HomeMy WebLinkAbout24 - Decommissioning and Interim Use of City Hall= CITY OF
NEWPORT REACH
c�� OFNP City Council Staff Report
Agenda Item No. 24
February 12, 2013
TO: HONORABLE MAYOR AND MEMBERS OF THE CITY COUNCIL
FROM: Public Works Department
David Webb, Public Works Director
949 - 644 -3328, dawebb(a)newportbeachca.gov
PREPARED BY: Iris Lee, Senior Civil Engineer
949 - 644 -3323, ilee(cDnewportbeachca.gov
APPROVED: /?_&(L— ,
TITLE: Decommissioning and Interim Use of the Existing City Hall Property
(3300 Newport Boulevard)
ABSTRACT:
During the budget discussion on May 22, 2012, City Council provided some initial thoughts
and direction regarding the decommissioning of the current City Hall Site. Staff is now in the
process of preparing the City Hall Decommissioning Plan to secure the facility following
relocation of the City's administrative offices to the new Civic Center Campus and seeks
concurrence of the decommissioning plan.
RECOMMENDATIONS:
Approve the Decommissioning and Interim Use Plan, direct staff to prepare the necessary
contract documents, and authorize the City Manager to execute any necessary agreements
to facilitate efforts to secure the facility and provide for ongoing use of the existing City Hall
site at 3300 Newport Boulevard.
The Decommissioning and Interim Use Plan to include:
Securing vacated buildings.
2. Maintaining City Council Chambers as a functional Community Meeting room.
3. Maintaining Exterior Landscaping and Lighting.
4. Converting the existing parking lot into a temporary metered /paid parking use.
5. Removing portable trailers G and I.
FUNDING REQUIREMENTS:
Council included $100,000 in the approved 2012 -13 CIP (Account No. 7011 C1002040) to
cover the cost to decommission and provide for limited use of the property following the
relocation of City Hall.
Decommissioning and Interim Use of the Existing City Hall Property (3300 Newport
Boulevard)
February 12, 2013
Page 2
DISCUSSION:
In preparation for the pending move of all staff and municipal operations from the existing
City Hall Site at 3300 Newport Boulevard to the new Civic Center Campus at 100 Civic
Center Drive, staff has prepared a conceptual plan to shut down and secure the existing
City Hall site, while still providing for use of the Council Chambers, surface parking lots and
grounds by the public. The presentation accompanying this staff report details the following
measures:
1. Maintaining the Council Chambers as a functional community facility.
2. Securing the vacated City Hall site by installing fencing across existing open exterior
corridors between buildings, removing exterior staircases and ladders, and bolting
down operable windows and doors.
3. Maintaining landscaping and lighting throughout the exterior of the facility.
4. Discontinuing /disconnecting select utility services.
5. Removing or modifying signage for City Hail.
6. Removing Portable Trailers G and I and placing bark with their footprint.
7. Converting the surface parking lot to interim - paid parking lot.
Following City Council's direction on the above - mentioned measures, staff will finalize the
contract documents, solicit construction bids and perform the necessary work once all staff
and operations have been relocated to the new Civic Center.
ENVIRONMENTAL REVIEW:
Staff recommends the City Council find this action is not subject to the California
Environmental Quality Act ( "CEQA ") pursuant to Sections 15060(c)(2) (the activity will not
result in a direct or reasonably foreseeable indirect physical change in the environment) and
15060(c)(3) (the activity is not a project as defined in Section 15378)of the CEQA
Guidelines, California Code of Regulations, Title 14, Chapter 3, because it has no potential
for resulting in physical change to the environment.
NOTICING:
The agenda item has been noticed according to the Brown Act (72 hours in advance of the
meeting at which the City Council cgpsiders the item).
