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File #: 1548-2019    Version: 1
Type: Ordinance Status: Passed
File created: 6/3/2019 In control: Public Utilities Committee
On agenda: 7/1/2019 Final action: 7/3/2019
Title: To authorize the Director of Public Utilities to enter into a construction contract with John Eramo & Sons, Inc. for the Mound District Booster Station 20-Inch Discharge Line Project; to authorize the appropriation and transfer of $3,013,538.42 from the Water System Reserve Fund to the Water Supply Revolving Loan Account Fund; to authorize the appropriation and expenditure of $3,013,538.42 from the Water Supply Revolving Loan Account Fund; to authorize an expenditure up to $2,000.00 within the Water General Obligation Voted Bonds Fund to provide for payment of prevailing wage services to the Department of Public Service; for the Division of Water; and to authorize an amendment to the 2019 Capital Improvements Budget. ($3,015,538.42)
Attachments: 1. ORD 1548-2019 Bid Tab, 2. ORD 1548-2019 QFF, 3. ORD 1548-2019 Information, 4. ORD 1548-2019 Utilization, 5. ORD 1548-2019 map, 6. ORD 1548-2019 Funding

Explanation

 

1. BACKGROUND:  This legislation authorizes the Director of Public Utilities to enter into a construction contract with John Eramo & Sons, Inc. for the Mound District Booster Station 20-Inch Discharge Line Project, in an amount up to $3,013,538.42, for Capital Improvements Project No. 690451-100001, Division of Water Contract Number 2107.

 

Funds in the amount of $2,000.00 will also be encumbered with the Department of Public Service for Prevailing Wage services.

 

This project will construct approximately 4,600 linear feet of 20-inch and 1,100 linear feet of 24-inch water transmission main, and other such work as may be necessary to complete the contract.

 

The Mound District Booster Station services the “53 - Greater Hilltop” area and includes the following boundaries:  Mound St. from Central Ave. to Columbian Ave., and in Columbian Ave. from Mound St. to Sullivant Ave., parallel to the existing water mains.

 

2. ECONOMIC IMPACT/ADVANTAGES; COMMUNITY OUTREACH; PROJECT DEVELOPMENT; ENVIRONMENTAL FACTORS/ADVANTAGES OF PROJECT: 

The water main is needed to reinforce the existing distribution grid and to improve water service to the area.

 

3. CONSTRUCTION CONTRACT AWARD:  The Director of Public Utilities publicly opened six (6) bids on May 29, 2019 from:

 

1.  John Eramo & Sons, Inc.                     $3,013,538.42                    

2.  Kenmore Construction Co.                  $3,147,703.56 (after bid tab correction)

3.  Elite Excavating Co. of Ohio                $3,518,303.10

4.  Shelly & Sands, Inc.                            $3,721,640.35

5.  Fields Excavating, Inc.                         $4,016,468.15

6.  Complete General Constr.                    $4,622,769.43

                                                              

Eramo’s bid was deemed the lowest, best, most responsive and responsible bid in the amount of $3,013,538.42.  Their Contract Compliance Number is 31-0724866 (expires 12/4/19, Majority) and their DAX Vendor No. is 4251.  Additional information regarding all bidders, description of work, contract time frame and detailed amounts can be found on the attached Information form.

 

Searches in the Excluded Party List System (Federal) and the Findings for Recovery list (State) produced no findings against John Eramo & Sons, Inc.

 

3.1 PRE-QUALIFICATION STATUS: John Eramo & Sons, Inc. and all proposed subcontractors have met code requirements with respect to pre-qualification, pursuant to relevant sections of Columbus City Code Chapter 329.

 

4. FISCAL IMPACT:  This Ordinance authorizes the City Auditor to appropriate and transfer funds from the Water System Reserve Fund to the Water Supply Revolving Loan Account Fund in order to fund this proposed expenditure.  This transaction is a temporary measure that is required until such time as the Division is able to execute a loan with the Water Supply Revolving Loan Account Fund and reimburse the Water System Reserve Fund.  The loan is expected to be approved in July 2019. 

 

A portion of funding will also come from the Water G.O. Voted Bonds Fund.  An amendment to the 2019 Capital Improvements Budget is also necessary.

 

 

Title

 

To authorize the Director of Public Utilities to enter into a construction contract with John Eramo & Sons, Inc. for the Mound District Booster Station 20-Inch Discharge Line Project; to authorize the appropriation and transfer of $3,013,538.42 from the Water System Reserve Fund to the Water Supply Revolving Loan Account Fund; to authorize the appropriation and expenditure of $3,013,538.42 from the Water Supply Revolving Loan Account Fund; to authorize an expenditure up to $2,000.00 within the Water General Obligation Voted Bonds Fund to provide for payment of prevailing wage services to the Department of Public Service; for the Division of Water; and to authorize an amendment to the 2019 Capital Improvements Budget.  ($3,015,538.42)

 

 

Body

 

WHEREAS, six (6) bids for the Mound District Booster Station 20-Inch Discharge Line Project were received and publicly opened in the offices of the Director of Public Utilities on May 29, 2019; and

 

WHEREAS, the lowest, best, most responsive and responsible bid was from John Eramo & Sons, Inc. in the amount of $3,013,538.42; and

 

