Matters ▸ Attachment
FY26 Street Resurfacing_Capital Program Request Sheet_FY26 CIP — File 25-1742
Project Title:
Project Address:
Department:
Project Mgr.:
Email:
New Project or Modification:
Department Priority:
Updated:
Rank your project(s) in order of priority from your point of view. If you propose four projects, rank them 1, 2, 3, 4, with 1 being the highest, and so forth.
Project Description/Scope of Work:
Justification:
Relationship to Other Projects:
Category: Please check all appropriate boxes
Architectural/Engineering Feasibility Study
Architectural/Engineering Construction Document Services & Construction Admin
Building Alteration/Repair/Renovation/Addition/New Construction
Building Improvements (non-construction)
Purchase of Equipment (incl. vehicles, office equipment, hardware, etc.)
Information Technology Systems/Platforms (e.g. cloud based, internet based, etc.)
Street/Sidewalk/Monument Improvements
Water Improvements
Sewer Improvements
Land Development
Land Acquisition
Land Disposition
Parks and Open Space
Other
Operational Impact:
What impact will this project have on operational costs?
Reduce Cost (greater than 5%)
Reduce Cost (less than 5%)
Cost Unchanged
Increase Cost (less than 5%)
Increase Cost (greater than 5%)
Western Pearl and Various Streets
FORM A - DESIGN & CONSTRUCTION
CAPITAL IMROVEMENT PROJECT (CIP) REQUEST - FY26
Rebecca Wright
rwright@somervillema.gov
Same level of maintenance
FY 26 Street Resurfacing - Ch 90 Program and Complete Streets
Annual street design and reconstruction is required to repair and maintain miles of streets, sidewalks, and ADA ramps throughout the
city. Annual project supplemented by Chapter 90 funds and General Fund.
Design and reconstruction of streets, sidewalks, and ADA-accessible ramps on various public roads throughout the city. Work includes
design, engineering services during construction, excavation, gravel borrow, grading, manhole adjustments, drainage inlet
reconstruction, curb removal and resetting, curb extensions, median islands, installation of MAAB/ADA compliant curb cuts, crosswalk
lines, stop lines, double yellow lines, white lines, colored lane markings and other work as necessary.
Engineering
Necessary
New Project
First
Design and Construction Project Funding
Total Estimated Cost
Prior Years
Funding
FY 26
FY 27
FY 28
FY 29
FY 30
Capital Costs:
Feasibility Study
$ -
Land Acquisition/Appraisal
$ - $ - $ - $ - $ - $ - $ -
Environmental Remediation/LSP
$ -
Demolition & Site Clearance
$ - $ - $ - $ - $ - $ - $ -
Owner's Proj. Mgr./Clerk of the Works
$ -
Designer Services (SD through CA)
$ 850,000
$ 300,000 $ 350,000 $ 200,000
Construction
$ 7,200,000 $ - $ 2,500,000 $ 3,500,000 $ 1,200,000 $ - $ -
Insurance (builder's risk, addtl. Polices)
$ - $ -
$ - $ -
Furniture & Equipment (FFE)
$ -
Police Details
$ 200,000 $ - $ 60,000 $ 70,000 $ 70,000 $ - $ -
Contingency
$ 875,886
$ 208,060 $ 300,000 $ 367,826
Other (Specify)
$ - $ - $ - $ - $ - $ - $ -
Other
$ - $ - $ -
$ - $ - $ -
Total:
$ 9,125,886 $ - $ 3,068,060 $ 4,220,000 $ 1,837,826 $ - $ -
Please provide suggested sources. This section will be finalized jointly by Finance and the Department.
Funding Sources:
Prior Years
Funding
FY 26
FY 27
FY 28
FY 29
FY 30
Stabilization Fund
$ 3,000,000 $ -
$ 3,000,000
GO Bonds
$ 3,057,826 - $ - $ 1,220,000 $ 1,837,826 - -
Retained Earnings
$ -
General Fund (PayGo)
$ 900,000
900,000
Special Assmnt.
$ - - - - - - -
Ch. 90
$ 1,891,551
$1,891,551.24
Grants
$ - - - - - - -
Receipts Reserved
$ -
Other - Ch 90 Fair Share
$ 276,509 - 276,509 - - - -
Other (Specify)
$ - - - - - - -
Total:
$ 9,125,886 $ - $ 3,068,060 $ 4,220,000 $ 1,837,826 $ - $ -
Evaluation Committee Use Only:
Reviewed and Approved By:
Version
Requesting Department
Date
Draft
Auditing
Date
Revised
Purchasing
Date
Accepted
Final Approval
Estimate provided by project team in conjunction with design estimator.