2. Authorize settlement in the amount of $75,000.00 to Daniel Salinas and in the amount of $50,000.00 to Josefina Estrada in the lawsuit styled Daniel Salinas, et al. v. City of Dallas and Yuridana Garcia, Cause No. CC-19-02925-A - Total not to exceed $125,000.00 - Financing: Liability Reserve Fund 3. Authorize settlement of the lawsuit styled Laura Lazaro v. City of Dallas, Cause No. CC-21-02826-C - Not to exceed $80,000.00 - Financing: Liability Reserve Fund 4. Authorize the (1) acceptance of a grant from the U.S. Department of Health and Human Services (Grant No. 5H79TI081081-05, CFDA No. 93.243) for Substance Abuse and Mental Health Services Administration (SAMHSA) Grant in the amount of $375,498.00, to expand substance abuse capacity at the existing South Dallas Drug Court for the period September 30, 2022 through September 29, 2023, for year five of the five-year project; (2) establishment of appropriations in an amount not to exceed $375,498.00 in the SAMHSA-Adult Treatment Drug Court Expansion Project 22-23 Fund; (3) receipt and deposit of grant funds in an amount not to exceed $375,498.00 in the SAMHSA-Adult Treatment Drug Court Expansion Project 22-23 Fund; and (4) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Not to exceed $375,498.00 - Financing: U.S. Department of Health and Human Services, Substance Abuse and Mental Health Services Administration Grant Funds 4. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DCBD) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas CBD Vertiport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 5. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DCBD) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas CBD Vertiport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 6. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DLEX) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas Executive Airport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Executive Airport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Executive Airport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 8. Authorize (1) a development loan agreement and security documents with TX Markville 2022, Ltd., or an affiliate thereof (Developer) in an amount not to exceed $583,861.00 in HOME Investment Partnerships Program funds, conditioned upon Developer receiving a 2022 9% Housing Tax Credit award for the development of a mixed-income affordable multifamily complex known as Patriot Point at Markville, located at 9222 Markville Drive, Dallas, Texas (Property); (2) a development loan agreement and security documents with the City of Dallas Housing Finance Corporation, or an affiliate thereof (DHFC) in an amount not to exceed $6,741,139.00 in Community Development Block Grant (CDBG) funds to purchase and own the Property; and (3) the DHFC to enter into a long-term ground lease with Developer for the development of the Project pursuant to 24 CFR 570.201(a) and (b) - Not to exceed $7,325,000.00 in HOME Investment Partnership Program Funds ($583,861.00) and Community Development Block Grant Funds ($6,741,139.00) 9. Authorize a development loan agreement with Cypress Creek Montfort Drive, LP and/or its affiliate, conditioned upon Cypress Creek Montfort Drive, LP receiving a 2022 9% Housing Tax Credit award for the acquisition and development of a mixed-income multifamily complex known as Cypress Creek Apartment Homes at Montfort located at 14119 Montfort Drive in Dallas, Texas - Not to exceed $4,100,000.00 - Financing: Coronavirus State and Local Fiscal Recovery Funds 10. Authorize a development loan agreement with Brompton Community Housing Development Corporation and/or its affiliates, conditioned upon Skyline at Cedar Crest receiving 9% Housing Tax Credit award for the development of a 107-unit mixed-income affordable multifamily complex located at 2720 East Kiest Boulevard in Dallas, Texas - Not to exceed $3,750,000.00 Financing: HOME Investment Partnership Program Funds 11. Authorize a development loan agreement with Jaipur Lofts, LLC and/or its affiliates, conditioned upon Jaipur Lofts, LLC receiving a 2022 9% Housing Tax Credit award for the acquisition and development of Jaipur Lofts, a 71-unit mixed-income multifamily complex located at 2102, 2108, 2202, 2206, and 2208 Annex Avenue in Dallas, Texas - Not to exceed $2,500,000.00 - Financing: HOME Investment Partnership Program Funds 12. Authorize an amendment to the City of Dallas Public Facility Corporation (Corporation) Bylaws to allow the Corporation to receive applications for participation in public facility projects on an ongoing basis - Financing: No cost consideration to the City 13. An ordinance abandoning a portion of a drainage easement to Riveredge Owner, LP, the abutting owner, containing 56 square feet of land, located near the intersection of Irving Boulevard and Riveredge Drive - Revenue: General Fund $5,400.00, plus the $20.00 ordinance publication fee 14. An ordinance granting a private license to 1412 Main Street, LLC, for the use of approximately 441 square feet of land to occupy, maintain, and utilize seven planters and three tree grates on a portion of Main Street right-of-way located near its intersection with Akard Street - Revenue: General Fund $200.00, plus the $20.00 ordinance publication fee 15. An ordinance granting a private license to LoCo Meletio Development L.P. for the use of a total of approximately 5,726 square feet of aerial space and land to install, maintain and utilize six canopies with premise signs, three electrical conduits, a subsurface vault, six benches, six bollards, and three landscape and irrigation areas on and over portions of Jackson Street, Pearl Expressway and Cesar Chavez Boulevard located near its intersection with Cesar Chavez Boulevard and Jackson Street - Revenue: General Fund $49,418.00 annually, $700.00 one-time fee, plus the $20.00 ordinance publication fee 16. An ordinance granting a private license to Southern Methodist University and Peruna East Corporation for the use of a total of approximately 344 square feet of land to install, maintain and utilize three subsurface fiber optic cables on portions of SMU Boulevard and Dyer Street rights-of-way located near its intersection with SMU Boulevard and Prentice Street - Revenue: General Fund $3,000.00 annual fee, plus the $20.00 ordinance publication fee 17. Authorize (1) an Advance Funding Agreement with the Texas Department of Transportation (TxDOT) (CSJ No. 0918-47-324) for the construction of the Rosemont Safe Routes to School Project; and (2) payment to TxDOT for the City’s share of engineering review costs for the design of the Rosemont Safe Routes to School Project in the amount of $6,894.00 - Financing: Rosemont Safe Routes to School Fund 18. Authorize a Public Highway At-grade Crossing Improvement Agreement with the Union Pacific Railroad Company for the widening, improvement and maintenance of the Chalk Hill Road at-grade public road crossing between Interstate Highway-30 Frontage Road and Singleton Boulevard - Not to exceed $1,308,399.00 - Financing: Street and Transportation Improvement Funds (2012 General Obligation Bond Fund) 19. Authorize a construction services contract for the construction of Chalk Hill Road (North) from Interstate Highway 30 Frontage Road to Singleton Boulevard - XIT Paving and Construction, Inc., lowest responsible bidder of two - Not to exceed $16,938,615.50 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Fund) ($13,680,848.00), Water Capital Improvement F Fund ($2,100,334.00), Water Construction Fund ($100,806.00), Wastewater Capital Improvement G Fund ($1,015,979.50), and Wastewater Construction Fund ($40,648.00) 20. Authorize a construction services contract for the construction of Alley Reconstruction Group 17-7002 - (list attached to the Agenda Information Sheet) - HD Way Concrete Service, LLC, lowest responsible bidder of four - Not to exceed $1,517,365.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Funds) 21. Authorize a construction services contract for the construction of Street Reconstruction Group 17-4005 (list attached to the Agenda Information Sheet) - Jeske Construction Company, lowest responsible bidder of four - Not to exceed $2,774,223.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Fund) ($1,815,749.00), Water Capital Improvement F Fund ($473,937.00), Water Construction Fund ($127,490.00), Wastewater Capital Improvement G Fund ($320,147.00), and Wastewater Construction Fund ($36,900.00) 22. Authorize a construction services contract for the construction of Street Reconstruction Group 17-5002 (list attached to the Agenda Information Sheet) - Jeske Construction Company, lowest responsible bidder of five - Not to exceed $4,698,759.