HomeMy WebLinkAbout3.1April 13, 2022
TO: Mayor and Town Council
Parks, Recreation and Arts Commission
Arts Advisory Board
FROM: Joseph Calabrigo, Town Manager
SUBJECT: Joint April 13 Town Council/Commission/Board Study Session
Attached are the agenda and information for the Town Council/ Parks, Recreation
and Arts Commission/ Arts Advisory Board Study Session planned for Wednesday,
April 13 at 4:00 p.m. This meeting will occur via Zoom.
The Study Session is envisioned as an opportunity to inform and update the Council,
Commission and Board on highlights from the past year, discuss the Town’s Capital
Improvement Program, the recently formed Bicycle Advisory Commission and
respond to Commission questions related to any subject.
Background materials attached to this memo include information describing the
American Rescue Plan Act funds awarded to the Town and information that was
presented at the annual Town Council Planning and Goal Setting Workshop that tool
place on February 11, including a Mid-Year 2021/22 Capital Improvement Program
Update, a summary of 2021 Highlights and Outcomes, and the summary meeting
notes.
In addition to the Council, Commission and Board, the meeting will be attended by
Town staff that supports these bodies.
If you have questions in advance of the Study Session feel free to contact me at
jcalabrigo@danville.ca.gov, or Recreation, Arts and Community Services Director
Henry Perezalonso at HPerezalonso@danville.ca.gov.
We look forward to seeing you next Wednesday!
April 13, 2022
TO: Town Council
Parks, Recreation and Arts Commission
Arts Advisory Board
FROM: Joseph Calabrigo, Town Manager
SUBJECT: Use of Fiscal Recovery Funds received under the American
Rescue Plan Act (ARPA) of 2021
Over the past two years, the Coronavirus pandemic has created significant economic
uncertainty for the Town. Faced with this challenge, the Town took decisive action
aimed at ensuring that the fiscal condition of our local government would remain
strong. This included taking deliberate steps to cut spending by $7.5 million over two
years, in the form of reducing: 1) operating costs; 2) staffing and 3) general fund
transfers into the CIP.
The prompt and decisive course correcting steps that were taken proved critical to
navigating the economic impacts of the pandemic upon Town operations. Several
additional factors have contributed to facilitating the Town’s economic recovery,
including:
•Continued appreciation in property valuation, yielding increased property tax
revenue.
•Growth in online commerce, generating new sales tax to partially offset sales
tax losses from local businesses.
•Robust building permit activity as owners continued to reinvest in their
properties.
•Federal assistance received by the Town through the 2020 Cares Act and the
American Rescue Plan Act of 2021 (ARPA).
From a CIP perspective, all of these factors have significantly improved the Town’s
ability to move forward on the design and construction of several capital projects.
The American Rescue Plan Act of 2021 has provided the Town with Coronavirus
Local Fiscal Recovery (CLFR) funds that can be used for a number of purposes aimed
at assisting cities with mitigating fiscal impacts resulting from the pandemic. Town
use of funds is focused on offsetting revenue reductions and costs, and supporting
programs, partnerships and projects that will promote economic recovery and
provide the greatest possible community benefit.
A few key points to remember are that: 1) fiscal recovery funds are intended to
support economic recovery from the pandemic, 2) these are one-time dollars that
cannot be used to fund permanent ongoing programs, and 3) all funds must be
committed by no later than December 31, 2024 and expended (meaning all work
completed) by no later than December 31, 2026.
On October 5, 2021, the Town Council adopted Resolution No. 64-2021, reserving and
appropriating the first tranche of CLFR funds awarded to the Town under the ARPA.
Attachment 1 to this memo is the Administrative Staff Report that accompanied
Resolution 64-2021, which goes into great detail regarding all facets of the ARPA.
Attachment 2 to this memo is the “Mid-Year 2021/22 Capital Improvement Program
Update” which was presented to the Town Council at their annual planning and goal
setting workshop which took place on February 11. This paper provides you with the
most recent and current updated information with regard to the Town’s CIP, heading
into the 2022/23 fiscal year. This includes a discussion of projects completed in 2021,
projects scheduled for 2022, ongoing capital maintenance obligations and potential
use of ARPA funds and additional transfers made during the current fiscal year.
Table 4 on page 7 of the attachment includes specific recommendations made to the
Town Council regarding the commitment of these funds. Of the almost $15 million
dollars included in Table 4, almost $11 million is recommended to be expended for
parks and civic facilities projects.
Staff will be available to respond to any additional questions at the April 13, 2022
Study Session.
Attachments:
A - ASR and Resolution No. 64-2021
B - Mid-Year 2021/22 Capital Improvement Program Update
7.1ADMINISTRATIVESTAFFREPORT
TO:MayorandTownCouncilOctober5, 2021
SUBJECT:ResolutionNo. 64-2021, reservingandappropriatingCoronavirusLocal
FiscalRecoveryFundsawardedtotheTownofDanvilleunderthe
AmericanRescuePlanActof2021
BACKGROUND
OnMarch11, 2021, thePresidentsignedtheAmericanRescuePlanActof2021 (ARPA).
TheARPAprovides $1.9trillioninrelieffundingintendedtospeeduptheUnitedStates'
recoveryfromtheeconomicandhealtheffectsoftheCoronaviruspandemic.
Section9901oftheARPAamendedTitleVIoftheSocialSecurityActtoaddSection602,
whichestablishestheCoronavirusStateFiscalRecoveryFund, andSection603, which
establishestheCoronavirusLocalFiscalRecoveryFund. TheFiscalRecoveryFundsare
intendedtoprovidesupporttostatelocalandtribalgovernmentsinrespondingtothe
impactofCOVID-19andintheireffortstocontainCOVID-19ontheircommunities,
residentsandbusinesses.
TheARPAincludes $360billioninreliefforstateandlocalgovernments. Thisincludes
219.8billiontostates, Washington, D.C., tribes, andterritories; $10billionforcapital
projectstosupportwork, education, andhealthmonitoring; withtheremaining $130.2
billiontobeevenlydividedbetweencountiesbasedonpopulation ($65.1billion) and
citiesusingamodifiedCommunityDevelopmentBlockGrantformula ($65.1billion).
Danvillehasbeenawarded $10,647,738.
FiscalRecoveryFundsprovidedbytheARPAareintendedtoassistcitiesinmitigating
fiscalimpactsresultingfromthepandemic. Townuseoffundswillbefocusedon
offsettingrevenuereductionsandcostsandsupportingprograms, partnershipsand
projectsthatwillpromoteeconomicrecoverywhileprovidingthegreatestpossible
communitybenefit.
DISCUSSION
TheTownhasreviewedinformationdistributedbytheUnitedStatesDepartmentofthe
Treasury (USDOT) andothersourcesthatdescribehowARPAfundingmaybeutilized
inordertoensurefullcompliance. UndertheARPA, Danvilleisclassifiedasanon-
entitlementcity/townandiseligibletoreceiveCoronavirusLocalFiscalRecoveryFunds
RecoveryFunds) underSection603.
ATTACHMENT A
UseofRecoveryFundsisguidedbytheInterimFinalRule (IFR) issuedbytheUSDOT.
Asanon-entitlementagency, DanvilleÔsRecoveryFundsaredisbursedbytheUSDOTto
theStateofCalifornia. OnJuly19, 2021, Danvillereceivedthefirstpaymentof $5,323,869,
amountingto50% ofthetotalaward. Asecondpaymentof $5,323,869 (theremaining
50%) isexpectedtobereceivedinJuly2022. TheTownwillobligate (reserveor
appropriate) RecoveryFundsoncetheyhavebeenreceivedfromthestate. Thedeadline
toobligateRecoveryFundsisDecember31, 2024andthedeadlinetoexpendallfundsis
December31, 2026.
TheTownhasretainedaconsultanttoassistwithARPAcomplianceandsettingupallof
thetrackingandreportingthatwillberequiredbytheUSDOT.
PermittedusesofARPAfunds
UseofRecoveryFundsisguidedbySection603(c)(1) oftheARPA. Fundsmaybeused
forthefollowingpurposes:
a)Torespondtothepublichealthemergencyoritsnegativeeconomicimpacts, including
assistancetohouseholds, smallbusinesses, andnonprofits, oraidtoimpactedindustriessuch
astourism, travel, andhospitality.
Eligibleusesinthiscategoryincludeassistancetohouseholds; smallbusinessesand
non-profits; andaidtoimpactedindustries. TheIFRgoesintoconsiderabledetail
describingthevariousformsofassistancethatcanbeoffered.
AdditionalusesforTowngovernmentpurposesinclude: publiccommunication
efforts; enforcementofpublichealthorders; purchasesofPPE; ventilation
improvementsincongregatesettings, healthcaresettings, orotherkeylocations;
capitalinvestmentsinpublicfacilitiestomeetpandemicoperationalneeds; and
payrollexpensesforpublicsafetyemployeeÔstimededicatedtorespondingtothe
COVID-19publichealthemergency.
b)TorespondtoworkersperformingessentialworkduringtheCOVID-19publichealth
emergencybyprovidingpremiumpaytoeligibleworkers.
c)Fortheprovisionofgovernmentservicestotheextentofthereductioninrevenueduetothe
COVIDÏ19publichealthemergencyrelativetorevenuescollectedinthemostrecentfullfiscal
yearpriortotheemergency.
TheIFRestablishesamethodologythatallowsrecipientstocomputetheextentof
theirreductioninrevenuebycomparingtheiractualrevenuetoanalternative,
representingwhatcouldhavebeenexpectedtooccurintheabsenceofthepandemic.
WhileuseofARPAfundsisÑgenerallyforwardlookingÒtocovercostsincurred
beginningonMarch3, 2021, thissectionprovidesthatreductioninrevenuecanbe
coveredfromtheonsetofthepandemic.
ReservingandAppropriatingRecovery
FundsundertheARPAof20212 October5, 2021
d)Tomakenecessaryinvestmentsinwater, sewer, orbroadbandinfrastructure.
