to the Water and Sewer System of the City and setting forth the intent to issue Water and Sewer Revenue Bonds.

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title:

title

Consideration of Resolution No. 26-1035 authorizing various improvements to the Water and Sewer System of the City and setting forth the intent to issue Water and Sewer Revenue Bonds.

Body

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Summary:

On January 20th, Council authorized and set forth the intent to issue Water and Sewer Revenue bonds for an amount to not exceed $142,388,349. Staff is presenting an updated project listing for consideration and total authorization to $143,030,049. This resolution (Attachment A) declares the City’s intent to proceed with the design and construction of the specified projects and further authorizes the City Clerk to give public notice of the City’s intent to finance all or a portion of the costs of the projects through the issuance of Water and Sewer Revenue Bonds. The updated projects listed below are those that staff is presenting to Council for consideration and authorization. The projects will also utilize cash funding.

 

Project #

Project Name

Est. Total Bond Amount

Est. 2026 Bond Amount

Project Amount

1-C-004-25

Indian Creek Trunk Main Improvements

11,825,600

6,769,400

14,872,400

1-C-011-24

West Cedar Creek Interceptor Phase 1

19,384,400

19,384,400

47,092,300

1-C-013-25

Cedar Creek WWTP Expansion Phase II (BNR)

27,927,700

15,462,700

36,099,700

1-C-019-25

Super Critical Water Oxidation Pilot

26,000

26,000

8,864,429

1-C-025-25

Cedar Creek Solids Handling Expansion

20,217,000

11,868,000

35,742,000

1-C-008-25

Lone Elm Park Sanitary Sewer Extension

1,267,544

1,267,544

1,454,544

5-C-034-25

WTP2: Membrane Module Replacement

625,625

625,625

4,470,000

1-R-000-XX

Sanitary Sewer Rehab (I&I)

8,285,000

1,000,000

10,250,000

1-R-100-XX

Neighborhood Sanitary Sewer Rehab

17,115,530

1,000,000

22,789,440

5-R-000-XX

Waterline Rehabilitation

16,336,557

2,704,350

30,780,000

1-C-016-XX

Harold Street Digester Lid

805,000

805,000

805,000

5-C-XXX-XX

Wellfield Drainage Ditch

558,000

558,000

558,000

5-C-028-26

WTP2: Collector Well No. 4 Generator Improvements

-

-

2,316,752

 

Total

124,373,956

61,471,019

216,094,565

 

Contingency/bond financing costs

18,656,093

 

 

 

Maximum principal amount of bonds

143,030,049

 

 

 

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Financial Information:

Adopting this Resolution documents the City’s intent to undertake the projects and issue the bonds. An amount not to exceed $143,030,049 of Water and Sewer Revenue Bonds may be issued to finance these costs, including bond reserves and issuance costs.

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Action Needed:

Approval of Resolutions No. 26-1035 authorizing various improvements to the Water and Sewer System of the City and setting forth the intent to issue Water and Sewer Revenue Bonds for the purpose of paying a portion of the costs of the projects.

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Attachment(s):

A: Resolution 26-1035