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Funds) ($2,981,393.00), Water Capital Improvement F Fund ($962,500.00), Water Construction Fund ($85,440.00), Wastewater Capital Improvement G Fund ($606,166.00), and Wastewater Construction Fund ($63,260.00) 23. Authorize an increase in the purchase from Crosstimbers Capital, Inc., of approximately 5,353 square feet of land, located near the intersection of Gloyd and Childers Streets for the Cadillac Heights Phase II Project - Not to exceed $27,744.33, increased from $16,800.00 ($15,000.00, plus closing costs and title expenses not to exceed $1,800.00) to $44,544.33 ($43,000.00, plus closing costs and title expenses no to exceed $1,554.33) - Financing: Land Acquisition in Cadillac Heights Fund (2006 General Obligation Bond Fund) 24. Authorize Supplemental Agreement No. 4 to the engineering services contract with Dal-Tech Engineering Inc. to provide additional civil engineering, surveying, and geotechnical engineering services to complete the design of Community Drive from Denton Drive to Northwest Highway - Not to exceed $135,523.00, from $278,078.13 to $413,601.13 - Financing: Specified Street Project Fund (2003 General Obligation Bond Funds) ($114,412.00), Water Capital Improvement (F) Fund ($11,611.00), and Wastewater Capital Improvement (G) Fund ($9,500.00) 25. Authorize (1) an agreement with 8111 Douglas Ave, LLC, for contribution of funds towards the traffic signal installation at the intersection of Douglas Avenue and Sherry Lane in the City of Dallas; (2) the receipt and deposit of funds in an amount not to exceed $148,478.00 in the Transportation Special Projects Fund (3) the establishment of appropriations in an amount not to exceed $148,478.00 in the Transportation Special Projects Fund; and (4) the disbursement of funds in an amount not to exceed $148,478.00 from the Transportation Special Projects Fund - Not to exceed $148,478.00 - Financing: Transportation Special Projects Fund 26. Authorize (1) an Agreement with K. Hovnanian DFW Caldwell Lakes, LLC, for contribution of funds towards the traffic signal installation at the intersection of Lasater Road and West Lawson Road in the City of Dallas; (2) the receipt and deposit of funds in an amount not to exceed $170,000.00 in the Transportation Special Projects Fund; (3) the establishment of appropriations in an amount not to exceed $170,000.00 in the Transportation Special Projects Fund; and (4) the disbursement of funds in an amount not to exceed $170,000.00 from the Transportation Special Projects Fund - Not to exceed $170,000.00 - Financing: Transportation Special Projects Fund 27. Authorize (1) an Interlocal Agreement with the Texas Department of Transportation (TxDOT) through a grant from the Department of Transportation Federal Highway Administration (Agreement No. CSJ 0196-03-290, CFDA No. 20.205) in the amount of $227,161.39 to provide cost reimbursement for material and labor related to the installation of traffic signal equipment at the intersections of Interstate Highway 35E at Mockingbird Lane and State Highway 183 at Mockingbird Lane as part of TxDOT’s “Road to Zero” Program; (2) the establishment of appropriations in the amount of $227,161.39 in the Road to Zero Fund; (3) the receipt and deposit of funds in the amount of $227,161.39 in the Road to Zero Fund; and (4) the disbursement of funds in the amount of $227,161.39 from the Road to Zero Fund; and (5) execution of the Interlocal Agreement and all terms, conditions, and documents required by the agreement - Total amount of $227,161.39 - Financing: Texas Department of Transportation Grant Funds 28. Authorize an amendment to the FY 2022-23 Cultural Organization Program Guidelines, previously authorized on January 26, 2022, by Resolution No. 22-0239, to expand eligibility criteria for returning applicants related to COVID-19 and organization transition - Financing: This action has no cost consideration (see Fiscal Information) 29. Authorize approval of fifteen nominees to serve as board members for the City of Dallas Economic Development Corporation - Financing: No cost consideration to the City 30. Authorize an Interlocal Agreement with Dallas County to accept $1,000,000.00, to be granted to Bridge Steps for homeless assistance services to be provided at The Bridge, for the period October 1, 2022 through September 30, 2023 - Estimated Revenue: General Fund $1,000,000.00 31. Authorize funding for one year between the City of Dallas with Austin Street Center in the amount of $548,440.00, Bridge Steps in the amount of $560,000.00 and CitySquare in the amount of $391,560.00 for FY 2022-23, for access to homeless recovery services for the Office of Homeless Solutions - Total not to exceed $1,500,000.00 - Financing: General Fund 32. Authorize the first of two, one-year renewal options, to the service contract with Catholic Charities of Dallas, Inc., to provide access for supportive housing for seniors for the Office of Homeless Solutions for a period of October 1, 2022 to September 30, 2023 - Not to exceed $250,000.00 - Financing: General Fund (subject to annual appropriations) 33. Authorize a three-year cooperative purchasing agreement for a web-based investigative software subscription for the Police Department with Carahsoft Technology Corp. through the Department of Information Resources Cooperative Agreement - Not to exceed $399,000.24 - Financing: General Fund (subject to annual appropriations) 34. Authorize a five-year cooperative purchasing agreement for the acquisition and service maintenance and support of a disaster recovery service system for the Department of Information and Technology Services with Netsync Network Solutions through the Department of Information Resources Cooperative Agreement - Not to exceed $2,287,527.68 - Financing: Data Services Fund (subject to annual appropriations) 35. Authorize a three-year master agreement for the purchase of aggregate materials for multiple city departments - Green Dream International in the estimated amount of $4,237,115.60, Earth Haulers, Inc. in the estimated amount of $1,503,036.85, Q. Roberts Trucking, Inc. in the estimated amount of $1,296,652.45, and NSG Logistics, LLC dba Nebraska Salt & Grain in the estimated amount of $213,463.40, lowest responsible bidders of five - Total estimated amount of $7,250,268.30 - Financing: General Fund ($5,928,010.00), Dallas Water Utilities Fund ($957,072.54), Stormwater Drainage Management Operations Fund ($237,876.23), Aviation Fund ($85,657.53), and Sanitation Operation Fund ($41,652.00) 36. Authorize a three-year master agreement for the purchase of electrical supplies for multiple city departments - Elliot Electric Supply Inc in the estimated amount of $5,322,177.63, Crawford Electric Supply Company, Inc. in the estimated amount of $1,995,892.65, and Graybar Electric Company Inc. in the estimated amount of $677,201.30, lowest responsible bidders of five - Total estimated amount of $7,995,271.58 - Financing: General Fund ($3,701,595.70), Capital Construction Fund ($1,844,729.88), Dallas Water Utilities Fund ($1,180,300.00), Stormwater Drainage Management Operations Fund ($653,700.00), and Aviation Fund ($614,946.00) 37. Authorize a (1) five-year service price agreement for the installation of emergency and non-emergency light equipment, parts, and labor for the Department of Equipment and Fleet Management - Dana Safety Supply, Inc. in an estimated amount of $426,035; and (2) five-year master agreement for the purchase of emergency and non-emergency light equipment parts for the Department of Equipment and Fleet Management - Defender Supply in the estimated amount of $2,526,905, Dana Safety Supply, Inc. in the estimated amount of $245,000, and Wistol Supply, Inc. in the estimated amount of $43,500, lowest responsible bidders of four - Total estimated amount of $3,241,440 - Financing: General Fund ($734,350), Equipment and Fleet Management Fund ($2,151,800), Dallas Water Utilities Fund ($178,585), Stormwater Drainage Management Fund ($20,805), Communication Service Fund ($86,900), Sanitation Services Fund ($55,000), and Aviation Fund ($14,000) 38. Authorize a five-year service price agreement for vehicle and equipment rental for the Department of Equipment and Fleet Management - Ahern Rentals, CLS Sewer Equipment Co. Inc., EAN Holdings, LLC dba Enterprise Rent-A-Car, H&E Equipment Services, Inc., Herc Rentals, Inc., Holt Texas, LTD, Metro Golf Cars, National Equipment Dealers, LLC, RushCo Energy Specialists, Inc., Sunbelt Rentals, Inc., Sunstate Equipment Company, and United Rentals (North America), Inc. dba Reliable Onsite Services, lowest responsible bidders of thirteen - Estimated amount of $13,960,073.21 - Financing: General Fund ($3,471,665.00), Dallas Water Utilities Fund ($9,086,438.21), Bond Program Administration Fund ($964,860.00), and Sanitation Services Fund ($437,110.00) (subject to annual appropriations) 39. Authorize the purchase of one compact crawler boom lift for the Park & Recreation Department with Kirby-Smith Machinery, Inc. through