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File #: 1526-2018    Version: 1
Type: Ordinance Status: Passed
File created: 5/22/2018 In control: Public Utilities Committee
On agenda: 6/25/2018 Final action: 6/28/2018
Title: To authorize the Director of Public Utilities to enter into a planned modification of the 2017 - 2019 Construction Administration and Inspection Services Agreement with CTL Engineering, Inc., for the Division of Water’s Sale Road Area Water Line Improvements Project; to authorize a transfer and expenditure up to $532,160.68 within the Water General Obligations Voted Bonds Fund; and to amend the 2018 Capital Improvement Budget. ($532,160.68)
Attachments: 1. ORD 1526-2018 Information, 2. ORD 1526-2018 Utilization, 3. ORD 1526-2018 map, 4. ORD 1526-2018 Funding

Explanation

 

1.0 BACKGROUND:  This legislation authorizes the Director of Public Utilities to execute a planned modification to the 2017 - 2019 Construction Administration and Construction Inspection (CA/CI) Services agreement with CTL Engineering, Inc. 

 

Funding for this modification is for the Division of Water’s Sale Road Area Water Line Improvements Project, CIP No. 690236-100079.

 

The community planning area for Sale Road is “North Linden”.

 

1.1. Amount of additional funds to be expended:  $532,160.68

Original Agreement Amount:     $1,176,463.19  (PO065668, PO065682, PO065685, PO065689, PO060681, PO060688)

Modification 1:                          $   525,719.94  (PO101386) 

Modification 2:                          $1,163,550.45  (PO105268)

Modification 3:                          $   709,805.75  (PO110030 & PO110036)

Modification 4 (current):            $   532,160.68

Total (Orig. + Mods 1 - 4)         $4,107,700.01

 

1.2. Reasons additional goods/services could not be foreseen:  

This is a three-year agreement for fiscal years 2017-2019 and modifications were anticipated and explained in the original legislation under Original Ordinance No. 0875-2017, as well as Modification No. 1 under Ordinance No. 3084-2017, Modification No. 2 under Ordinance No. 3270-2017, and Modification No. 3 under Ordinance No. 0229-2018.

 

1.3. Reason other procurement processes are not used: 

Terms under the original Request for Proposal (RFP) indicated several firms would provide Construction Administration Services for projects in 2017, 2018, and 2019.  The procurement process for selecting CTL Engineering, Inc. was explained in Ordinance No. 0875-2017.

 

1.4. How cost of modification was determined:

Cost proposals were provided by CTL Engineering, Inc., reviewed by the Division of Water, and deemed acceptable.

 

2.0 ECONOMIC IMPACT/ADVANTAGES; COMMUNITY OUTREACH; PROJECT DEVELOPMENT; ENVIRONMENTAL FACTORS/ADVANTAGES OF PROJECT:  The The Division of Water does not have the manpower to perform all of the duties necessary to administer and inspect construction of said projects; CTL Engineering will perform the services.

 

The goal of the Sale Road project is to replace or rehabilitate the existing 6-inch and 8-inch water lines that have a high break frequency, which will improve water service, decrease burden on water maintenance operations, and reduce water loss.  The Neighborhood Liaison has been contacted and informed of this project.

 

3.0 FUTURE MODIFICATIONS:  The original agreement was established for projects commencing 2017 through 2019.  Future modifications are anticipated but unknown at this time.

 

4.0 CONTRACT COMPLIANCE INFO: 31-0680767 | ASN | Expires 8/3/18, DAX Vendor No. 004209. 

 

Searches in the Excluded Party List System (Federal) and the Findings for Recovery list (State) produced no findings against CTL Engineering, Inc.

 

5.0 FISCAL IMPACT:  A transfer of funds within the Water G.O. Voted Bonds Fund will be necessary as well as an amendment to the 2018 Capital Improvement Budget.

 

 

Title

 

To authorize the Director of Public Utilities to enter into a planned modification of the 2017 - 2019 Construction Administration and Inspection Services Agreement with CTL Engineering, Inc., for the Division of Water’s Sale Road Area Water Line Improvements Project; to authorize a transfer and expenditure up to $532,160.68 within the Water General Obligations Voted Bonds Fund; and to amend the 2018 Capital Improvement Budget.  ($532,160.68)

 

 

Body

 

WHEREAS, Original contract numbers PO065668, PO065682, PO065685, PO065689, were authorized by Ordinance No. 0875-2017, passed May 1, 2017, were executed on June 5, 2017, and were approved by the City Attorney on June 12, 2017 for the 2017 - 2019 Construction Administration and Inspection Services Agreement, for four Division of Sewerage and Drainage projects (General Construction, Petzinger Road Sanitary Sewer, Weisheimer / Indian Springs Integrated Solutions, and Weisheimer / Indian Springs Roadway Improvements); and