Categoriesofeligibleprojectsinclude: constructionofpublicly-ownedtreatment
works; nonpointsourcepollutionmanagement; nationalestuaryprojects; wastewater
treatmentsystems; stormwatersystems; waterconservation; efficiencyandreuse
measures; watershedpilotprojects; energyefficiencymeasuresforpublicly-owned
treatmentworks; waterreuseprojects; securitymeasuresatpublicly-ownedtreatment
works; and, technicalassistancetoensurecompliancewiththeCleanWaterAct.
Inordertobeeligible, broadbandprojectsmustreliablydeliveratleast100Mbps
downloadspeed, atleast20Mbpsuploadspeed, andbescalabletoaminimumof100
Mbpsdownloadspeedand100Mbpsuploadspeed. Projectsmustbedesignedto
serveunservedorunderservedhouseholdsandbusinesses, definedasthosethatare
notcurrentlyservedbyawirelineconnectionthatreliablydeliversatleast25Mbps
downloadspeedand3Mbpsofuploadspeed.
TheIFRalsoprovidesflexibilityforrecipientstouseCLFRFundsforprogramsor
servicesthatarenotspecificallyidentifiedbutwhichmeettheobjectivesdescribedunder
Section603(c)(1)(a) Ï (d).
DeterminationofRevenueLoss
Section603(c)(1)(c) permitsrecipientstouseRecoveryFundstoreplacelostrevenue.
Revenuesarerequiredtobecalculatedonanentity-widebasis, excludingonly
intergovernmentaltransfersfromthefederalgovernment.
Determinationofrevenuelossbeginsbycomparingfuturecalendaryearsagainst
2018/19, whichisthelastfullfiscalyearpriortotheCOVID-19publichealthemergency.
TheUSDOTrequiresthatallagenciespresentfinancialdataonaJanuaryÏDecember
calendaryearbasis. BecauseDanvilleoperatesonaJuly1ÏJune30fiscalyear, this
necessitatesre-organizingallrevenueandexpensedatatopresenttheinformationinthe
requiredformat.
Revenuelossisarrivedatbycomparingactualrevenuesreceivedwithanalternative
revenuescenario (i.e., theÑARPAalterativeÒ) whichillustrateswhatcouldhavebeen
expectedtooccurintheabsenceofthepandemic. TheARPAalternativescenarioallows
forrevenuestobeadjustedbyanannualgrowthfactorwhichisthegreaterofeither: the
actualaverageannualrevenuegrowthforthethreefiscalyearspriortothepandemic; or
4.1% peryear. InDanvilleÔscase, theactualaverageof4.98% wasusedtodeterminethe
ARPAalternativescenarios. TheactualrevenueandARPAalternativescenariosarethen
comparedforyears2020 - 2023andanydiminutioninrevenueispresumedtohavebeen
duetotheCOVID-19publichealthemergency.
Table1presentstheARPArevenuelossanalysisfortheTownofDanville.
ReservingandAppropriatingRecovery
FundsundertheARPAof20213 October5, 2021
Table1
Actual & EstimatedRevenueLoss: 2020-2023
General SpecialOther Revenue
Fund Recreation RevenueFunds Total Loss
2018/19Actual $25,555,749 $2,531,713 $11,000,540 $2,760,935 $41,848,937
2020ARPA $26,828,425 $2,657,792 $11,548,367 $2,898,430 $43,933,014
2020 (Actual) $26,987,484 $742,658 $9,944,879 $1,476,078 $39,151,099 ($4,781,915)
2021ARPA $28,164,481 $2,790,150 $12,123,476 $3,042,771 $46,120,878
2021 (est./actual) $28,252,641 $1,800,000 $10,490,513 $1,549,881 $42,093,035 ($4,027,843)
2022ARPA $29,567,072$2,929,100$12,727,225$3,194,301$48,417,698
2022 (estimated) $29,947,799 $2,531,713 $11,119,944 $1,642,874 $45,242,330 ($3,175,368)
2023ARPA $31,039,512 $3,074,969 $13,361,040 $3,353,378 $50,828,899
2023 (estimated $31,744,667 $2,683,616 $11,787,140 $1,741,447 $47,956,870 ($2,872,029)
14,857,156)
BaseduponTable1, thereisahighlikelihoodthatthetotalTownrevenuelosswillequal
orexceedthefullamountawardedundertheARPA. Thisdeterminationisimportant
becauserecipientshavebroaderlatitudetousefundsthatarereceivedtooffsetlost
revenue. Anadditional $675,153inCoronavirusrelatedexpensesweremadebetween
March3ÏJune30, 2021, andmayberecoveredbytheTownundertheARPA.
EligibleUseofFundstoReplaceLostRevenue
TheÑCoronavirusStateandLocalFiscalRecoveryFundsFrequentlyAskedQuestionsÒ
issuedbytheUSDOTprovidesthefollowingguidanceonhowrecipientsmayusefunds
thatarerecoveredtooffsetrevenuelostduetothepandemic:
ÑOncearecipienthasidentifiedareductioninrevenue, arethereanyrestrictionsonhowrecipients
usefundsuptotheamountofthereduction?Ò
TheIFRgivesrecipientsbroadlatitudetousefundsfortheprovisionofgovernment
servicestotheextentofreductioninrevenue. Governmentservicescaninclude, butare
notlimitedto, maintenanceofinfrastructureorpay-gospendingforbuildingnew
infrastructure, includingroads; modernizationofcybersecurity, includinghardware,
software, andprotectionofcriticalinfrastructure; healthservices; environmental
remediation; schooloreducationalservices; andtheprovisionofpolice, fire, andother
publicsafetyservices.
However, payinginterestorprincipalonoutstandingdebt, replenishingrainydayor
otherreservefunds, orpayingsettlements orjudgmentswouldnotbeconsidered
provisionofagovernmentservice, sincetheseusesoffundsdonotentaildirectprovision
ofservicestocitizens.
ReservingandAppropriatingRecovery
FundsundertheARPAof20214 October5, 2021
Therangeofgovernmentalusesforwhichthesefundsmaybeusedisbroaderthanthose
describedinSection603(c)(1). Fundsreceivedtooffsetreductioninrevenuesaretobe
usedfordirectprovisionofservicestocitizens PotentialusesforDanvillecouldinclude:
maintenanceofinfrastructureorpay-gospendingforbuildingnewinfrastructure (public
works), includingroads; modernizing/upgradingcybersecuritysystems; and, provision
ofpolice, publicsafety, healthoreducationalservices.
ThesepotentialuseswouldbecombinedwiththeotherusesdescribedinSection603(c)(1)
oftheARPA.
TimingandFinancialReportingRequirements
AllRecoveryFundsmustbeobligatedbyDecember31, 2024, andexpendedbyDecember
31, 2026.
Financialrecordsandsupportingdocumentationmustberetainedforaperiodoffive
yearsafterallfundshavebeenexpendedorreturnedtoTreasury, whicheverislater. This
includesthosewhichdemonstratetheawardfundswereusedforeligiblepurposesin
accordancewiththeARPA, TreasuryÔsregulationsimplementingthosesections, and
TreasuryÔsguidanceoneligibleusesoffunds.
TheTownwillberequiredtosubmitprojectandexpenditurereportsannuallybyOctober
31ofeachyear.
Recommendations foruseofCoronavirusLocalFiscalRecoveryFunds
ItisrecommendedthattheTownutilizeRecoveryFundstosupportprograms,
partnershipsandprojectsthatwilladdresshighpriorityneedsandhelpspureconomic
recovery. Thisincludessupportforbusinessandnon-profitorganizationsthatservethe
community; supportformentalhealth, seniorsandhomelessservicesthatservethe
community; fiber-opticandcybersecurityupgrades; and, infrastructureimprovements
thatsupporteconomicrecoveryandrevitalization, andbenefitthebroadercommunity.
AdoptionofResolutionNo. 64-2021willÑreserveÒorÑappropriateÒRecoveryFunds
receivedwiththefirstARPApaymentinJuly2021. OnSeptember21, 2021, theTown
CounciladoptedResolutionNo. 58-2021whichappropriated $599,726inRecoveryFunds
toundertakecybersecuritymeasuresrelatedtoCIPProjectB-626TownOfficeRelocation.
Thisleaves $4,724,143ofthe $5,323,869receivedwiththefirstpaymentavailabletobe
reservedorappropriated. Reservedfundswillbedesignatedforaspecificpurpose, with
additionalTownCouncilactionrequiredtoappropriatethesefundsoncetheactual
serviceprovidersandscopeofservicesarefinalized. Appropriatedfundswillbe
availableforexpenditurewithnofurtherTownCouncilaction.
Exhibit1toResolutionNo. 64-2021identifiesallrecommendedusesoffundstobe
committedwiththefirsttrancheoffundingreceived.
ReservingandAppropriatingRecovery
FundsundertheARPAof20215 October5, 2021
AttachmentBincludesfundingrecommendationsfortheentire $10,647,738awardedto
theTown.
PUBLICCONTACT
Postingofthemeetingagendaservesasnoticetothegeneralpublic.
FISCALIMPACT
TheTownhasbeenawarded $10,647,738inCoronavirusLocalFiscalRecoveryFunds.
RecoveryfundswillallowtheTowntopartiallyoffsetactualandestimatedrevenue
lossesof $14,857,156duetotheeconomicimpactsresultingfromtheCoronavirus
pandemicandsupportprograms, partnershipsandprojectsthatwilladdresshigh
priorityneedsandhelpspureconomicrecovery.
Receiptofthefundswilloccurviatwoequalinstallmentsof $5,323,869. TheTown
receivedtheinitialpaymentinJuly2021, withthesecondpaymentexpectedinJuly2022.
RECOMMENDATION
AdoptResolutionNo. 64-2021, reservingandappropriatingCoronavirusLocalFiscal
RecoveryFundsawardedtotheTownofDanvilleundertheAmericanRescuePlanAct
of2021.