The Local Government Purchasing Cooperative (BuyBoard) cooperative agreement - Not to exceed $138,425.00 - Financing: General Fund 40. Authorize Supplemental Agreement No. 1 to increase the service contract with Statement Systems Incorporated for printing and mailing of certified notices for the Police Department’s Auto Pound and to extend the term from June 25, 2022 to June 24, 2023 - Not to exceed $196,560, from $786,240 to $982,800 - Financing: General Fund (subject to annual appropriations) 41. Authorize Supplemental Agreement No. 2 to exercise the second of two, one-year renewal options, to the service contract with All City Management Services, Inc. for school crossing guard services for Court & Detention Services - Not to exceed $5,402,700.00 - Financing: General Fund (subject to annual appropriations) 42. Authorize a ratification of an emergency procurement with North Rock Construction, LLC for the repair of the Crawford Park Pedestrian Bridge located within Crawford Memorial Park at 8700 Elam Road - Not to exceed $154,721.91 - Financing: Park and Recreation Facilities Fund (2006 General Obligation Bond Funds) 43. Authorize a construction services contract for construction of lighting of five soccer fields with Musco Corporation dba Musco Sports Lighting, LLC, through the Texas Association of School Boards (BuyBoard) located at Harry S. Moss Park 7601 Greenville Avenue - Not exceed $1,479,624.00 - Financing: General Fund 44. Authorize a construction services contract for the construction of the Coombs Creek Trail Improvements from Bahama Drive to Davis Street Project located at the 800 Block of North Plymouth Road - Northstar Construction, Inc., lowest responsible bidder of four - Not to exceed $926,665.00 - Financing: Park and Recreation Facilities (B) Fund (2017 General Obligation Bond Funds) 45. Authorize a construction services contract for the construction of the Emerald Lake Dam Safety and Erosion Control Improvements Project located at the 6102 Block of Mountain Creek Parkway - Texas Standard Construction Ltd, lowest responsible bidder of five - Not to exceed $1,308,782.20 - Financing: Park and Recreation Facilities (B) Fund (2017 General Obligation Bond Funds) 46. Authorize the (1) application for and acceptance of the 2022 Municipalities Reimagining Community Safety Initiative Grant in the amount of $700,000.00 from the National League of Cities Institute (NLCI) for the purpose of creating a formal program that will focus on youth crimes to reduce the recidivism rates for the period June 1, 2022 through June 30, 2024; (2) receipt and deposit of funds in an amount not to exceed $700,000.00 in the FY22 Community Policing Municipalities Reimagining Community Safety Initiative Grant Fund; (3) establishment of appropriations in an amount not to exceed $700,000.00 in the FY22 Municipalities Reimagining Community Safety Initiative Grant Fund; (4) funding for one community outreach manager to collaborate with the internal and external city partners to form a program to reduce youth violence for two years; and (5) execution the grant agreement and all terms, conditions, and documents required by the agreement - Not to exceed $700,000.00 - Financing: National League of Cities Institute Grant Funds 47. Authorize a professional services contract with Freese and Nichols, Inc. to provide engineering services for storm drainage system and erosion control improvements at four locations (list attached to the Agenda Information Sheet) - Not to exceed $1,150,646.22 - Financing: Storm Drainage Management Capital Construction Fund 48. Authorize a construction services contract for the installation and rehabilitation of water and wastewater mains at 15 locations (list attached to the Agenda Information Sheet) - Douglas Dailey Construction, LLC, lowest responsible bidder of six - Not to exceed $10,985,770.00 - Financing: Water (Drinking Water) - TWDB 2021 Fund ($9,155,000.00) and Wastewater (Clean Water) - 2021 TWDB Fund ($1,830,770.00) 49. Authorize an increase in the construction services contract with Muniz Construction, Inc., for additional pavement restoration associated with the installation of water and wastewater mains at 16 locations (list attached to the Agenda Information Sheet) - Not to exceed $1,406,088.48, from $6,481,076.00 to $7,887,164.48 - Financing: Water (Drinking Water) - 2021 TWDB Fund ($539,555.49), Wastewater (Clean Water) - 2021 TWDB Fund ($539,555.49), and Street and Transportation (A) Fund (2017 General Obligation Bond Funds) ($326,977.50) 50. Authorize Supplemental Agreement No. 1 to the professional services contract with Halff Associates, Inc. for additional engineering services associated with the Floodplain Program Management Assistance Contract No. 1 - Not to exceed $133,950.00, from $450,000.00 to $583,950.00 - Financing: Storm Drainage Management Capital Construction Fund
OTHER ITEMS FOR INDIVIDUAL CONSIDERATION City Manager's Office Authorize the (1) acceptance of a grant from the Texas Parks and Wildlife Department (TWPD) from the Coronavirus State and Local Fiscal Recovery Fund through the State Representative District 111 office to the City of Dallas (CFDA / Assistance Listing No. 21.027, Federal Award Identification No. 2021-CS-21027, TPWD Contract No. CA-0003308, Project No. AR-000001) in the amount of $20,000,000.00 for housing and workforce development, parks and trails, libraries and cultural centers, and citizens health and physical development for the period November 8, 2021 to May 31, 2024; (2) receipt and deposit of funds in an amount not to exceed $20,000,000.00 in the Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund; (3) establishment of appropriations in an amount not to exceed $20,000,000.00 in the Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund; and (4) execution of an agreement between the Texas Parks and Wildlife Department and the City of Dallas and all terms, conditions, and documents required by the agreement - Not to exceed $20,000,000.00 - Financing: Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund
Consideration of appointments to boards and commissions and the evaluation and duties of board and commission members (List of nominees is available in the City Secretary's Office)
Consideration of appointment to the Dallas Fort Worth International Airport Board of Directors Position 9 (completion of vacant position) (Closed Session, if necessary, Personnel, Sec. 551.074, T.O.M.A.). (List of nominees in the City Secretary's Office) - Financing: No cost consideration to the City
Authorize the adoption of the Racial Equity Plan that: (1) was developed in collaboration with city departments and communities serves as a strategic framework to provide City leaders with actionable levers to address disparities inequities in Dallas by establishing short-, mid-, and longer-term goals; (2) was developed in collaboration with city departments and communities; and (3) will guide city departments and offices to enhance current plans, polices, and initiatives - Financing: No cost consideration to the City (see Fiscal Information)
Authorize (1) a public hearing to be held on Wednesday, September 21, 2022 to receive comments on a proposed tax rate; and (2) a proposal to consider adoption of a $0.7458 per $100 valuation tax rate, or a lower rate as may be proposed by City Council for the 2022-23 fiscal year on Wednesday, September 21, 2022 - Financing: No cost consideration to the City
Authorize the endorsement of Councilmember Adam Bazaldua as the City’s candidate for the 2023 National League of Cities Board of Directors - Financing: No cost consideration to the City
Authorize a resolution to disapprove the 2023 Denton Central Appraisal District Budget in accordance with Section 6.06 of the Texas Property Tax Code - Financing: General Fund $94,631.73
Authorize the (1) acceptance of a loan from the Texas Water Development Board for low-cost financial assistance through the State Water Implementation Fund for Texas, in an amount up to $250,800,000, to fund construction projects including Southwest Pipeline Phase 1 in an amount up to $73,300,000; Water Main Replacement Program for five years in an amount up to $170,000,000; the design of Lake June Pump Station Replacement in an amount up to $7,500,000; and (2) execution of the Financing Agreements and related documents - Financing: This action has no cost consideration to the City (see Fiscal Information)
Authorize a construction services contract for the construction of Fire Station No. 41 Replacement Facility located at 5920 Royal Lane - Imperial Construction, Inc., best value proposer of three - Not to exceed $6,155,000.00 - Financing: 2020 Certificate of Obligation Fund
Authorize an increase to the construction services contract for an existing job order contracting with METCO Engineering for Temporary Fire Station No. 41 - Not to exceed $200,002.00, from $479,717.00 to 679,719.00 - Financing: 2020 Certificates of Obligation Fund