 

WHEREAS, Original contract numbers PO060681 and PO060688, were authorized by Ordinance No. 0875-2017, passed May 1, 2017, were executed on May 3, 2017, and were approved by the City Attorney on May 11, 2017 for the 2017 - 2019 Construction Administration and Inspection Services Agreement, for two Division of Power projects (Broad Meadows Underground and Dublin-Granville / Deewood / Maple Canyon Street Lighting Improvements Projects); and

 

WHEREAS, Modification No. 1, under PO101386, against Ordinance No. 3084-2017, was for the Division of Power’s Alternate 69kV Line to West Substation Project; and

 

WHEREAS, Modification No. 2, under PO105268, against Ordinance No. 3270-2017, was for the Division of Sewerage and Drainage/Water’s joint Terrace / Broad Stormwater System Improvements and Eureka / Steele Water Line Improvements Project; and

 

WHEREAS, Modification No. 3, under PO110030 & PO110036, against Ordinance No. 0229-2018, was for the Division of Water’s Scottwood Road Area Water Line Improvements Project and CA-CI for General Construction Projects; and

 

WHEREAS, Modification No. 4 is needed to provide Construction Administration and Inspection Services for the Division of Water’s Sale Road Area Water Line Improvements Project; and

 

WHEREAS, it is necessary to authorize a transfer and expenditure up to $532,160.68 within the Water G.O. Bonds Fund 6006; and

 

WHEREAS, it is necessary to authorize an amendment to the 2018 Capital Improvements Budget for purposes of providing sufficient funding and expenditure authority for the aforementioned project expenditure; and

 

WHEREAS, it has become necessary in the usual daily operation of the Department of Public Utilities, Division of Water, to authorize the Director to modify and increase the 2017 - 2019 Construction Administration and Inspection Services Agreement with CTL Engineering, Inc. for the Division of Water’s Sale Road Area Water Line Improvements Project; for the preservation of the public health, peace, property, safety, and welfare; now, therefore

 

BE IT ORDAINED BY THE COUNCIL OF THE CITY OF COLUMBUS:

 

SECTION 1.  That the Director of Public Utilities is hereby authorized to modify and increase the 2017 - 2019 Construction Administration and Inspection Services Agreement with CTL Engineering, Inc., 2860 Fisher Road, Columbus, Ohio 43204 (FID# 31-0680767); in the amount of $532,160.68 for the Division of Water’s Sale Road Area Water Line Improvements Project (CIP No. 690236-100079), in accordance with the terms and conditions of the contract on file in the office of the Division of Water.

 

SECTION 2.  That this contract modification is in compliance with Chapter 329 of Columbus City Code.

 

SECTION 3. That the transfer of $532,160.68 or so much thereof as may be needed, is hereby authorized between projects within Fund 6006 - Water G.O. Bonds Fund, per the account codes in the attachment to this ordinance.

 

SECTION 4.  That the 2018 Capital Improvements Budget is hereby authorized between projects within Fund 6006 - Water G.O. Bonds Fund, as follows:

 

Project No. | Project Name | Current Authority | Revised Authority | Change

P690507-100000 (carryover) | HCWP Floc & Lime Basin Recon. | $400,501 | $0 | -$400,501

P690395-100000 (carryover) | Valve Renewal Program | $122,297 | $0 | -$122,297

P690477-100000 (carryover) | Water Storage Tank Pntg. | $409,973 | $400,610 | -$9,363

P690236-100079 (carryover) | Sale Rd. Area WL Imp’s | $0 | $532,161 | +$532,161

 

SECTION 5. That the expenditure of $532,160.68 or so much thereof as may be needed, is hereby authorized in Fund 6006 - Water G.O. Bonds Fund, in Object Class 06 - Capital Outlay, per the accounting codes in the attachment to this ordinance.

 

SECTION 6.  That the funds necessary to carry out the purpose of this Ordinance are hereby deemed appropriated, and the City Auditor shall establish such accounting codes as necessary.

 

SECTION 7.  That the City Auditor is hereby authorized and directed to transfer any unencumbered balance in the project account to the unallocated balance within the same fund upon receipt of certification by the Director of the Department administering said project that the project has been completed and the monies no longer required for said project; except that no transfer shall be made from a project account by monies from more than one source.

 

SECTION 8.  That the City Auditor is authorized to establish proper project accounting numbers as appropriate.

 

SECTION 9.  That the City Auditor is authorized to make any accounting changes to revise the funding source for all contracts or contract modifications associated with this Ordinance.

 

SECTION 10. That this Ordinance shall take effect and be in force from and after the earliest period allowed by law.