Preparedby:
JosephA. Calabrigo
TownManager
LaniHa
Finance
Attachments: A - ResolutionNo. 64-2021
Exhibit1 - RecommendedUsesofFundstobeCommittedwiththe
FirstTrancheofFundingReceived
BÏARPARecommendedUseofRecoveryFundsforTranches1and2
ReservingandAppropriatingRecovery
FundsundertheARPAof20216 October5, 2021
RESOLUTIONNO. 64-2021
RESERVINGANDAPPROPRIATINGCORONAVIRUS
LOCALFISCALRECOVERYFUNDSAWARDEDTOTHETOWNOFDANVILLE
UNDERTHEAMERICANRESCUEPLANACTOF2021
onMarch11, 2021, thePresidentoftheUnitedStatessignedtheAmericanWHEREAS
RescuePlanActof2021 (ARPA); and
theARPAprovides $1.9trillioninrelieffundingintendedtospeeduptheWHEREAS
UnitedStates' recoveryfromtheeconomicandhealtheffectsoftheCoronavirus
pandemic; and
Section9901oftheARPAamendedTitleVIoftheSocialSecurityActtoWHEREAS
addSection603, whichestablishestheCoronavirusLocalFiscalRecoveryFund; and
Danvilleisclassifiedasanon-entitlementcity/townandiseligibletoWHEREAS
receiveCoronavirusLocalFiscalRecovery (Recovery) FundsunderSection603; and
RecoveryFundsareintendedtoprovidesupporttostatelocalandtribalWHEREAS
governmentsinrespondingtotheimpactofCOVID-19andintheireffortstocontain
COVID-19ontheircommunities, residentsandbusinesses; and
undertheARPA, Danvillehasbeenawarded $10,647,738inRecoveryWHEREAS
Funds; and
RecoveryFundsarebeingdisbursedintwotranches, 12monthsapart; andWHEREAS
fundsfornon-entitlementcities/townsaredisbursedbytheUnitedStatesWHEREAS
DepartmentoftheTreasurytoeachstate, andstateshave30daystodisbursethefirst
tranchetoeachcity/town, providedthatthecity/townhassubmittedtherequisite
paperworktothestate; and
the TownofDanvillesubmittedthenecessarypaperworktotheStateofWHEREAS
CaliforniabytheJune23, 2021, deadline; and
withstatedisbursementofthefirsttrancheonJuly19, 2021, DanvilleWHEREAS
receiveditsfirstpaymentof $5,323,869, amountingto50% oftheawardthattheTown
willreceive; and
statedisbursementofthesecondtrancheoffundingamountingtotheWHEREAS
secondpaymentof $5,323,869isexpectedinJuly2022; and
Section603(c)(1) oftheARPAprovidesthatRecoveryFundsmaybeused: WHEREAS
a) Torespondtothepublichealthemergencyoritsnegativeeconomicimpacts,
includingassistancetohouseholds, smallbusinesses, andnonprofits, oraidto
impactedindustriessuchastourism, travel, andhospitality.
b) TorespondtoworkersperformingessentialworkduringtheCOVID-19public
healthemergencybyprovidingpremiumpaytoeligibleworkers.
c) Fortheprovisionofgovernmentservicestotheextentofthereductionin
revenueduetotheCOVID–19publichealthemergencyrelativetorevenues
collectedinthemostrecentfullfiscalyearpriortotheemergency.
d) Tomakenecessaryinvestmentsinwater, sewer, orbroadbandinfrastructure; and
pursuantto Section603(c)(1) c), recipientsmayusefundsforthedirectWHEREAS
provisionofgovernmentservicestocitizens, totheextentofreductioninrevenue;
including, butnotlimitedto, maintenanceofinfrastructureorpay-gospendingfor
buildingnewinfrastructure, includingroads; modernizationofcybersecurity, including
hardware, software, andprotectionofcriticalinfrastructure; healthservices;
environmentalremediation; schooloreducationalservices; andtheprovisionofpolice,
fire, andotherpublicsafetyservices; and
theDanvilleTownCouncilhasdeterminedthatRecoveryFundsawardedWHEREAS
toDanvilleshouldbeexpendedtosupportprograms, partnershipsandprojectsthat
willspeeduptheTown’srecoveryfromtheeconomicandhealtheffectsofthe
Coronaviruspandemic while providingthebroadestpossiblecommunitybenefit,
including:
Supportforbusinessandnon-profitorganizationsthatservethecommunity
Supportforseniorservices, mentalhealthandhomelessservices
Fiber-opticandcybersecurityupgrades
Infrastructureimprovementsthatsupporteconomicrecoveryandrevitalization
Infrastructureimprovementsthatbenefitthebroadercommunity; and
onSeptember21, 2021, theTownCounciladoptedResolutionNo. 58-2021, WHEREAS,
appropriating $599,726toundertakecybersecuritymeasuresrelatedtoCIPProjectB-
626TownOfficeRelocation; now, therefore, beit
thattheDanvilleTownCouncilherebyreservesorappropriatesRESOLVED
4,724,143inCoronavirusLocalFiscalRecoveryFundsasshowninExhibit1tothis
resolution; and, beitfurther
thattheDanvilleTownCouncilfindsthatsuchuseofCoronavirusLocalRESOLVED
FiscalRecoveryFunds isconsistentwithandmeetsallrequirementsdescribedin
Section603(c)(1) oftheAmericanRescuePlanActof2021.
PAGE2OFRESOLUTIONNO. 64-2021
bytheDanvilleTownCouncilataregularmeetingheldonOctober5, APPROVED
2021, bythefollowingvote:
AYES:
NOES:
ABSTAINED:
ABSENT:
MAYOR
APPROVEDASTOFORM:ATTEST:
CITYATTORNEY CITYCLERK
PAGE3OFRESOLUTIONNO. 64-2021
EXHIBIT1TORESOLUTIONNO. 64-2021
ReservingandappropriatingCoronavirusLocalFiscalRecoveryFundsreceivedwith
Tranche #1oftheAmericanRescuePlanActof2021
PROGRAMFUNDING
PurposeDescription
Implementmeasuresandrecommendations identifiedtosupportSeniorServices
seniorsthroughthe “AgeFriendlyRoadmap” currentlybeing
developedbytheTownSeniorAdvisoryCommission.
Action: Reserve $500,000
Identifyandsupportlocaland/orregionalserviceproviderswithMentalHealth
initiativestoaddresspandemicinducedsocialisolation, provide
mentalhealthservices/assistanceorimproveresponseto
behavioralhealthcrises.
Action: Reserve $250,000
Identifyandsupportlocal, regionaland/orcountyprogramsandHomelessServices
servicesthatshelter, feedandcareforourhomelesspopulation.
Action: Reserve $100,000
FUNDINGFORPARTNERSHIPS
PartnerPurpose
SupportDanvillebusinessestofacilitateeconomicrecoveryDanvilleAreaChamber
andgrowth, andbroadenthelocaleconomicbase. ofCommerce
Action: Appropriate $150,000forgive
existing $80,000loanplus $70,000)
Supportcommunitymentalhealthandwellnessservices. Discovery
CounselingCenter
Action: Appropriate $100,000
Supportservicesthatpromoteindependenceandhealthforseniors. MealsonWheels
DiabloRegion
Action: Appropriate $100,000
Supportbroadened, andenhancedservicesofferedthroughtheDanvilleLibrary
DanvilleLibraryFoundation
Action: Appropriate $100,000
Providematerials, programsandservicesfortheDanvilleLibraryFriendsofthe
DanvilleLibrary
Action: Appropriate $100,000
SupporteffortstopreservetheheritageandhistoryoftheSanMuseumofthe
RamonValleySanRamonValley
Action: Appropriate $100,000
Exhibit1
Partner Purpose
SupportpubliceducationwithprogramsthatassistchildrenSanRamonValley
EducationFoundation
Action: Appropriate $100,000
ProvideresourcesandsupportforpeoplewithDownSyndromeDownSyndrome
Connection
Action: Appropriate $100,000
Supportliterature, theaterandtheartsEugeneO’Neill
Foundation
Action: Appropriate $50,000
PROJECTFUNDING
Project Description
ConstructimprovementsidentifiedintheTown-wideStormTown-wideStormDrain
DrainMasterPlanand/orwatershedpilotprojectsManagement (CIPA-330)
Action: Appropriate $500,000
Installafiber-opticinterconnectnetworktoconnectTownFiber-opticCable
facilitiesandupgradetrafficsignalcommunicationsInterconnect (CIPA-620)
Action: Appropriate $500,000
Installsolar/photovoltaicsystemtoimproveenergyTownOffice
efficiency
andreduceGHGemissionsRelocation (CIPB-626)
Action: Appropriate $500,000
ReplaceHVACunitstoimproveparticulatefiltrationandTownOffice
improveenergyefficiencyRelocation (CIPB-626)
Action: Appropriate $500,000
ConstructFrontStreetcorridorimprovementsdescribedintheTownGreenandArts
TownGreenMasterPantosupportdowntownrevitalizationDistrict (CIPB-628)
Action: Appropriate $1,059,143
InstallmeasurestosafeguardagainstsecurityintrusionsintoCybersecurityUpgrades
Towngovernmentoperations
Action: $599,726previouslyappropriated
throughResolutionNo. 58-2021
PROGRAMADMINISTRATION
Purpose Description
TannerLLC ARPAConsultanttoassistwithimplementationand
Compliance
Action: Appropriate $40,000
TotalRecoveryActFundingCommitment - Tranche #1: $5,323,869
Page2ofExhibit1
07/202207/202212/202112/202112/202112/202112/202112/202112/202112/202112/202112/2021StartStartStart
850,000900,000
TotalTotalTotal
500,000250,000100,000150,000100,000100,000100,000100,000100,000100,000100,00050,000AmountAmountAmount
CategoryCategoryCategory
2111 11111111
Sub-totalSub-totalExpendituresusingfundsreceivedtoreplace: a) lostrevenue, or b) fundsexpendedafterSupportlocal, regionaland/orcountyprograms andservicesthatProvidematerials, servicesandprogramsfortheDanvilleLibraryProvideresourcesandsupportforpeoplewithDownSyndromeSupportlocal, regionaland/orcounty-wideinitiativestoimproveBroadenandenhanceservicesofferedbytheDanvilleLibrarySupportDanvillebusinessestofacilitateeconomicrecoveryrecommendedthroughtheAgeFriendlyRoadmapprocessPreservethehistoryandheritageoftheSanRamonValleySupportpubliceducationwithprogramsthatassistchildren
mentalhealthorresponsetobehavioralheathcrisesshelter, feedandcareforourhomelesspopulationandgrowth, andbroadenthelocaleconomicbaseImplementmeasurestosupportseniorcitizensasSupportliterature, theatre, educationandtheartsarch3, 2021forpurposesdescribedinSection603(c)(1) oftheARPASupportindependenceandhealthforseniorsSupportmentalhealthandwellnessservices
Description PurposePurpose
ExpendituresdescribedinSection603(c)(1) oftheARPAsecondpaymentof $5,323,869tobereceivedJuly2022
PROGRAMS, PARTNERSHIPS& PROJECTSforDanvilleRecommendedUseofCoronavirusLocalFiscalRecoveryFunds
firstpaymentof $5,323,869receivedJuly2021
AmericanRescuePlanActof 2021
FundingRecommendations
SanRamonValleyEducationFoundationSeniorServices - AgeFriendlyRoadmap
DanvilleAreaChamberofCommerce