WHEREAS, it is necessary to authorize the Director of the Department of Public Utilities to enter into a construction contract for the Mound District Booster Station 20-Inch Discharge Line Project; and

 

WHEREAS, it is necessary to authorize the Director of the Department of Public Utilities to encumber and expend funds to provide for payment of prevailing wage services associated with said project; and

 

WHEREAS, it is necessary to both appropriate funds from the Water System Reserve Fund and to authorize the transfer of said funds into the Water Supply Revolving Loan Account Fund in order to temporarily fund this expenditure, until such time as the City is able to execute a loan for the above stated purpose and reimburse the Water System Reserve Fund; and

 

WHEREAS, the City anticipates incurring certain Original Expenditures (as defined in Section 1.150-2(c) of the Treasury Regulations (the “Treasury Regulations”) promulgated pursuant to the Internal Revenue Code of 1986, as amended) with respect to the construction of the Project described in this Ordinance (collectively, the “Project”); and

 

WHEREAS, it is necessary for this Council to authorize a transfer and expenditure of funds within the Water G.O. Voted Bonds Fund, for the Division of Water; and 

 

WHEREAS, it is necessary to authorize an amendment to the 2019 Capital Improvements Budget for the purpose of providing sufficient spending authority for the aforementioned project expenditures; and

 

WHEREAS, it has become necessary in the usual daily operation of the Division of Water, Department of Public Utilities, to authorize the Director of Public Utilities to enter into a construction contract with John Eramo & Sons, Inc. for the Mound District Booster Station 20-Inch Discharge Line Project, for the preservation of the public health, peace, property and safety; 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 enter into a construction contract for the Mound District Booster Station 20-Inch Discharge Line Project with John Eramo & Sons, Inc., FID #31-0724866, 3670 Lacon Rd., Hilliard, OH 43026; in an amount up to $3,013,538.42; in accordance with the terms and conditions of the contract on file in the Office of the Division of Water; and to obtain the necessary prevailing wage services from the Department of Public Service and to pay up to a maximum amount of $2,000.00.

 

SECTION 2.  That said construction company shall conduct the work to the satisfaction of the Director of Public Utilities and the Administrator of the Division of Water.

 

SECTION 3. That from the unappropriated monies and from all monies estimated to come into said fund from any and all sources and unappropriated for any other purpose during the fiscal year ended December 31, 2019, the sum of $3,013,538.42 is appropriated in Fund 6003 - Water System Reserve Fund, in Object Class 10 - Transfer Out Expenditure, per the account codes in the attachment to this ordinance.

 

SECTION 4. That the transfer of $3,013,538.42 or so much thereof as may be needed, is hereby authorized between Fund 6003 - Water System Reserve Fund and Fund 6011 - Water Supply Revolving Loan Account Fund, per the account codes in the attachment to this ordinance.

 

SECTION 5.  That the transfer of $2,000.00 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 6.  That the 2019 Capital Improvements Budget is hereby amended, in Fund 6011 - Water Supply Revolving Loan Account Fund and Fund 6006 - Water G.O. Bonds Fund, as follows:

 

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

6011 | P690451-100001 (NEW) | Mound District B.S. Discharge Line | $0 | $3,013,539 | +$3,013,539 (adding authority to match expenditure)

 

6006 | P690411-100013 (carryover) | Hoover Dam Imp's - Part 1 | $1,110,491 | $1,108,491 | -$2,000

6006 | P690451-100001 (carryover) | Mound District B.S. Discharge Line | $0 | $2,000 | +$2,000

 

SECTION 7. That the appropriation and expenditure of $3,013,538.42 or so much thereof as may be needed, is hereby authorized in Fund 6011 - Water Supply Revolving Loan Account Fund, in Object Class 06 - Capital Outlay, per the accounting codes in the attachment to this ordinance.

 

SECTION 8.  That the expenditure of $2,000.00 or so much thereof as may be needed, is hereby authorized in Fund 6006 - Water G.O. Voted Bonds Fund, in Object Class 06 - Capital Outlay, for prevailing wage services, per the accounting codes in the attachment to this ordinance.

 

SECTION 9.  That upon obtaining other funds for the purpose of funding water system capital improvement work, the City Auditor is hereby authorized to repay the Water System Reserve Fund the amount transferred under Section 4 above, and said funds are hereby deemed appropriated for such purpose.

 

SECTION 10.  That the City intends that this Ordinance constitute an "official intent" for purposes of Section 1.150-2(e) of the Treasury Regulations, and that the City reasonably expects to reimburse itself for certain Original Expenditures incurred with respect to the Project from the proceeds of obligations to be issued by the City in a principal amount currently estimated to be $3,013,538.42 (the "Obligations").

 

The City intends to make a reimbursement allocation on its books for the Original Expenditures not later than eighteen months following the later to occur of the date of the Original Expenditure to be reimbursed or the date the Project for which such Original Expenditures were made is "placed in service" within the meaning of Treasury Regulations Section 1.150-2(c).  Upon the issuance of the Obligations, the proceeds of such Obligations shall be used to reimburse the Water System Reserve Fund 6003, which is the fund from which the advance for costs of the Project will be made.

 

SECTION 11.  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 12.  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 13.  That the City Auditor is authorized to establish proper project accounting numbers as appropriate.

 

SECTION 14.  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 15.  That this Ordinance shall take effect and be in force from and after the earliest period allowed by law.