Submitted by:
Public Works Director
Attachment: A. PowerPoint Presentation
1
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- oommissionin
PHASE 1
General Task Items
•Exterior Barriers
•Interior Barriers
-N *Existing Landscaping & Amenities
FACILITIE *Existing Utilities
*Existing Signage
•Existing Trailers
•Parking Lot Resurfacing /Restriping
PARKIN
*Pay Stations /Meters
Op
Council Chambers
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Exterior Barriers
Install chain -link fence /gates at ALL exterior
access points
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Exterior Barriers
Remove rails /staircases /roof access ladders
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Interior Barriers
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Secure operable windows & doors
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Existing Landscaping & Amenities
*Maintain landscaping throughout campus exterior
*Maintain interior trees and shrubs
*Reprogram irrigation controllers
*Remove park benches and tables
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Utilities
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Utilities - Water
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Buildings
® Building 1
- Building 2
- Building 3
1. Account # 0450890-02
Meter # 1745239
2" Meter
Domestic for the fire and City Attomey
2. Account #0450900-02
Meter # 1745242
2" Meter
Domestic for Public Works Building
3. Account 0450860-02
Meter # 1341 D42
4" Meter
Domestic for Me main building and trailers
4. Account # 0450640-02
Meter #1327862
2' Meier
kngabon for the entire properly
Meters 3 & 4 Remain Operational (pe��W� @
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Utilities - Electricity and Gas
Maintain Electricity to the following:
*Outdoor Lighting
•Council Chambers
*Irrigation Controller
Shut -off power at panel for other locations
Power -off HVAC systems
Disconnect and remove electric vehicle charging station
Provide Gas to the following:
*Council Chambers
Shut -off gas at individual locations
9
Existing Signage
Remove:
*City Hall Monument Sign & Lights (salvage parts)
•Miscellaneous on -site signs and lettering (salvage
material)
*salvage plaques that are of significance
Modify:
•Wayfinding sign
CITY OF NEWPVK'
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Existing Trailers
Should we Remove Trailer now ??
*Trailer G — Public Works Inspectors Trailer
*Trailer I — Code Enforcement Trailer /Conference Room
*Wood Bark pad
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Parking Options
A. No Parking at all (except for St. James on Sat & Sun)
Pros: No additional investment
Cons: Less parking available to the public
Opportunity loss of parking lot revenue
B. Free Parking
Pros: Free Public Parking
Cons: Loss of parking lot revenue — Est. $125K
Additional loss of parking revenue in
surrounding parking areas — Est. $55K /Yr
C. Paid Parking
Pros: 110 additional parking space available
OPEW�R a
Return on investment within 3 -4 Months ��
Parking Recommendation
•Configure lot with approximately 155 Parking Spaces
945 restricted for St. James under parking agreement
Saturday (20 spaces) & Sunday (45 spaces)
•110 spaces available all week
•Install 3 pay stations in lot
(same technology used elsewhere on the Peninsula)
•Install approximately 15 -20 meters on 32nd Street
•Redeploy equipment upon completion
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Parking Lot