Z2. A public hearing to receive comments regarding an application for and an ordinance granting an amendment to Planned Development District No. 759, Subdistrict 1, to allow for a medical or scientific laboratory as a permitted use, on the north corner of West Mockingbird Lane and Forest Park Boulevard Recommendation of Staff: Approval, subject to a revised conceptual plan and conditions Recommendation of CPC: Approval, subject to a revised conceptual plan and conditions Z212-197(MP) Z3. A public hearing to receive comments regarding an application for and an ordinance granting a Planned Development District for WMU-3 Walkable Urban Mixed-Use District uses and a convalescent and nursing homes, hospice care, and related institutions use, on property zoned Tract 1, WMU-3 Subdistrict within Planned Development District No. 595, the South Dallas/Fair Park Special Purpose District, on the south corner of Cleveland Street and Park Row Avenue Recommendation of Staff: Approval, subject to a development plan and conditions Recommendation of CPC: Approval, subject to a development plan and conditions Z212-198(MP)
A public hearing to receive comments regarding an application for and an ordinance granting a Specific Use Permit for a foster home on property zoned a D(A) Duplex District, on the northwest corner of Forney Road and Lomax Drive Recommendation of Staff: Approval for a five-year period, subject to a site plan and conditions Recommendation of CPC: Approval for a five-year period, subject to a site plan and conditions
A public hearing to receive comments regarding an application for and an ordinance granting a MF-2(A) Multifamily District on property zoned a CS Commercial Service District, on the northeast corner of Corregidor Street and Carbondale Street Recommendation of Staff: Approval Recommendation of CPC: Approval
A public hearing to receive comments regarding an application for a Planned Development District for specific residential and nonresidential uses on property zoned an A(A) Agricultural District, on the west line of Texas State Highway Spur 408, west of South Merrifield Road Recommendation of Staff: Approval, subject to a development plan and staff’s recommended conditions Recommendation of CPC: Denial without prejudice
A public hearing to receive comments regarding an application for and an ordinance granting a Planned Development District for an LO(A) Limited Office District and restaurant with drive-in or drive-through service uses on a property zoned an LO-1 Limited Office District with deed restrictions [Z923-222], on the southwest corner of Preston Road and McCallum Boulevard Recommendation of Staff: Approval, subject to a development plan and conditions Recommendation of CPC: Approval, subject to a development plan and conditions Z212-122(OA)
A public hearing to receive comments regarding an application for and an ordinance granting the renewal of Specific Use Permit No. 1963 for a child-care facility on property zoned an MF-2(A) Multifamily District, on the southeast corner of Wilhurt Avenue and East Illinois Avenue Recommendation of Staff: Approval for a five-year period with eligibility for automatic renewals for additional five-year periods, subject to conditions Recommendation of CPC: Approval for a five-year period with eligibility for automatic renewals for additional five-year periods, subject to conditions Z212-188(OA)
A public hearing to receive comments regarding an application for a Planned Development District for R-5(A) Single Family District uses on property zoned an A(A) Agricultural District, on the northwest line of Haymarket Road, northwest of the intersection of Haymarket Road and Palomino Road Recommendation of Staff: Approval of an R-5(A) Single Family District on the northern portion; and approval of an R-7.5(A) Single Family District on the southern portion as shown on the applicant's proposed conceptual plan, in lieu of a Planned Development District for R-5(A) Single Family District uses Recommendation of CPC: Denial Z201-330(RM)
A public hearing to receive comments regarding an application for a Specific Use Permit for the sale of alcoholic beverages in conjunction with a general merchandise or food store greater than 3,500 square feet on a property zoned a CS Commercial Service District with a D-1 Liquor Control Overlay, on the southeast corner of South Belt Line Road and C.F. Hawn Expressway Recommendation of Staff: Approval for a two-year period with eligibility for automatic renewals for additional five-year periods, subject to a site plan and conditions. Recommendation of CPC: Denial without prejudice Z212-156(OA)
A public hearing to receive comments regarding an application for and an ordinance granting a Specific Use Permit for a child-care facility on property zoned an R-10(A) Single Family District on the north line of Blue Ridge Boulevard, north of the intersection of Blue Ridge Boulevard and Pomeroy Drive Recommendation of Staff: Approval for a five-year period, subject to a site plan and conditions Recommendation of CPC: Approval for a five-year period, subject to a site plan and conditions Z212-168(RM)
A public hearing to receive comments on the FY 2022-23 Operating, Capital, and Grant & Trust Budgets - Financing: No cost consideration to the City
Items PH2 - PH11 & PH13 - PH15
Dallas Downtown Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Dallas Downtown Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Downtown Dallas, Inc.; and (10) providing for an effective date - Not to exceed actual collections estimated at $10,245,933.70 - Financing: Dallas Downtown Improvement District Fund ($9,308,823.86), General Fund ($630,353.15), and Convention and Event Services Enterprise Fund ($306,756.69) (subject to appropriations) (see Fiscal Information) Dallas Tourism Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Dallas Tourism Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and at the close of the public hearing, (2) authorize an ordinance approving and adopting the proposed and final 2023 Service Plan, the final 2022 Assessment Plan and the 2022 Assessment Roll (to be kept on file with the City Secretary), and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments; (9) authorizing the disbursement of assessments and interest to Dallas Tourism Public Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $19,887,000.00 - Financing: Dallas Tourism Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Deep Ellum Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Deep Ellum Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Deep Ellum Foundation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $1,474,011.00 - Financing: Deep Ellum Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Klyde Warren Park/Dallas Arts District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Klyde Warren Park/Dallas Arts District Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Woodall Rodgers Park Foundation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,761,972.00 - Financing: Klyde Warren Park/Dallas Arts District Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Knox Street Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Knox Street Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Knox Street Improvement District Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $571,210.00 - Financing: Knox Street Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Lake Highlands Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Lake Highlands Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code,, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Lake Highlands Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,096,716.00 - Financing: Lake Highlands Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Midtown Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Midtown Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Midtown Management Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $1,401,278.00 - Financing: Midtown Improvement District Fund (subject to appropriations) (see Fiscal Information) North Lake Highlands Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the North Lake Highlands Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Lake Highlands Improvement District Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $656,019.00 - Financing: North Lake Highlands Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Oak Lawn-Hi Line Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Oak Lawn-Hi Line Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Oak Lawn-Hi Line Improvement Corporation; (10) providing for an effective date - Not to exceed actual collections estimated at $562,379.00 - Financing: Oak Lawn-Hi