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AGENDA RECOMMENDATION |
Public Hearings 7.A.
City Council Regular Meeting
- Meeting Date:
- 01/12/2026
Agenda Item:
Public Improvement Hearing and Resolution receiving feasibility report, ordering improvements, preparation of plans and specifications, and ordering advertisement of bids for Capital Improvement Project 11206; Hiniker Parkway.
Recommendation/Action(s):
Adoption of the attached resolutions.
Summary:
The existing Range Street roadway from Butterworth Street to W Lind Street will be removed as part of the Trunk Highway 169 Revitalization project scheduled for 2027. Hiniker Parkway (from Butterworth Street to Range Street) is proposed to be constructed west of Range Street, between Hiniker Pond and Axis Lofts and the Coratel. It’s critical that Hiniker Parkway is constructed and in place in 2026 to serve as a local access route during and after the Highway 169 improvements.
On January 6, 2026, staff hosted an informational meeting where engineering staff presented the proposed plan, estimated costs, and proposed preliminary assessments for the projects. Residents abutting the projects were mailed and hand-delivered notices of the informational meetings.
Construction Services is recommending the Council consider these improvements per the attached feasibility report, estimated costs, and funding sources noted below:
On January 6, 2026, staff hosted an informational meeting where engineering staff presented the proposed plan, estimated costs, and proposed preliminary assessments for the projects. Residents abutting the projects were mailed and hand-delivered notices of the informational meetings.
Construction Services is recommending the Council consider these improvements per the attached feasibility report, estimated costs, and funding sources noted below:
| HINIKER PARKWAY | |
| ITEM | COST |
| Street and Landscaping | $489,524.13 |
| Stormwater Pollution Prevention | $30,100.00 |
| Street Lighting | $49,620.00 |
| Storm Drainage Construction | $188,555.87 |
| Sanitary Sewer Construction | $0.00 |
| Watermain Construction | $0.00 |
| TOTAL CONSTRUCTION | $757,800.00 |
| Construction Contingency | $75,780.00 |
| Administration | $83,358.00 |
| Engineering | $83,358.00 |
| TOTAL PROJECT COST | $1,000,296.00 |
| FUNDING SOURCE | AMOUNT | PERCENT |
| Special Assessments | $550,163.00 | 55.0% |
| Stormwater Revenue | $230,038.00 | 23.0% |
| Sewer Revenue | $0.00 | 0% |
| Water Revenue | $0.00 | 0% |
| General Obligation Bonds | $220,095.00 | 22.0% |
| TOTAL FUNDS | $1,000,296.00 | 100.0% |