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PAY STATION
_ HATCH HEADS
OUTTANDEM SPOTS
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NOT INCLUDED
Q ST. JAMES CHURCH PARKING
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Revenue Assumptions & Investment Returns
Reporting Reporting Zone
Zone # Name
419 Lido Shopping
426 City Hall Lot
433 Cannery Village B
432 Cannery Village C
Parking
12 month Data Set Spaces in
Gross Rev Zone
Income Income Per Space
Per Space Monthly
Annual Average
$
105,318.74
164
$
642.19
$
53.52
$
19,685.56
21
$
937.41
$
78.12
$
144,770.74
117
$
1,237.36
$
103.11
$
127,228.95
110
$
1,156.63
$
96.39
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1St Yr Revenue Assumptions
May Jun Jul Aug Sep Oct Nov
Lido Shopping
City Hall Lot
Cannery Village B
Cannery Village C
Revenue Distribution
Dec Jan Feb Mar Apr
$ 10,290.61
$ 9,756.93
$ 12,085.36
$ 9,306.29
$ 11,412.51
$ 8,769.98
$ 5,328.80
$ 5,853.81
$ 7,013.03
$ 7,274.69
$ 6,689.32
$ 11,537.41
$ 1,808.54
$ 1,847.70
$ 1,723.59
$ 2,034.48
$ 1,603.52
$ 1,595.58
$ 1,426.20
$ 979.13
$ 1,689.78
$ 1,892.74
$ 1,564.22
$ 1,520.08
$ 10,942.00
$ 13,391.35
$ 16,023.55
$ 14,751.22
$ 10,151.67
$ 10,737.76
$ 10,740.59
$ 9,961.64
$ 11,152.63
$ 12,644.55
$ 11,896.12
$ 12,377.66
$ 8,610.21
$ 11,977.32
$ 13,572.89
$ 12,911.75
$ 10,189.35
$ 9,871.60
$ 10,337.37
$ 9,040.54
$ 10,121.34
$ 10,583.15
$ 10,150.78
$ 9,862.65
7.97% 9.31% 10.9300 %a 9.82% 8.40% 7.80°° %a 7.01% 6.51% 7.55% 8.16 °% 7.63% 8.89%
Total
$ 105,318.74
$ 19,685.56
$ 144,770.74
$ 127,228.95
City Hall Converted
$ 6,768.70
$ 7,906.81
$ 9,282.32
$ 8,341.02
$ 7,133.46
$ 6,624.04
$ 5,952.13
$ 5,524.89
$ 6,410.59
$ 6,927.76
$ 6,479.80
$ 7,548.50 $ 84,900.00
Credit Card Fees
$ (281.751
$ (329.12)
$ (38638)
$ (347.19)
$ (296.93)
$ (275.73)
$ (247.76)
$ (229.97)
$ (266.84)
$ (288.37)
$ (269.72)
$ (314.21) $ (3,533.96(
Parking Revenue Cumulative
$ 6,486.95
$ 14,054.64
$ 22,960.58
$ 30,954.40
$ 37,790.94
$ 44,139.25
$ 49,843.62
$ 55,138.53
$ 61,282.28
$ 67,921.67
$ 74,131.75
$ 81,366.04 $ 81,366.04
EquipmentPurchase(R0Q
$ (38,800.00)
Year 1 NEr Rev t >,
Equipment Investment
By Month (Margin)
$ i
r-
6,210.08
0
Margin Cumulative $ (31,313.05) $ (24,735.36) $ (15,839.42) $ (7,845.60) $ (1,009.06) $ 5,339.25 $ 11,043.62 $ 16,338.53 $ 22,482.28 $ 29,121.67 $ 35,331.75 $ 42,566.04
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Parking Lot Revenue & Expenditures
66,000 Gross Rev - 110 spaces at $50 per space per month
18,900 Gross Rev- 45 spaces @ $35 per space per month (St. James License Agreement)
(3,534) Est. CC Fees - on a 75% usage assumption
81,366 Net Rev Year 1
25,500 Machine expense- 3 @ 8,500
3,500 Meter housing, yokes for the SSM (10 @$350)
1,500 Spare canisters for swap outs
1,000 Machine installation
1,500 Pole installation - Concrete work - $150 each /material only (city Labor)
1,500 *Annual Modem Fees- 3 CDMA @ roughly $42 a month
1,700 *Pay Station gateway & reporting Charges- $47 per machine per month
1,000 Lot numbering (striping would be an additional cost)
1,250 Signage Package- Pay stations /St.James (40+ signs @ approx. $30 each)
350 *Receipt rolls
38,800 Equipment Installation Total
42,566 Year 1 Net Revenue Estimate
82,835 Year 2- Net Revenue Estimate / Expiration of St. James Lease
125,401 Total Yr 1 & 2 �f wP07T
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* Denotes Recurring Expenses