MuseumoftheSanRamonValleyMealsonWheels - DiabloRegion
PurposePartnerPartnerFriendsoftheDanvilleLibraryDiscoveryCounselingCenterDownSyndromeConnectionDanvilleLibraryFoundationEugeneO'NeillFoundationbyCategorybyTrancheFundingforPartnershipsM
HomelessServicesTranche #1Tranche #2Category1Category2 ProgramFundingUseofFunds - UseofFunds - MentalHealthTRANCHE #1
07/202307/202203/202201/202207/202301/202210/202107/202307/202207/202207/202307/202307/2023StartStart
3,533,86940,0005,323,869
TotalTotal
500,000500,000500,000375,000599,726500,000350,000973,8691,059,14340,0001,500,0001,000,0001,000,000AmountAmount
CategoryCategory
1221221212221
Sub-totalSub-totalInstallafiberopticinterconnectnetworktoconnectTownfacilities ExpandtheUGMOcomputerizedirrigationmanagementsystemConstructimprovementsidentifiedbythenewDowntownMasterInstallsolar/photovoltaicsytemtoimproveenergyefficiencyandConstructimprovementsidentifiedintheTownwideStormDrainConstructFrontStreetcorridorimprovementsdescribedinthe ConstructimprovementsidentifiedintheTownwideStormDrainConstructFrontStreetcorridorimprovementsdescribedintheFundinfrastructureimprovementstosupportyouth, teensandInstallmeasurestosafeguardagainstsecurityintrusionsintoTownGreenMasterPlantosupportdowntownrevitalizationTownGreenMasterPlantosupportdowntownrevitalizationFundpublicstreetimprovementsidentifiedintheTownwide
ReplaceHVACunitstoimproveparticulatefiltrationandPlantopromoteeconomicviabilityandbusinessgrowth
toreducewaterusageinpublicparksandroadsides
BicycleMasterPlantoimproveresidentsmobility
MasterPlanand/orwatershedpilotprojectsMasterPlanand/orwatershedpilotprojectsandupgradetrafficsignalcommunications
DescriptionDescription
Towngovernmentoperations adultsatDiabloVistaParkimproveenergyefficiencyreduceGHGemissions
TannerLLC
TRANCHE #1 - TotalRecommendedExpenditures
FundingRecommendationsCentralIrrigationCapitalMaintenanceTownwideStormDrainManagementTownwideStormDrainManagement
DowntownImprovementProjectTownwideBicycleMasterPlanFiberopticCableInterconnectTownGreenandArtsDistrictTownGreenandArtsDistrict
CybersecurityUpgradesTownOfficeRelocationTownOfficeRelocationProjectProject Multi-SportSkatePark
ProgramAdministration
ARPAConsultant
ProjectFundingProjectFunding
TRANCHE #2
C-609A-330A-620B-626B-626B-628A-330A-362A-492B-616B-628CIPCIP
10,647,73810,647,7385,323,869
5,323,8695,323,8693,015,0007,632,738
TRANCHE #2 - TotalRecommendedExpenditures
SummaryofRecommendedExpenditures
Tranche #1Tranche #2Category1Category2
October5, 2021byCategorybyTranche
MID-YEAR 2021/22 CAPITAL
IMPROVEMENT PROGRAM UPDATE
The Town’s Capital Improvement Program (CIP) identifies, prioritizes and funds
capital projects that address current and long-term community needs. This mid-year
review provides a status update on current CIP projects and describes future capital
needs and priorities to help set the stage for development and consideration of the
2022/23 – 2026/27 CIP which will take place in spring 2022.
BACKGROUND
Attachment A to this report includes 33 projects that were completed in 2021. Several
of these projects were constructed in phases that may have spanned several years.
Since 2000, Danville has invested $163.3 million on capital projects that have
benefitted the community in numerous ways (Attachment B), an average of $7.8
million annually. Project funding has come from various sources including $60.5
million from the Town’s General Fund which has effectively been used to leverage
other funds. For each General Fund dollar committed, the Town has secured an
additional $1.70 in Special Revenue funds. Projects have been accomplished without
the use of special taxes, assessments or debt.
Project highlights from the past year include:
•Completing construction of the Brookside Drive ADA Improvements Project,
including installing 34 ADA access curb ramps.
•Completing installation of Phase I of the Town wide Traffic Signal Controller
Upgrade.
•Completing the Town-wide Bridge Preventative Maintenance Plan allowing
maintenance for Town bridges to be eligible for federal reimbursement.
•Completing construction of the San Ramon Creek pedestrian bridge project
connecting Diablo Road and the Riverwalk residential development to the
Town Green.
•Completing the design work and awarding a construction contract for the
2021/22 Rubberized Cape Seal Project.
•Completing the Town-wide Bicycle Master Plan.
•Starting construction on the Town Office Relocation project which will relocate
the Town Offices and Police Department into new facilities located at 500 La
Gonda Way.
ATTACHMENT B
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Looking forward to 2022, major new or ongoing projects include:
•Completing construction and relocating the Town Offices and Police
Department to 500 La Gonda Way.
•Continuing environmental and design work for the Diablo Road Trail project.
•Constructing drainage improvements and modifications for Westridge Drive,
Loch Lomond Way and Starview Drive.
•Continuing work on the new Town-wide Storm Drain Master Plan.
•Continuing design work for the La Gonda Way bridge replacement project.
•Continuing with the Town’s proactive Pavement Management Program to
maintain a positive pavement condition index (PCI) of 80+.
•Constructing the Camino Ramon Improvements project.
•Constructing the San Ramon Valley Boulevard Improvements project (North
and South).
2021/22 MID-YEAR STATUS
Fund Transfers
The 2021/22 Operating Budget included transfers of $3,206,773 from the General
Fund into the CIP to fund Park Facilities, Pavement Management and CIP Project B-
626. Following adoption of the CIP, the Town Council has taken subsequent actions
to transfer additional funds into the CIP:
•On October 5, 2021, the Town Council adopted Resolution No 64-2021,
reserving and appropriating fiscal recovery funds awarded to the Town under
the American Rescue Plan Act of 2021. This action transferred $3,533,869 in
ARPA Funds into five separate CIP projects.
•On November 16, 2021, the Town Council adopted Resolution No. 75-2021,
approving the 2020/21 Annual Comprehensive Financial Report. This action
transferred $6,100,000 from the General Fund into the CIP General Purpose
Fund.
These subsequent actions increased the total amount transferred from the General
Fund and the ARPA into the CIP to $12,840,642.
Appropriations
The 2021/22 CIP included appropriations of $9,413,612 to fund 35 separate projects
(Attachment C). Following adoption of the CIP, the Town Council has approved eight
additional funding appropriations totaling $3,820,961, including:
•Resolution No. 58-2021 appropriating $612,090 ($599,726 in ARPA funds and
$12,364 in Information Technology Master Plan funds) to undertake
cybersecurity measures to safeguard against security intrusions into Town
Government operations for Project B-626 – Town Office Relocation Project.
3
•Resolution No. 64-2021, which appropriated the following:
o $500,000 in ARPA funds to construct improvements identified in the Town-
wide Storm Drain Master Plan and/or watershed pilot projects for Project
A-330 – Town-wide Storm Drain System Management
o $500,000 in ARPA funds to install a fiberoptic interconnect network to
connect Town facilities and upgrade traffic signal communications for
Project A-620 – Fiberoptic Cable Interconnect.
o $500,000 in ARPA funds to install solar/photovoltaic system to improve
energy efficiency and reduce GHG emissions for Project B-626 – Town
Office Relocation Project.
o $500,000 in ARPA funds to replace HVAC units to improve particulate
filtration and improve energy efficiency and improve energy efficiency for
Project B-626 – Town Office Relocation Project.
o $1,059,143 in ARPA funds to construct improvements described in the Town
Green Master Pan to support downtown revitalization for Project B-628 –
Town Green and Arts District
•Resolution 73-2021 appropriating $42,600 in Contingency funds for Project A-
362 – Downtown Improvement Project.
•Resolution 77-2021, appropriating $107,128 in Information Technology Master
Plan Funds for Project B-626 – Town Office Relocation Project.
These eight appropriations increased total capital appropriations for 2021/22 to
$13,234,573.
Project Status
A total of 66 CIP projects are currently active and in various stages of design or
construction, of which 28 are considered ongoing capital maintenance projects.
Following is a status update on some of the higher priority capital projects:
•A–362 Downtown Improvement Project: This project includes funding to
undertake a new Downtown Master Plan which is currently in progress. The
Master Plan will identify improvements necessary to further activate the public
spaces downtown. The improvement phase of this project is currently unfunded.
•C-610 Pavement Management Program: The upcoming rubberized cape seal
project will treat 54 public streets (a total of 7.3 miles) at a cost of $1,771,572. A
Town-wide PCI of 83 is projected upon completion of the project.
•A-608, 613 & 614 – Starview Drive, Loch Lomond & Westridge Trash Rack
Modifications: Construction of these projects will be completed prior to winter
2022, at a total estimated cost of $564,000. A FEMA Hazard Mitigation Grant has
been secured and will fund 75% of the project.