Line Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Prestonwood Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Prestonwood Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Prestonwood Homeowners Association; and (10) providing for an effective date - Not to exceed actual collections estimated at $440,834.00 - Financing: Prestonwood Public Improvement District Fund (subject to appropriations) (see Fiscal Information) South Side Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the South Side Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to South Side Quarter Development Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $333,762.00 - Financing: South Side Public Improvement District Fund (subject to appropriations) (see Fiscal Information) University Crossing Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the University Crossing Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to University Crossing Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,108,585.00 - Financing: University Crossing Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Uptown Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Uptown Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code,, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Uptown Inc.; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $3,257,279.00 - Financing: Uptown Public Improvement District Fund (subject to appropriations) (see Fiscal Information)
South Dallas/Fair Park Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the South Dallas/Fair Park Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to South Side Quarter Development Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $191,244.00 - Financing: South Dallas/Fair Park Public Improvement District Fund (subject to appropriations) (see Fiscal Information)
A public hearing on August 24, 2022 to receive public comments on readopting and continuing Chapter 12, City Youth Program Standards of Care, of the Dallas City Code, to seek Council approval (1) extending the expiration date of the City Youth Program Standards of Care to September 9, 2023; and, at the close of the public hearing (2) approving an ordinance re-establishing and continuing in effect the City Youth Program Standards - Financing: No cost consideration to the City
2. Authorize settlement in the amount of $75,000.00 to Daniel Salinas and in the amount of $50,000.00 to Josefina Estrada in the lawsuit styled Daniel Salinas, et al. v. City of Dallas and Yuridana Garcia, Cause No. CC-19-02925-A - Total not to exceed $125,000.00 - Financing: Liability Reserve Fund 3. Authorize settlement of the lawsuit styled Laura Lazaro v. City of Dallas, Cause No. CC-21-02826-C - Not to exceed $80,000.00 - Financing: Liability Reserve Fund 4. Authorize the (1) acceptance of a grant from the U.S. Department of Health and Human Services (Grant No. 5H79TI081081-05, CFDA No. 93.243) for Substance Abuse and Mental Health Services Administration (SAMHSA) Grant in the amount of $375,498.00, to expand substance abuse capacity at the existing South Dallas Drug Court for the period September 30, 2022 through September 29, 2023, for year five of the five-year project; (2) establishment of appropriations in an amount not to exceed $375,498.00 in the SAMHSA-Adult Treatment Drug Court Expansion Project 22-23 Fund; (3) receipt and deposit of grant funds in an amount not to exceed $375,498.00 in the SAMHSA-Adult Treatment Drug Court Expansion Project 22-23 Fund; and (4) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Not to exceed $375,498.00 - Financing: U.S. Department of Health and Human Services, Substance Abuse and Mental Health Services Administration Grant Funds 4. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DCBD) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas CBD Vertiport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 5. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DCBD) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas CBD Vertiport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Vertiport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 6. Authorize (1) the application for and acceptance of the FY 2023 grant (Grant No. M2318DLEX) from the Texas Department of Transportation (TxDOT) Aviation Division for the annual Routine Airport Maintenance Program (RAMP) at Dallas Executive Airport in the amount of $50,000.00 or 50 percent of eligible costs estimated at $100,000.00, whichever is less; (2) a local cash match in the amount of $50,000.00 from the Aviation Fund for airport maintenance projects estimated at $100,000.00; (3) the establishment of appropriations in the amount of $50,000.00 in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Executive Airport Fund; (4) the receipt and deposit of funds in the amount of $50,000.00 for reimbursement from TxDOT in the TxDOT 2023 Routine Airport Maintenance Program - RAMP Dallas Executive Airport Fund; and (5) execution of the grant agreement and all terms, conditions, and documents required by the agreement - Total amount of $100,000.00 - Financing: Aviation Fund ($50,000.00) and Texas Department of Transportation Grant Funds ($50,000.00) 8. Authorize (1) a development loan agreement and security documents with TX Markville 2022, Ltd., or an affiliate thereof (Developer) in an amount not to exceed $583,861.00 in HOME Investment Partnerships Program funds, conditioned upon Developer receiving a 2022 9% Housing Tax Credit award for the development of a mixed-income affordable multifamily complex known as Patriot Point at Markville, located at 9222 Markville Drive, Dallas, Texas (Property); (2) a development loan agreement and security documents with the City of Dallas Housing Finance Corporation, or an affiliate thereof (DHFC) in an amount not to exceed $6,741,139.00 in Community Development Block Grant (CDBG) funds to purchase and own the Property; and (3) the DHFC to enter into a long-term ground lease with Developer for the development of the Project pursuant to 24 CFR 570.201(a) and (b) - Not to exceed $7,325,000.00 in HOME Investment Partnership Program Funds ($583,861.00) and Community Development Block Grant Funds ($6,741,139.00) 9. Authorize a development loan agreement with Cypress Creek Montfort Drive, LP and/or its affiliate, conditioned upon Cypress Creek Montfort Drive, LP receiving a 2022 9% Housing Tax Credit award for the acquisition and development of a mixed-income multifamily complex known as Cypress Creek Apartment Homes at Montfort located at 14119 Montfort Drive in Dallas, Texas - Not to exceed $4,100,000.00 - Financing: Coronavirus State and Local Fiscal Recovery Funds 10. Authorize a development loan agreement with Brompton Community Housing Development Corporation and/or its affiliates, conditioned upon Skyline at Cedar Crest receiving 9% Housing Tax Credit award for the development of a 107-unit mixed-income affordable multifamily complex located at 2720 East Kiest Boulevard in Dallas, Texas - Not to exceed $3,750,000.00 Financing: HOME Investment Partnership Program Funds 11. Authorize a development loan agreement with Jaipur Lofts, LLC and/or its affiliates, conditioned upon Jaipur Lofts, LLC receiving a 2022 9% Housing Tax Credit award for the acquisition and development of Jaipur Lofts, a 71-unit mixed-income multifamily complex located at 2102, 2108, 2202, 2206, and 2208 Annex Avenue in Dallas, Texas - Not to exceed $2,500,000.00 - Financing: HOME Investment Partnership Program Funds 12. Authorize an amendment to the City of Dallas Public Facility Corporation (Corporation) Bylaws to allow the Corporation to receive applications for participation in public facility projects on an ongoing basis - Financing: No cost consideration to the City 13. An ordinance abandoning a portion of a drainage easement to Riveredge Owner, LP, the abutting owner, containing 56 square feet of land, located near the intersection of Irving Boulevard and Riveredge Drive - Revenue: General Fund $5,400.00, plus the $20.00 ordinance publication fee 14. An ordinance granting a private license to 1412 Main Street, LLC, for the use of approximately 441 square feet of land to occupy, maintain, and utilize seven planters and three tree grates on a portion of Main Street right-of-way located near its intersection with Akard Street - Revenue: General Fund $200.00, plus the $20.00 ordinance publication fee 15. An ordinance granting a private license to LoCo Meletio Development L.P. for the use of a total of approximately 5,726 square feet of aerial space and land to install, maintain and utilize six canopies with premise signs, three electrical conduits, a subsurface vault, six benches, six bollards, and three landscape and irrigation areas on and over portions of Jackson Street, Pearl Expressway and Cesar Chavez Boulevard located near its intersection with Cesar Chavez Boulevard and Jackson Street - Revenue: General Fund $49,418.00 annually, $700.00 one-time fee, plus the $20.00 ordinance publication