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•B-616 – Multi Sport Skatepark: This project is planned adjacent to the children’s
play area at Diablo Vista Park. Design and construction are respectively planned
to occur in 2022/23 and 2023/24. Current estimated project cost is $2.22 million,
and the project is currently unfunded.
•B-626 - Town Office Relocation: Construction of tenant and site improvements
is currently underway. Occupancy of the building will occur in two phases;
Police Department by April 1 followed by the Town Offices by July 1, 2022. A
total of $25.7 million has been appropriated to complete the project.
•B-628 - Town Green and Arts District: This project includes improvements to
activate the Town Green and Arts District on Front Street, including a larger
stage, seating options, musical garden, climbable art, creek walk enhancements,
maker space and gateway monuments. Current estimated project cost is $3.7
million, and the project is currently unfunded.
•B-629 – Arts District Maker Space: A companion project to project B-628, this
project includes acquisition of the property at 282 Front Street from Town’s
Successor Housing Agency. Current estimated project cost is $600,000, and the
project is currently unfunded.
•C-055 – Diablo Road Trail: Currently in the environmental review stages, this
project will construct a paved 0.9 mile Class I pedestrian/bicycle path adjacent
to the south side of Diablo Road from Fairway Drive east to the new Class I path
to be constructed as part of the Magee Preserve development. A total of $4.27
million has previously been appropriated for this project.
•C-578 & C-600 – San Ramon Valley Boulevard Improvements: Currently in the
design stage, these projects consist of slurry seal and restriping the segment of
San Ramon Valley Boulevard from Sycamore Valley Boulevard south to Jewel
Terrace and resurfacing the segment from San Ramon Valley Boulevard north to
Hartz Avenue. Project construction will be completed prior to winter 2022.
•C-599 – La Gonda Way Bridge Improvements: Currently in the environmental
and design stage. Total project cost is estimated at $6.03 million, with 88% of the
cost eligible for federal funding through the Caltrans Highway Bridge Program.
•C-601 – Camino Ramon Improvements: Currently in the design stage, this
project consists of resurfacing Camino Ramon from Kelley Lane south to Fostoria
Way. Project construction will be completed prior to winter 2022.
Ongoing Capital Maintenance
Capital maintenance describes ongoing replacement or renovation of existing capital
assets such as park features, buildings, storm drains, and roads. Although much of
the CIP review is focused on new projects, a significant portion of annual capital
expenditures are allocated for capital maintenance.
Tables 1 and 2 summarize anticipated capital obligations and costs for the next five
years. These figures include funding to continue the Pavement Management Program
at approximately $3.0 million annually. Annual ongoing costs of $4.0 million can be
expected to continue in order to maintain all facilities at current standards.
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Table 1
Streets/Roads Capital Maintenance
Project Name 2021/22 2022/23 2023/24 2024/25 2025/26 Total
A-064 Disabled Access $10,000 $50,000 $50,000 $50,000 $50,000 $210,000
A-330 Town-wide Storm Drainage $5,000 $30,000 $30,000 $30,000 $30,000 $125,000
A-513 C. T. Wall Maintenance $0 $50,000 $50,000 $50,000 $50,000 $200,000
A-533 T.W. Landscape Replacement $0 $40,000 $40,000 $40,000 $40,000 $160,000
A-579 Town-Wide Road Repair $0 $25,000 $25,000 $25,000 $25,000 $100,000
A-606 ALPR Cameras $0 $65,600 $65,600 $65,600 $65,600 $262,400
C-017 Town-Wd. Sidewalk Rep. $7,000 $7,000 $7,000 $7,000 $7,000 $35,000
C-545 Traffic Signal Cont. Upgrade $30,000 $84,000 $80,000 $30,000 $30,000 $254,000
C-610 Pavement Management $0 $3,000,000 $3,000,000 $3,000,000 $3,000,000 $13,346,400
TOTAL $52,000 $3,351,600 $3,347,600 $3,297,600 $3,297,600 $14,692,800
Table 2
Parks/Buildings Capital Maintenance
Unfunded and Underfunded Projects – 2021/22 – 2025/26
Table 3 illustrates unfunded and underfunded projects currently included in years 2-
5 of the CIP. These projects may ultimately be funded, deferred or deleted depending
upon prioritization and need. Note that, in some instances these cost estimates may
Project Name 2021/22 2022/23 2023/24 2024/25 2025/26 Total
B-101 Town-Wide Parks $25,000 $25,000 $25,000 $25,000 $25,000 $125,000
B-120 Town-Wide Trails $40,000 $40,000 $40,000 $40,000 $40,000 $200,000
B-216 Town Service Center $0 $0 $0 $15,000 $15,000 $30,000
B-280 Sportsfield Renovation $40,000 $40,000 $40,000 $40,000 $40,000 $200,000
B-400 H. M. R. Park $105,000 $25,000 $25,000 $25,000 25,000 $205,000
B-415 Town-wide Buildings $0 $30,000 $30,000 $30,000 $30,000 $120,000
B-452 S.V. Day School $0 $5,000 $5,000 $5,000 $5,000 $20,000
B-491 Library & C. C. $60,000 $30,000 $30,000 $30,000 $30,000 $180,000
B-493 Synthetic Turf Rep. $0 $1,567,000 $225,000 $225,000 $225,000 $2,242,000
B-494 Osage Station Park $0 $12,500 $12,500 $12,500 $12,500 $50,000
B-495 Sycamore Vly. Park $0 30,000 $30,000 $30,000 $30,000 $120,000
B-544 Oak Hill Park $0 $86,000 $500,000 $36,000 $36,000 $658,000
B-553 Village Theatre $0 $22,000 $12,000 $12,000 $12,000 $58,000
B-556 Danville South Park $0 $20,000 $56,000 $100,000 $20,000 $196,000
B-559 School Park Facilities $0 $25,000 $15,000 $15,000 $15,000 $70,000
B-560 Diablo Vista Park $0 $18,000 $93,000 $743,000 $18,000 $872,000
B-582 Veterans Building $0 $15,000 $15,000 $15,000 $15,000 $60,000
TOTAL $270,000 $1,990,500 $1,153,500 $1,398,500 $593,500 $5,406,000
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be several years old. This table does not include potential future projects that have
yet to be included in the CIP.
Table 3
Unfunded/Underfunded Capital Improvements
Project Name Total
A-529 Diablo Rd Wall Replace $557,219
A-561 I-680 IC Landscaping $575,800
B-427 Oak Hill Park Master Plan $50,000
B-479 Sycamore V.P. Site Study $50,000
B-522 Sycamore V.P. Restrooms $689,000
B-616 Multi-sport Skate Park $2,220,000
B-628 Town Green and Arts District $3,600,000
B-282 Front Street – Arts District Maker Space $600,000
C-635 Sycamore Valley Road Improvements $1,600,000
TOTAL $9,942,019
RECOMMENDED MID-YEAR ADJUSTMENTS
Mid-year adjustments are recommended to recognize funding received through the
American Rescue Plan Act of 2021 and approval of the 2020/21 ACFR, and to update
or modify project descriptions and funding appropriations.
American Rescue Plan Act of 2021
On March 11, 2021, the President signed the American Rescue Plan Act of 2021
(ARPA). The ARPA provides relief funding intended to speed up the United States'
recovery from the economic and health effects of the Coronavirus pandemic. As part
of the $360 billion in relief provided for state and local governments under the ARPA,
Danville has been awarded $10,647,738.
ARPA funds will be received in the form of two equal tranches. The first tranche
totaling $5,323,869 was received in July 2021. These funds were appropriated and/or
reserved through Resolution No. 64-2021. As part of this resolution, $3,533,869 was
appropriated for specific capital projects. The second tranche of $5,323,869 will be
received in July 2022. These funds may be appropriated either as part of the 2022/23
CIP process or upon their receipt. All ARPA funds must be committed by no later
than December 31, 2024 and expended by no later than December 31, 2026.
Table 4 illustrates how ARPA funding could be combined with the $6.1 million in CIP
General Purpose funds approved via Resolution No. 75-2021 to fund nine currently
unfunded or underfunded high priority projects. These funds were not available
when the 2021/22 CIP was adopted. The “Approved ARPA Tranche 1” funds were
previously appropriated through Resolution No. 64-2021. The funding shown in the
next two columns has yet to be appropriated by the Town Council.
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Table 4
Potential Use of ARPA and 2020/21 Year-end funds
Approved Recommended Reso 75-2021
ARPA ARPA 2020/21 Total
Project Project Name Tranche 1 Tranche 2 Year-End Funding
A-330 Townwide Storm Drain Management $ 500,000 $ 500,000 $ 1,000,000
A-492 Central Irrigation Capital Maintenance (UGMO) $ 350,000 $ 350,000
A-362 Downtown Improvement Project (Master Plan) $ 1,500,000 $ 1,000,000 $ 2,500,000
A-620 Fiberoptic Cable Interconnect $ 500,000 $ 500,000 $ 1,000,000
B-616 Multi-Sport Skate Park $ 1,000,000 $ 1,500,000 $ 2,500,000
B-626 Town Office Relocation $ 1,474,726 $ 500,000 $ 1,974,726
B-628 Town Green and Arts District $ 1,059,143 $ 973,869 $ 2,000,000 $ 4,033,012
B-629 282 Front St. - Arts District Maker Space $ 600,000 $ 600,000
C-609 Town-wide Bicycle Master Plan $ - $ 1,000,000 $ - $ 1,000,000
$ 3,533,869 $ 5,323,869 $ 6,100,000 $ 14,957,738
This table assumes that all Tranche 2 ARPA funds are allocated for capital projects.
Should the Town Council allocate some of these funds for other qualifying purposes,
the total amount available for capital projects would be reduced.
Projects
Mid-year fund adjustments are recommended for the following projects:
•C-055 – Diablo Road Trail: Increase the total funding appropriation from
$4,267,227 to $5,699,227 as follows:
o Transfer $987,000 in Measure J Major Streets Funds from CIP Project C-
578 – San Ramon Valley Boulevard Slurry Seal and Striping (South)
o Transfer $445,000 in Measure J Major Streets Funds from CIP Project C-
600 – San Ramon Valley Boulevard Improvements (North).