fee 16. An ordinance granting a private license to Southern Methodist University and Peruna East Corporation for the use of a total of approximately 344 square feet of land to install, maintain and utilize three subsurface fiber optic cables on portions of SMU Boulevard and Dyer Street rights-of-way located near its intersection with SMU Boulevard and Prentice Street - Revenue: General Fund $3,000.00 annual fee, plus the $20.00 ordinance publication fee 17. Authorize (1) an Advance Funding Agreement with the Texas Department of Transportation (TxDOT) (CSJ No. 0918-47-324) for the construction of the Rosemont Safe Routes to School Project; and (2) payment to TxDOT for the City’s share of engineering review costs for the design of the Rosemont Safe Routes to School Project in the amount of $6,894.00 - Financing: Rosemont Safe Routes to School Fund 18. Authorize a Public Highway At-grade Crossing Improvement Agreement with the Union Pacific Railroad Company for the widening, improvement and maintenance of the Chalk Hill Road at-grade public road crossing between Interstate Highway-30 Frontage Road and Singleton Boulevard - Not to exceed $1,308,399.00 - Financing: Street and Transportation Improvement Funds (2012 General Obligation Bond Fund) 19. Authorize a construction services contract for the construction of Chalk Hill Road (North) from Interstate Highway 30 Frontage Road to Singleton Boulevard - XIT Paving and Construction, Inc., lowest responsible bidder of two - Not to exceed $16,938,615.50 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Fund) ($13,680,848.00), Water Capital Improvement F Fund ($2,100,334.00), Water Construction Fund ($100,806.00), Wastewater Capital Improvement G Fund ($1,015,979.50), and Wastewater Construction Fund ($40,648.00) 20. Authorize a construction services contract for the construction of Alley Reconstruction Group 17-7002 - (list attached to the Agenda Information Sheet) - HD Way Concrete Service, LLC, lowest responsible bidder of four - Not to exceed $1,517,365.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Funds) 21. Authorize a construction services contract for the construction of Street Reconstruction Group 17-4005 (list attached to the Agenda Information Sheet) - Jeske Construction Company, lowest responsible bidder of four - Not to exceed $2,774,223.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Fund) ($1,815,749.00), Water Capital Improvement F Fund ($473,937.00), Water Construction Fund ($127,490.00), Wastewater Capital Improvement G Fund ($320,147.00), and Wastewater Construction Fund ($36,900.00) 22. Authorize a construction services contract for the construction of Street Reconstruction Group 17-5002 (list attached to the Agenda Information Sheet) - Jeske Construction Company, lowest responsible bidder of five - Not to exceed $4,698,759.00 - Financing: Street and Transportation (A) Fund (2017 General Obligation Bond Funds) ($2,981,393.00), Water Capital Improvement F Fund ($962,500.00), Water Construction Fund ($85,440.00), Wastewater Capital Improvement G Fund ($606,166.00), and Wastewater Construction Fund ($63,260.00) 23. Authorize an increase in the purchase from Crosstimbers Capital, Inc., of approximately 5,353 square feet of land, located near the intersection of Gloyd and Childers Streets for the Cadillac Heights Phase II Project - Not to exceed $27,744.33, increased from $16,800.00 ($15,000.00, plus closing costs and title expenses not to exceed $1,800.00) to $44,544.33 ($43,000.00, plus closing costs and title expenses no to exceed $1,554.33) - Financing: Land Acquisition in Cadillac Heights Fund (2006 General Obligation Bond Fund) 24. Authorize Supplemental Agreement No. 4 to the engineering services contract with Dal-Tech Engineering Inc. to provide additional civil engineering, surveying, and geotechnical engineering services to complete the design of Community Drive from Denton Drive to Northwest Highway - Not to exceed $135,523.00, from $278,078.13 to $413,601.13 - Financing: Specified Street Project Fund (2003 General Obligation Bond Funds) ($114,412.00), Water Capital Improvement (F) Fund ($11,611.00), and Wastewater Capital Improvement (G) Fund ($9,500.00) 25. Authorize (1) an agreement with 8111 Douglas Ave, LLC, for contribution of funds towards the traffic signal installation at the intersection of Douglas Avenue and Sherry Lane in the City of Dallas; (2) the receipt and deposit of funds in an amount not to exceed $148,478.00 in the Transportation Special Projects Fund (3) the establishment of appropriations in an amount not to exceed $148,478.00 in the Transportation Special Projects Fund; and (4) the disbursement of funds in an amount not to exceed $148,478.00 from the Transportation Special Projects Fund - Not to exceed $148,478.00 - Financing: Transportation Special Projects Fund 26. Authorize (1) an Agreement with K. Hovnanian DFW Caldwell Lakes, LLC, for contribution of funds towards the traffic signal installation at the intersection of Lasater Road and West Lawson Road in the City of Dallas; (2) the receipt and deposit of funds in an amount not to exceed $170,000.00 in the Transportation Special Projects Fund; (3) the establishment of appropriations in an amount not to exceed $170,000.00 in the Transportation Special Projects Fund; and (4) the disbursement of funds in an amount not to exceed $170,000.00 from the Transportation Special Projects Fund - Not to exceed $170,000.00 - Financing: Transportation Special Projects Fund 27. Authorize (1) an Interlocal Agreement with the Texas Department of Transportation (TxDOT) through a grant from the Department of Transportation Federal Highway Administration (Agreement No. CSJ 0196-03-290, CFDA No. 20.205) in the amount of $227,161.39 to provide cost reimbursement for material and labor related to the installation of traffic signal equipment at the intersections of Interstate Highway 35E at Mockingbird Lane and State Highway 183 at Mockingbird Lane as part of TxDOT’s “Road to Zero” Program; (2) the establishment of appropriations in the amount of $227,161.39 in the Road to Zero Fund; (3) the receipt and deposit of funds in the amount of $227,161.39 in the Road to Zero Fund; and (4) the disbursement of funds in the amount of $227,161.39 from the Road to Zero Fund; and (5) execution of the Interlocal Agreement and all terms, conditions, and documents required by the agreement - Total amount of $227,161.39 - Financing: Texas Department of Transportation Grant Funds 28. Authorize an amendment to the FY 2022-23 Cultural Organization Program Guidelines, previously authorized on January 26, 2022, by Resolution No. 22-0239, to expand eligibility criteria for returning applicants related to COVID-19 and organization transition - Financing: This action has no cost consideration (see Fiscal Information) 29. Authorize approval of fifteen nominees to serve as board members for the City of Dallas Economic Development Corporation - Financing: No cost consideration to the City 30. Authorize an Interlocal Agreement with Dallas County to accept $1,000,000.00, to be granted to Bridge Steps for homeless assistance services to be provided at The Bridge, for the period October 1, 2022 through September 30, 2023 - Estimated Revenue: General Fund $1,000,000.00 31. Authorize funding for one year between the City of Dallas with Austin Street Center in the amount of $548,440.00, Bridge Steps in the amount of $560,000.00 and CitySquare in the amount of $391,560.00 for FY 2022-23, for access to homeless recovery services for the Office of Homeless Solutions - Total not to exceed $1,500,000.00 - Financing: General Fund 32. Authorize the first of two, one-year renewal options, to the service contract with Catholic Charities of Dallas, Inc., to provide access for supportive housing for seniors for the Office of Homeless Solutions for a period of October 1, 2022 to September 30, 2023 - Not to exceed $250,000.00 - Financing: General Fund (subject to annual appropriations) 33. Authorize a three-year cooperative purchasing agreement for a web-based investigative software subscription for the Police Department with Carahsoft Technology Corp. through the Department of Information Resources Cooperative Agreement - Not to exceed $399,000.24 - Financing: General Fund (subject to annual appropriations) 34. Authorize a five-year cooperative purchasing agreement for the acquisition and service maintenance and support of a disaster recovery service system for the Department of Information and Technology Services with Netsync Network Solutions through the Department of Information Resources Cooperative Agreement - Not to exceed $2,287,527.68 - Financing: Data Services Fund (subject to annual appropriations) 35. Authorize a three-year master agreement for the purchase of aggregate materials for multiple city departments - Green Dream International in the estimated amount of $4,237,115.60, Earth Haulers, Inc. in the estimated amount of $1,503,036.85, Q. Roberts Trucking, Inc. in the estimated amount of $1,296,652.45, and NSG Logistics, LLC dba Nebraska Salt & Grain in the estimated amount of $213,463.40, lowest responsible bidders of five - Total estimated amount of $7,250,268.30 - Financing: General Fund ($5,928,010.00), Dallas Water Utilities Fund ($957,072.54), Stormwater Drainage Management Operations Fund ($237,876.23), Aviation Fund ($85,657.53), and Sanitation Operation Fund ($41,652.00) 36. Authorize a three-year master agreement for the purchase of electrical supplies for multiple city departments - Elliot Electric Supply Inc in the estimated amount of $5,322,177.63, Crawford Electric Supply Company, Inc. in the estimated amount of $1,995,892.65, and Graybar Electric Company Inc. in the estimated amount of $677,201.30, lowest responsible bidders of five - Total estimated amount of $7,995,271.58 - Financing: General Fund ($3,701,595.70), Capital Construction Fund ($1,844,729.88), Dallas Water Utilities Fund ($1,180,300.00), Stormwater Drainage Management Operations Fund ($653,700.00), and Aviation Fund ($614,946.00) 37. Authorize a (1) five-year service price agreement for the installation of emergency and non-emergency light equipment, parts, and labor for the Department of Equipment and Fleet Management - Dana Safety Supply, Inc. in an estimated amount of $426,035; and (2) five-year master agreement for the purchase of emergency and non-emergency light equipment parts for the Department of Equipment and Fleet Management - Defender Supply in the estimated amount of $2,526,905, Dana Safety Supply, Inc. in the estimated amount of $245,000, and Wistol Supply, Inc. in the estimated amount of $43,500, lowest responsible bidders of four - Total estimated amount of $3,241,440 - Financing: General Fund ($734,350), Equipment and Fleet Management Fund ($2,151,800), Dallas Water Utilities Fund ($178,585), Stormwater Drainage Management Fund ($20,805), Communication Service Fund ($86,900), Sanitation Services Fund ($55,000), and Aviation Fund ($14,000) 38. Authorize a five-year service price agreement for vehicle and equipment rental for the Department of Equipment and Fleet Management - Ahern Rentals, CLS Sewer Equipment Co. Inc., EAN Holdings, LLC dba Enterprise Rent-A-Car, H&E Equipment Services, Inc., Herc Rentals, Inc., Holt Texas, LTD, Metro Golf Cars, National Equipment Dealers, LLC, RushCo Energy Specialists, Inc., Sunbelt Rentals, Inc., Sunstate Equipment Company, and United Rentals (North America), Inc. dba Reliable Onsite Services, lowest responsible bidders of thirteen - Estimated amount of $13,960,073.21 - Financing: General Fund ($3,471,665.00), Dallas Water Utilities Fund ($9,086,438.21), Bond Program Administration Fund ($964,860.00), and Sanitation Services Fund ($437,110.00) (subject to annual appropriations) 39. Authorize the purchase of one compact crawler boom lift for the Park & Recreation Department with Kirby-Smith Machinery, Inc. through The Local Government Purchasing Cooperative (BuyBoard) cooperative agreement - Not to exceed $138,425.00 - Financing: General Fund 40. Authorize Supplemental Agreement No. 1 to increase the service contract with Statement Systems Incorporated for printing and mailing of certified notices for the Police Department’s Auto Pound and to extend the term from June 25, 2022 to June 24, 2023 - Not to exceed $196,560, from $786,240 to $982,800 - Financing: General Fund (subject to annual appropriations) 41. Authorize Supplemental Agreement No. 2 to exercise the second of two, one-year renewal options, to the service contract with All City Management Services, Inc. for school crossing guard services for Court & Detention Services - Not to exceed $5,402,700.00 - Financing: General Fund (subject to annual appropriations) 42. Authorize a ratification of an emergency procurement with North Rock Construction, LLC for the repair of the Crawford Park Pedestrian Bridge located within Crawford Memorial Park at 8700 Elam Road - Not to exceed $154,721.91 - Financing: Park and Recreation Facilities Fund (2006 General Obligation Bond Funds) 43. Authorize a construction services contract for construction of lighting of five soccer fields with Musco Corporation dba Musco Sports Lighting, LLC, through the Texas Association of School Boards (BuyBoard) located at Harry S. Moss Park 7601 Greenville Avenue - Not exceed $1,479,624.00 - Financing: General Fund 44. Authorize a construction services contract for the construction of the Coombs Creek Trail Improvements from Bahama Drive to Davis Street Project located at the 800 Block of North Plymouth Road - Northstar Construction, Inc., lowest responsible bidder of four - Not to exceed $926,665.00 - Financing: Park and Recreation Facilities (B) Fund (2017 General Obligation Bond Funds) 45. Authorize a construction services contract for the construction of the Emerald Lake Dam Safety and Erosion Control Improvements Project located at the 6102 Block of Mountain Creek Parkway - Texas Standard Construction Ltd, lowest responsible bidder of five - Not to exceed $1,308,782.20 - Financing: Park and Recreation Facilities (B) Fund (2017 General Obligation Bond Funds) 46. Authorize the (1) application for and acceptance of the 2022 Municipalities Reimagining Community Safety Initiative Grant in the amount of $700,000.00 from the National League of Cities Institute (NLCI) for the purpose of creating a formal program that will focus on youth crimes to reduce the recidivism rates for the period June 1, 2022 through June 30, 2024; (2) receipt and deposit of funds in an amount not to exceed $700,000.00 in the FY22 Community Policing Municipalities Reimagining Community Safety Initiative Grant Fund; (3) establishment of appropriations in an amount not to exceed $700,000.00 in the FY22 Municipalities Reimagining Community Safety Initiative Grant Fund; (4) funding for one community outreach manager to collaborate with the internal and external city partners to form a program to reduce youth violence for two years; and (5) execution the grant agreement and all terms, conditions, and documents required by the agreement - Not to exceed $700,000.00 - Financing: National League of Cities Institute Grant Funds 47. Authorize a professional services contract with Freese and Nichols, Inc. to provide engineering services for storm drainage system and erosion control improvements at four locations (list attached to the Agenda Information Sheet) - Not to exceed $1,150,646.22 - Financing: Storm Drainage Management Capital Construction Fund 48. Authorize a construction services contract for the installation and rehabilitation of water and wastewater mains at 15 locations (list attached to the Agenda Information Sheet) - Douglas Dailey Construction, LLC, lowest responsible bidder of six - Not to exceed $10,985,770.00 - Financing: Water (Drinking Water) - TWDB 2021 Fund ($9,155,000.00) and Wastewater (Clean Water) - 2021 TWDB Fund ($1,830,770.00) 49. Authorize an increase in the construction services contract with Muniz Construction, Inc., for additional pavement restoration associated with the installation of water and wastewater mains at 16 locations (list attached to the Agenda Information Sheet) - Not to exceed $1,406,088.48, from $6,481,076.00 to $7,887,164.48 - Financing: Water (Drinking Water) - 2021 TWDB Fund ($539,555.49), Wastewater (Clean Water) - 2021 TWDB Fund ($539,555.49), and Street and Transportation (A) Fund (2017 General Obligation Bond Funds) ($326,977.50) 50. Authorize Supplemental Agreement No. 1 to the professional services contract with Halff Associates, Inc. for additional engineering services associated with the Floodplain Program Management Assistance Contract No. 1 - Not to exceed $133,950.00, from $450,000.00 to $583,950.00 - Financing: Storm Drainage Management Capital Construction Fund
OTHER ITEMS FOR INDIVIDUAL CONSIDERATION City Manager's Office Authorize the (1) acceptance of a grant from the Texas Parks and Wildlife Department (TWPD) from the Coronavirus State and Local Fiscal Recovery Fund through the State Representative District 111 office to the City of Dallas (CFDA / Assistance Listing No. 21.027, Federal Award Identification No. 2021-CS-21027, TPWD Contract No. CA-0003308, Project No. AR-000001) in the amount of $20,000,000.00 for housing and workforce development, parks and trails, libraries and cultural centers, and citizens health and physical development for the period November 8, 2021 to May 31, 2024; (2) receipt and deposit of funds in an amount not to exceed $20,000,000.00 in the Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund; (3) establishment of appropriations in an amount not to exceed $20,000,000.00 in the Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund; and (4) execution of an agreement between the Texas Parks and Wildlife Department and the City of Dallas and all terms, conditions, and documents required by the agreement - Not to exceed $20,000,000.00 - Financing: Texas Parks and Wildlife Coronavirus State and Local Fiscal Recovery Fund