•C-578 – San Ramon Valley Boulevard Slurry Seal and Striping (South): This
project will be closed out and combined with Project C-600 San Ramon Valley
Boulevard Improvements (North).
•C-600 – San Ramon Valley Boulevard Improvements (North): This project will
combine the previous Slurry Seal and Striping project (South) with the previous
repaving project (North). The $1.2 estimated million project cost will be funded
with $475,000 in Measure J Major Streets funds and $725,000 in new federal
grant (OBAG Quick Strike) funds.
•Project B-626 – Town Office Relocation Project: The appropriation included in
Resolution No 64-2021 to replace HVAC units was incorrectly designated as
$500,000 and should be corrected and revised to total $375,000.
•Project C-609 – Town-wide Bicycle Master Plan: change the funding source for
the $25,000 appropriated in CIP FY 2021-22 from Measure J-CC-TLC (2017) to
Measure J Sub Trans 28c.
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Future Capital Project Funding
The Town’s most significant source of funding for capital projects is the General Fund.
Attachment C is Table E from the current CIP which summarizes Estimated Funding
Activity over the next five years.
Table E will be revised and updated as part of the 2022/23 CIP process. Revised
revenue and expense information resulting from the infusion of ARPA and 2020/21
year-end funds have significantly improved the CIP fund balance.
SUMMARY
Fund balance and ARPA funds have considerably improved the Town’s CIP outlook,
positioning the Town to fund and complete a number of high priority projects within
the next four years. Absent these new funds, it would be necessary to phase these
projects in over a considerably longer time frame.
The Town will continue to assess ongoing capital demands and needs, and balance
these with available capital funding. Capital reserves are sufficient to fund projects
included in the current five-year CIP. However, ongoing capital maintenance costs
will eventually limit the Town’s ability to take on new capital projects.
Town Council consideration and discussion of any additional capital projects
required to address current and future community needs will assist staff with fiscal
and capital planning moving forward.
Attachments:
A – CIP Recently Completed Projects
B - 2000-2020 Completed Capital Projects by Category
C - CIP Table A – 2021/22 Planned Projects and Appropriations
2021 HIGHLIGHTS & OUTCOMES
The Annual Planning and Goal Setting Workshop provides an opportunity for the
Town Council to reflect on prior year highlights and outcomes that support the
Town’s mission to deliver superior municipal services that make people’s lives better.
OVERVIEW
The 2021 Annual Planning and Goal Setting Workshop was held on February 5. Being
eleven months into the pandemic at that point, the Council spent a good portion of
the day focused on the impacts of the pandemic on both the operations of the Town
and on the local economy. Little did we know at the time that those issues would still
be the focus of much of the Town’s efforts as the second anniversary of pandemic
approaches.
The State of California, Contra Costa County and the Town are all still operating
under states of emergency originally declared in February and March of 2020. Town
operations continued under an ever-changing set of public health mandates and
guidance. As the virus itself has evolved over the past two years into different
variants, public health officials have adopted, revised, rescinded and readopted
requirements for social distancing, masking and proof of vaccination. The Town has
incorporated these rules into our own operations (impacting how we conduct public
meetings, facility rentals and special events) and has worked with our local business
community to assist them in understanding and complying with these health
measures.
Town operations continued to evolve during the year as we learned from changes
made during the first year of the pandemic and refined or improved on means of
delivering service to our residents. The Building Division offered even more permits
online and the Recreation, Arts and Community Services staff worked on mixing
virtual and in person classes and programs for residents. While public meetings
continued to occur virtually via Zoom, the Town Council was able to return to a live
evening of Community Service Awards in December. The Council, working with the
Museum of the San Ramon Valley, also entered into a Friendship City arrangement
with the city of Danville, Kentucky. Finally, while the cherished 4th of July parade
could not be staged in July, the Kiwanis Club adapted the event to Labor Day
weekend and staged a parade on September 4. For 2022, all stakeholders look forward
to the parade being back on July 4th.
2
The Town continued to take actions to assist and support local businesses. The Town
Council took action twice to allow for the continued use of expanded outdoor seating
and parklets by restaurants while those restaurants contend with ongoing, limited
demand for indoor seating by customers. Town staff completed the Forward Focus
grant program working with local businesses to allocate the $525,000 in grant funds
authorized by the Town Council and continued to work with the Danville Area
Chamber of Commerce to reach out and support the local business community in a
number of different ways.
The Town’s fiscal condition began to recover from the initial pandemic-induced
economic impacts. After taking steps to reduce operating expenditures and transfers
by $7.5 million spread over fiscal years 2019/20 and 2020/21, revenues rebounded
sufficiently to allow the Town Council to restore 2021/22 operating expenditures to
2019/20 levels. The fiscal outlook was further aided by the receipt of federal funding
from the American Rescue Plan Act of 2021. (ARPA). Under the ARPA, the town was
awarded $10.6 million to be received in two equal installments of $5.3 million in July
2021 and July 2022. With funds from the first installment, the Town was able to
provide $950,000 to a total of nine non-profits servicing Danville; reserve $850,000 to
fund senior services, mental health and homeless service providers; and appropriated
$3.7 million for six different capital improvement projects. The Town closed the books
on the 2020/21 fiscal year with a positive General Fund balance, allowing funds to be
transferred into the Capital Improvement Program and to increasing the Operating
Reserve.
The Police Department continued their efforts to combat Part I crimes and reduce
traffic accidents, efforts which once again lead Safewise to name Danville the “Safest
City in California.” They did this while addressing the fallout from a fatal officer
involved shooting that occurred on March 11. That incident and the subsequent
criminal trial and conviction of the officer involved on charges stemming from an
earlier shooting, sparked concern among some Town residents about the Department,
against a backdrop of concerns played out across the country in the last several years.
The Chief of Police and all members of the Department focused on continuing to do
their jobs in a professional manner and to interact with those community members
expressing concerns.
The Development Services Department worked on a number of important initiatives,
many of them in response to ongoing state intrusion into local planning. The year
started with adoption of an ordinance regulating Accessory Dwelling Units (ADUs)
and ended with adoption of a set of standards for new projects that will be authorized
by SB 9, the legislation which effectively ends single family zoning. In between, the
Town appealed (unsuccessfully) the Regional Housing Needs Allocation (RHNA)
allocated to the Town by ABAG and ramped up work on the next Housing Element,
which must be adopted by the end of 2022.
3
In addition to these housing related efforts, the Town was able to address forward
planning efforts aimed at enhancing the quality of life for our residents. After a long
public input process, the Town Council approved the Town-wide Bicycle Master Plan
which will provide a guide to improvements that will improve bicycle access and
safety throughout the community. At the end of 2021, the Town kicked off the update
to the Downtown Master Plan which will look at options to enhance the Downtown,
helping both businesses and those visiting to shop, dine and recreate.
The upcoming Housing Element featured prominently in the Town’s public outreach
efforts for the year. Town staff held a number of public workshops, posted extensive
materials on the Town’s website and retained consultants to assist with community
surveys and public participation efforts for the coming year. 2021 also saw the launch
of the monthly Town Talks video sessions with the Mayor, hosting a discussion of
topics of interest to residents. The Town’s Public Information Officer continued to
use social media to communicate with our residents.
Legislatively, the Town Council continued with advocacy efforts aimed at the
regional, state and federal levels, in the face of government efforts to require cities to
plan for and produce additional housing, especially for very low- and low-income
households.
Work continued on the plans to relocate the Town offices to 500 La Gonda Way. By
the end of the year, substantial progress had been made on the Police Department
facility, furniture had been ordered and contracts were being finalized for the work
on the Town office part of the project as well as the new driveway and parking lot
work. It is still anticipated that all Town personnel will be moved into the new facility
by summer of 2022.
In other capital improvement work, contracts have been awarded for pavement
management work, environmental work is being done for the multi-use path along
Diablo Road, new ballfield lights are being installed at Diablo Vista Park (work being
paid for by the Sports Alliance) and various park projects, including the Town Green
and the skatepark at Diablo Vista Park, will soon be in design.
HIGHLIGHTS FROM 2021
Legislative
•The Town continued to operate under a local state of emergency in response to
the COVID-19 pandemic; and, adhered to various COVID-19 related Health
Orders issued by the Contra Costa County Health Services Department and the
State of California.
4
•Continued to ensure the ongoing fiscal health of the Town by adopting a
balanced 2021/22 operating budget, restoring some expenditures and staffing
following on the $7.5 million in reductions enacted over the prior two fiscal
years. Maintained strong reserves and sustainable ten-year forecasts.
•Continued to conduct all public meetings via remote (ZOOM) format while
adhering to the revised Brown Act requirements.
•Town Council held separate joint meetings with each appointed Town
commission and board.
•Continued to adjust and extend temporary outdoor restaurant seating within
public rights to mitigate economic impacts of the pandemic.
•Worked with Tri-Valley Cities Coalition and state legislators to advocate for
changes to the Senate Pro-Tem “Building Opportunities For All” housing
package including SB 9 and SB 10, to lessen their impacts to Danville.
•Presented monthly legislative reports during Town Council meetings.
•Hosted Tri-Valley Cities Council Meeting featuring an Outreach Presentation
by the Citizen’s Redistricting Commission.
•Adopted a resolution approving a Friendship City partnership with Danville,
Kentucky.
•Adopted recommendations for use of American Rescue Plan Act (ARPA)
Funding to offset revenue loss, support program funding and administration,
non-profit partnership funding and project funding.
•Updated the Tri-Valley Cities 2021 Legislative Framework
•The Town was officially designated as a Purple Heart Community.
•Concluded the year with the 40th Annual Mayoral Installation and Community
Service Awards.
•Successfully recruited for, interviewed and filled several Commission, Board
and position vacancies.
Administration & Finance
•Administered ARPA funding awarded to the Town, providing $950,000 to nine
non-profit organizations, reserving $850,000 to fund senior services, mental
health and homeless services; and appropriating $3.5 million to help fund
several capital improvement projects.
•Continued to operate with reduced staffing levels in several departments
pending more complete economic recovery.
•Continued to interpret and apply COVID-19 requirements set forth by Contra
Costa Health Services, the California Department of Public Health and the
CDC, and adapt Town operations services to all protocols and guidelines.
•Completed the 2020/21 Annual Comprehensive Financial Report (ACFR),
realizing a positive $8.1 million General Fund balance.
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•Received Government Finance Officers Association recognition for excellence
in financial reporting for a nineteenth consecutive year.
•Maintained numerous highly successful interagency partnerships to better
serve and support the community.
Economic Development
•Selected consultant SWA Group to update the Downtown Master Plan and
launched the process in September 2021.
•Administered Phases 1 and 2 of the $525,000 Forward Focus Grant Program to
support local businesses through the pandemic. Closed the grant program on
December 31, 2021 after awarding 137 grants totaling $489,814.
•Provided Business Assistance Programs to support the first and second phases
of Cares Act funding and other federally sponsored pandemic relief programs
for businesses.
•Continued with management of temporary outdoor restaurant seating/
extensions within public rights of way for the duration of the pandemic.
•Implemented the Holiday Marketing Campaign “Keep Danville Merry and
Bright”, which included comprehensive outreach efforts through multiple
modes of media and the development of a 28-page print/digital “Danville
Picks” holiday gift guide. The guide provided discounted ad rates where 67
businesses participated to promote their local gifts ideas and encourage the
community to support local businesses.
•Continued growth and promotion of local businesses through the online
Danville Business Directory, powered by Bludot Technologies.
•Increased engagement and followers on the Live Locally Danville Instagram
Account (almost 4K followers).
Police and Emergency Services
•Closed 2021 with a near record low in Part 1 reported crimes. Reported crime
for 2021 rose by 7% from 2020. This stands as the second lowest year for Part
1 reported crime, 26% lower than the 10-year average.
•Received the distinction of “Safest City in California” with a population of
50,000 or less in 2021 for the fifth year in a row by Safewise, an independent
review website.
•Closed 2021 with a 14% increase in total reported collisions, the second lowest
reported collision total ever logged, 21% below the 10-year average for
reported traffic collisions. There were no fatal collisions in 2021.
•Continued the 10-8 program, a weekly livestreamed event that allows for
engagement and interaction with residents via Facebook and YouTube to
replace in person engagement due to the COVID-19 pandemic.
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•Monitored Contra Costa Health Department Health Orders to assist with
community education and undertake enforcement activities when warranted.
•Continued the Disaster Preparedness Program to increase readiness efforts
aimed at preparing for and responding to any natural or man-made disasters
or emergencies that could befall the Town.
Community Outreach
•Launched www.danvilletowntalks.org as a convenient and easy way for the
community to stay informed and participate in the issues that matter to them.
The new platform provides several outreach tools and enables educational
elements for current projects, including the Housing Element Update and the
Downtown Master Plan Update.
•Continuously updated and refreshed the Town website to provide information
and services to residents, including COVID-19, health orders issued by County
Health Services, the status of Town services and facilities, information and
resources for businesses, and other community updates.
•Continued social media efforts to highlight Town programs and essential local
information. The Town continues to see a steady increase in followers on its
Nextdoor, Twitter, Instagram, and Facebook accounts.
•Launched the “Town Talks with the Mayor” program to provide a safe way for
residents to connect with their community leaders and get up to the minute
information on the issues and topics important to Danville.
•Continued to utilize the Live Locally Quarterly Newsletter to promote Town
projects, Town events, and public safety. The newsletter is delivered to
approximately 20,000 Danville households.
Sustainability
•Adopted SB 1383 Compliant Procurement Policy and State of California’s
Model Water Efficiency Landscape Ordinance (MWELO).
•Continued membership with MCE Clean Energy, a Community Choice Energy
program, providing ratepayers with greater choices for renewable energy
options.
•Continued a reduction in electricity usage through operation of photovoltaic
arrays at four separate Town facilities.
Capital Improvement Program
•Started construction on the new Police Services Building at 500 La Gonda Way.
•Completed construction of the $900,000 San Ramon Creek pedestrian bridge
connecting Diablo Road and the Riverwalk development to the Town Green.
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•Continued the design and secured a FEMA grant for the Loch Lomond,
Starview, and Westridge Trash Rack projects.
•Continued the design for the San Ramon Valley Boulevard Improvements
project.
•Completed the design work and awarded a contract for construction of the
2021/22 Rubberized Cape Seal project.
•Completed Phase I of the Traffic Signal Controller Upgrade Project.
•Successfully procured $2,035,000 in Engineering and Transportation grants.
•Began design of Diablo Road Trail Improvements
•Began design of Iron Horse Trail and MVHS/Stone Valley Road Crossing
Improvements (RRFBs).
•Replaced/upgraded lighted crosswalk systems at two locations (La Gonda
Way and Blemer Rd).
•Replaced Battery Back-up System Components at 15 intersections.
•Continued the inventory and condition assessment of the Town’s storm
drainage system for the Town-wide Storm Drain Master Plan.
Development Services
•Completed a new Town-wide Bicycle Master Plan
•Adapted service delivery to provide increased ability for customers to apply
for and receive various permits and entitlements online and remotely.
•Completed Liverpool Neighborhood NTMP
•Continued work on the Townwide Fiber Optic Master Plan, A-620
•Completed Biennial Traffic Monitoring Program
•Initiated work on Caltrans’ funded Local Roadway Safety Improvement Plan
•Initiated work on Tri-Valley Transportation Plan/Action Plan for Routes of
Regional Significance update (TVTC & SWAT)
•Completed Tri-Valley Transportation Development Fee Nexus Study,
continued work on TVTDF Strategic Expenditure Plan
•Re-initiated TRAFFIX student transportation services to 11 schools/1,200
students and launched RFID card/FirstView Parent Application
•Continued participation/contributions to CCTA Innovate680 TAC/PAC,
Growth Management Program Task Force (included adoption of Measure J
Growth Management Program Update), Bi-County Traffic Modeling Group
•Deployed and monitored approximately 22 Downtown Parklets with over 200
barricades/traffic control devices procured and deployed with a materials cost
of $115,000.
Maintenance Services
•Completed annual renovation of the turf in the large dog park at Hap Magee
Ranch Park (rated the best dog park in the area by Diablo Magazine).
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•Completed the annual creek cleaning project prior to October 15 and the winter
rains.
•Responded to historic storms in October and protected life and property with
minimal damage to Town facilities.
•Continued managing the automated underground irrigation system (UgMO),
refining it to maximize water efficiency and prepare for potential future
expansion to other sites.
•Awarded new landscape maintenance contracts for Parks - Lighting and
Landscape Assessment District Zone D.
•Continued to manage all buildings for enhanced safety during the pandemic,
including replacing the higher efficacy HVAC filters quarterly.
•Rebuilt the gazebo and demolished the dilapidated barn at Hap Magee Ranch
Park.
•Repainted the Town Service Center exterior and replaced the building signage.
•Repainted all red curbs throughout Town (approximately 75,000 linear feet).
Recreation, Arts, and Community Services
•Began the Age-Friendly Road Map development process with the Senior
Advisory Commission.
•Continued to adapt recreation and enrichment programming and activities to
both in person and virtual formats
•Continued to work with the Arts Advisory Board and Parks, Recreation and
Arts Commission to prioritize and continue implementation of
recommendations in the Parks, Recreation and Arts Strategic Plan.
•Successfully reopened the Community Center, Senior Center, Village Theatre
& Art Gallery to the public with procedures in place to safely resume indoor,
in-person programming for all ages.
•Introduced the community to everyone’s favorite Acorn – Auggie!
•Resumed adult sports leagues for the fall 2021 season. Bocce and Adult softball
were played at Sycamore Valley Park
•Began taking indoor rentals again following all state and county guidelines
•Added 2 new pickleball courts out at Osage Station Park
•Re-opened the Teen center sites at all three Danville middle schools.
•Collaborated with other departments and the DACC to help promote
Economic Development to include local businesses in events like: May the 4th
Be With You, 2nd annual Scarecrow Stroll and the Amazing Race.
•Added new outdoor summer camps at Sycamore Park, Osage Park, and Diablo
Vista Park.
•Continued to feature and promote public art, highlighted by the Shrumen
Lumen sculpture summer exhibit at the Danville Library the Village Theatre &
Art Gallery.
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•Moved Preschool Performance Series and Comedy with Liz Grant & Friends
outside to the Town Green to allow for increased attendance.
•Offered a virtual Shakespeare Playshop for kids in partnership with Cal
Shakes.
•Offered two Art After Dark events with live music and some sweet treats.
•Hosted 5 community events including: a scaled-back version of the annual
Kiwanis-Danville parade on Labor Day weekend, Danville Fallfest (1-day due
to weather-related cancellation of Day 2), and a well-attended Lighting of the
Old Oak Tree.
•Incorporated additional guidelines and support for event organizers to comply
with health protocols established by Contra Costa Health Services.
Attachment – Notes from 2021 Planning and Goal Setting Workshop
2022 ANNUAL TOWN COUNCIL PLANNING
& GOAL SETTING WORKSHOP
MEETING NOTES AND OUTCOMES
Friday, February 11, 2022, 8:30 a.m.
Danville Community Center
Vice Mayor Robert Storer conveyed that Mayor Newell Arnerich could not attend the
workshop due to a personal matter.
2021 Highlights and Challenges
The Town Manager provided an overview of the past 12 months. Key points:
•The Town has worked through the adversity created by the pandemic. The Town
Council/staff working relationship continues to be very positive, facilitating effectiveness.
This is deeply appreciated and valued by staff.
•While the first year of the pandemic focused on reacting and responding, in year two the
pandemic was no longer the daily driver, and focus is shifted to recovering and retooling.
•The pandemic has been a catalyst, helping to create a renaissance for local government.
•The Town continues to employ an outstanding staff. Succession planning is a strong
consideration. Adapting to changes has resulted in some outstanding work. There’s more
focus on roles, less on specific job duties.
•The Town is effectively using social media to drive certain messaging and seeing success
rather than just reacting. Community members are responding positively,
driving engagement levels to a new level.
•Successes will become permanent changes - 10-8 and Town Talks with the Mayor have
provided new ways to reach out to the community.
The Town Council provided feedback on perceived highlights and challenges from the past
year, including:
•The Town dealt with economic impacts straight, took the financial hit up front, and made
sacrifices. As a result, the Town is now in a good position.
•The Police Department dealt with a difficult time, but the successful 10-8 Livestream showed
integrity on behalf of the Police Chief and the Police Department.
•The Town Council pushed back at local, regional, and national levels legislatively. Local
control is important, especially in Danville.
•Recreation continued to be creative. It kept kids engaged, introduced Auggie the Acorn,
created more happiness and more excitement in the community, and didn’t slow down.
•People have loved the Public Art Projects.
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• The Town partnered will other agencies to keep residents informed – e.g., where to get
vaccinated etc.; also found different ways to communicate and respond.
• The Council established a Friendship City with Danville, Kentucky.
• Credit for Mayor Morgan’s strong leadership in 2021, another tough year as Mayor. Also
appreciative of the challenges faced by Mayor Stepper in 2020.
• New Senior Advisory Commission and HRC - plaques continue to mark the historic
character of the Town and strengthen our history.
• The new pedestrian bridge at the Town Green adds to the character of Danville.
• The new Clocktower project looks great.
• The Town Council is proud of what was accomplished and thanked staff for all the work
that was done over the past year.
Challenges:
• State control, RHNA allocation – we need to continue to put information out ahead rather
than be reactive.
• ARPA funding allocations
• Expanded outreach efforts - residents continue to look for new ways to engage, and we need
to expand outreach efforts to increase choices.
• Housing Element Update – Town Council is depending on staff will identify solutions that
will keep the character of Danville.
Mid-Year 2020/2021 Operating Budget Update
The Town Council accepted the update and discussed the following:
• The Town continues to be in a strong financial position.
• Revenues have out-performed the forecast – the Town is in a positive place looking forward.
• The Town is back on a fiscal trajectory of where it would have been pre-pandemic.
• Factors contributing to the economic recovery – increased property values driving property
tax, sales tax, development activity.
• Pandemic posed a lot of unknowns. The Town took steps to mitigate the economic impact
based upon some educated guesses. Revenue impact was less than forecast, expenditure
reductions, thanks to Additional federal help has been received by virtue of Cares Act and
ARPA, and expenditure reductions exceeded targets. Decision to not draw down reserves
turned out to be prescient since subsequent ARPA funding cannot be used to replenish
reserves.
• Recreation has been the most significantly impacted. Revenues are expected to hit the
budget forecast, but ae still only 60% of the pre-pandemic revenues. Staff is preparing to
resume a full schedule this spring and summer. Mid-year budget adjustments are needed to
hire temporary employees and instructors for camps and classes.
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• For street closures and community events there are increasing concerns about event security,
and this will be a factor in future event planning. For 2022, the Town will utilize available
resources, but added security measures (barricades and contractors) carry significant costs.
The Town will need to take a more direct role in security planning.
• Property values continue to increase significantly. Property tax budget estimates were
conservative. Mid-year revenues are well ahead of the forecast and should comfortably
exceed the budget at end of year.
• Sales tax is expected to exceed the budget forecast by year-end. Comparison of 2021 Q3 over
2020 Q3 shows a 16.4% increase.
• The food sector/restaurants are doing better than ever before and are a very strong segment
of the local economy.
• With significantly positive revenue variances, mid-year revenue adjustments will not be
recommended and can be deferred to year-end.
• Mid-year expenditure adjustments totaling $465,000 will be recommended Development
Services, Police, Maintenance Services and Recreation.
• The formal mid-year budget report will be presented to the Town Council at the March 1,
2022 Council meeting.
• A sizeable budget increase will be forthcoming in 2022/2023. Increases in operating costs,
contract costs, and staffing costs resulting from re-filling vacant positions wil all impact
budgets. Increased revenues will offset expenditure increases.
Mid-Year 2021/22 Capital Improvement Program Update
The Town Council accepted the update and discussed the following:
• Since the start of the fiscal year and influx of new revenue has changed the CIP funding
landscape
• Staff is shifting focus to see what needs to be done to get projects completed within deadlines.
• Some projects are not funded but might be once decisions are made on how to use ARPA
funds.
• Capital maintenance projects will continue to require approximately $4 million annually to
fund absent any new projects.
• ARPA and Year-End 2020/21 funds can be used to fully or partially fund nine different high
priority projects.
• The Multi-Sport Skate Park project is currently not funded. With the Diablo Vista Play Area
scheduled for this year, it might be possible to combine the two projects into one large
project.
• Town office relocation funding appropriation was required to keep that project moving
forward.
• The Diablo Road Trail project is considered fully funded. Measure J funds can be transferred
from other projects setting aside a total of $ 5.7 million for the project.
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•Absent Council direction, adjustments to commit funding received through Tranche 2 ARPA
($5,323,869) and 2020/2021 year-end ($6,100,000) will be deferred to the 2022/23 CIP.
•ARPA funded projects must be completed by the end of 2026. Project construction for the
next 4 years must carefully match funding with available bandwidth needed to deliver the
projects.
•Absent ARPA funds, many projects would have taken longer to fund and complete.
•Council reviewed the current budget status for Project B-626 – Town Office Relocation.
Service Delivery post-COVID-19
•Town employees have returned to the workplace, and classes and programs have resumed.
•Both Staff and the people we serve have benefited from the changes that were introduced
during the past two years.
•With Town staff is located in six locations, online meetings have saved time. More business
is being conducted remotely, and more employees are working from home. There are more
options for meetings. Some things can’t be done remotely: Public works, Maintenance,
Safety, and Recreation, but other services have just accelerated the societal change that was
already happening.
•The Town continued to review the operational adjustments it made at the start of the
pandemic. Covid-19 variants have caused a continuation of those changes.
•The Town has not required employees to be fully vaccinated. Staff continue to use
precautions and have safety measures in place to keep people safe. A large percentage of
Staff that works indoors are vaccinated. The Town continues to urge employees to get
vaccinated.
•The Recreation Department is still the most impacted because recreation is about bringing
people together, which relies on direct interaction.
•The Town continues to look for value for our residents. Time is valuable, so the Town is
embracing flexibility and multiple ways of doing things and delivering value by saving
resident’s time. Residents appreciate access to Permits online and business licenses online.
•Public meetings will continue in person and on Zoom.
•The Town Council’s second meeting in March will move to a hybrid format.
Community Outreach and Engagement
•Residents expect to have easy access to the Town and Town Council by online means, not
just email. They expect to actively engage and help make decisions.
•The www.danvilletowntalks.org website has helped residents to engage. More community
outreach, more accessible as residents expectation is to view the information by subject rather
than by department. Housing Element and Downtown Master Plan projects are two projects
on the outreach platform.
•The Town Website saw a 76% increase in traffic during the pandemic.
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• The agendas webpage saw a 16.5% increase which reflects a growing increase in community
involvement in Town meetings.
• Outreach webinars like Town talks with the Mayor see more views after the fact than during
the meeting due to the convenience of easy access online. Reach is broad, and resources are
available.
• The Town is using social media more proactively.
• We see direct results of outreach in online community conversations. Discussions on the Faz
project on Nextdoor, 20% of comments reference State mandates and RHNA numbers. Links
to Housing 101 workshops on YouTube.
• The Town is investing in Community Outreach with the aim to get ahead of the story.
Coordinating across departments and projects, so messages don’t overlap. Proactive and not
reactive outreach results in more positive responses and saves staff and Council time
correcting misinformation.
• Building a strong online resource of factual information means that residents can refer
people to that information. It is more powerful when residents promote our resources.
• Press releases are useful for being searchable by residents and are used with social media to
promote projects, updates, and information.
• The Town Council recommended adding www.danvilletowntalks.org to Danville Connect.
Legislative Update
Townsend Public Affairs provided a recap of the 2021 Legislative Session.
• February 18 - Senate and Assembly Last day for bills to be introduced.
• Deadline of March 14 for the Assembly, March 17 for the Senate - amendments must be
submitted.
• Local Control/Land Use Ballot Measure in November 2022 - “California Cities for Local
Control”
o 997K signatures needed.
o Local efforts, petition gathering signatures at Danville Farmers’ market.
o The Secretary of State has requested that it be submitted by April 29.
o Could give cover to create an ordinance to protect local land use control.
o Municipalities could pass a resolution demonstrating support. Some are hesitant
because it has not yet qualified for the ballot.
• SB9 was discussed. State legislation doesn’t addresses the affordability element - just makes
developers rich - the biggest part of the puzzle left out. Townsend said it has also heard that
feedback.
• There was a discussion about the Turner Center Report on SB9, which anticipates less impact
because of the costs involved. Still cautious as we don’t know the impact in our area yet.
• Townsend is pushing for another Advocacy Day in Sacramento. The last time an in-person
Advocacy Day was 2019 - virtual meetings since.
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•AB 1445 Levine - Factor climate change impacts when allocating RHNA numbers. It will be
backed by climate supporters. It might be good for the Tri-Valley cities coalition to support.
•SB 45 - Portantino. Require Cal recycle to provide assistance to local jurisdictions to help
them comply with SB1383. More likely to end up as a budget bill.
•SB 852 Senator Dodd - authorize a city, county, or special district to form a Climate Resilience
District for protecting or mitigating climate impacts. Like a JPA raise money to build out
climate resiliency projects.
•SB 917 Senator Becker – Seamless Transit Transformation Act. Seamless Bay Area – Would
require MTC development and adoption of streamlined transit fare rates, wayfinding, and
regionalized mapping for all 9 Bay Area Counties. Deals with concerns from transit agencies
that ridership is lower.
•AB 1400 Assembly Members Kalra, Lee, and Santiago - Guaranteed Health Care for all
Single-payer healthcare bill. There are concerns about fiscal impacts, costs to state and
taxpayers are very high. This bill is not moving forward this year.
•Steve Glazer may be running for Lieutenant Governor for California.
•Council all appreciate working with Townsend.