Consideration of appointments to boards and commissions and the evaluation and duties of board and commission members (List of nominees is available in the City Secretary's Office)
Consideration of appointment to the Dallas Fort Worth International Airport Board of Directors Position 9 (completion of vacant position) (Closed Session, if necessary, Personnel, Sec. 551.074, T.O.M.A.). (List of nominees in the City Secretary's Office) - Financing: No cost consideration to the City
Authorize the adoption of the Racial Equity Plan that: (1) was developed in collaboration with city departments and communities serves as a strategic framework to provide City leaders with actionable levers to address disparities inequities in Dallas by establishing short-, mid-, and longer-term goals; (2) was developed in collaboration with city departments and communities; and (3) will guide city departments and offices to enhance current plans, polices, and initiatives - Financing: No cost consideration to the City (see Fiscal Information)
Authorize (1) a public hearing to be held on Wednesday, September 21, 2022 to receive comments on a proposed tax rate; and (2) a proposal to consider adoption of a $0.7458 per $100 valuation tax rate, or a lower rate as may be proposed by City Council for the 2022-23 fiscal year on Wednesday, September 21, 2022 - Financing: No cost consideration to the City
Authorize the endorsement of Councilmember Adam Bazaldua as the City’s candidate for the 2023 National League of Cities Board of Directors - Financing: No cost consideration to the City
Authorize a resolution to disapprove the 2023 Denton Central Appraisal District Budget in accordance with Section 6.06 of the Texas Property Tax Code - Financing: General Fund $94,631.73
Authorize the (1) acceptance of a loan from the Texas Water Development Board for low-cost financial assistance through the State Water Implementation Fund for Texas, in an amount up to $250,800,000, to fund construction projects including Southwest Pipeline Phase 1 in an amount up to $73,300,000; Water Main Replacement Program for five years in an amount up to $170,000,000; the design of Lake June Pump Station Replacement in an amount up to $7,500,000; and (2) execution of the Financing Agreements and related documents - Financing: This action has no cost consideration to the City (see Fiscal Information)
Authorize a construction services contract for the construction of Fire Station No. 41 Replacement Facility located at 5920 Royal Lane - Imperial Construction, Inc., best value proposer of three - Not to exceed $6,155,000.00 - Financing: 2020 Certificate of Obligation Fund
Authorize an increase to the construction services contract for an existing job order contracting with METCO Engineering for Temporary Fire Station No. 41 - Not to exceed $200,002.00, from $479,717.00 to 679,719.00 - Financing: 2020 Certificates of Obligation Fund
Z2. A public hearing to receive comments regarding an application for and an ordinance granting an amendment to Planned Development District No. 759, Subdistrict 1, to allow for a medical or scientific laboratory as a permitted use, on the north corner of West Mockingbird Lane and Forest Park Boulevard Recommendation of Staff: Approval, subject to a revised conceptual plan and conditions Recommendation of CPC: Approval, subject to a revised conceptual plan and conditions Z212-197(MP) Z3. A public hearing to receive comments regarding an application for and an ordinance granting a Planned Development District for WMU-3 Walkable Urban Mixed-Use District uses and a convalescent and nursing homes, hospice care, and related institutions use, on property zoned Tract 1, WMU-3 Subdistrict within Planned Development District No. 595, the South Dallas/Fair Park Special Purpose District, on the south corner of Cleveland Street and Park Row Avenue Recommendation of Staff: Approval, subject to a development plan and conditions Recommendation of CPC: Approval, subject to a development plan and conditions Z212-198(MP)
A public hearing to receive comments regarding an application for and an ordinance granting a Specific Use Permit for a foster home on property zoned a D(A) Duplex District, on the northwest corner of Forney Road and Lomax Drive Recommendation of Staff: Approval for a five-year period, subject to a site plan and conditions Recommendation of CPC: Approval for a five-year period, subject to a site plan and conditions
A public hearing to receive comments regarding an application for and an ordinance granting a MF-2(A) Multifamily District on property zoned a CS Commercial Service District, on the northeast corner of Corregidor Street and Carbondale Street Recommendation of Staff: Approval Recommendation of CPC: Approval
A public hearing to receive comments regarding an application for a Planned Development District for specific residential and nonresidential uses on property zoned an A(A) Agricultural District, on the west line of Texas State Highway Spur 408, west of South Merrifield Road Recommendation of Staff: Approval, subject to a development plan and staff’s recommended conditions Recommendation of CPC: Denial without prejudice
A public hearing to receive comments regarding an application for and an ordinance granting a Planned Development District for an LO(A) Limited Office District and restaurant with drive-in or drive-through service uses on a property zoned an LO-1 Limited Office District with deed restrictions [Z923-222], on the southwest corner of Preston Road and McCallum Boulevard Recommendation of Staff: Approval, subject to a development plan and conditions Recommendation of CPC: Approval, subject to a development plan and conditions Z212-122(OA)
A public hearing to receive comments regarding an application for and an ordinance granting the renewal of Specific Use Permit No. 1963 for a child-care facility on property zoned an MF-2(A) Multifamily District, on the southeast corner of Wilhurt Avenue and East Illinois Avenue Recommendation of Staff: Approval for a five-year period with eligibility for automatic renewals for additional five-year periods, subject to conditions Recommendation of CPC: Approval for a five-year period with eligibility for automatic renewals for additional five-year periods, subject to conditions Z212-188(OA)
A public hearing to receive comments regarding an application for a Planned Development District for R-5(A) Single Family District uses on property zoned an A(A) Agricultural District, on the northwest line of Haymarket Road, northwest of the intersection of Haymarket Road and Palomino Road Recommendation of Staff: Approval of an R-5(A) Single Family District on the northern portion; and approval of an R-7.5(A) Single Family District on the southern portion as shown on the applicant's proposed conceptual plan, in lieu of a Planned Development District for R-5(A) Single Family District uses Recommendation of CPC: Denial Z201-330(RM)
A public hearing to receive comments regarding an application for a Specific Use Permit for the sale of alcoholic beverages in conjunction with a general merchandise or food store greater than 3,500 square feet on a property zoned a CS Commercial Service District with a D-1 Liquor Control Overlay, on the southeast corner of South Belt Line Road and C.F. Hawn Expressway Recommendation of Staff: Approval for a two-year period with eligibility for automatic renewals for additional five-year periods, subject to a site plan and conditions. Recommendation of CPC: Denial without prejudice Z212-156(OA)
A public hearing to receive comments regarding an application for and an ordinance granting a Specific Use Permit for a child-care facility on property zoned an R-10(A) Single Family District on the north line of Blue Ridge Boulevard, north of the intersection of Blue Ridge Boulevard and Pomeroy Drive Recommendation of Staff: Approval for a five-year period, subject to a site plan and conditions Recommendation of CPC: Approval for a five-year period, subject to a site plan and conditions Z212-168(RM)
A public hearing to receive comments on the FY 2022-23 Operating, Capital, and Grant & Trust Budgets - Financing: No cost consideration to the City
Items PH2 - PH11 & PH13 - PH15
Dallas Downtown Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Dallas Downtown Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Downtown Dallas, Inc.; and (10) providing for an effective date - Not to exceed actual collections estimated at $10,245,933.70 - Financing: Dallas Downtown Improvement District Fund ($9,308,823.86), General Fund ($630,353.15), and Convention and Event Services Enterprise Fund ($306,756.69) (subject to appropriations) (see Fiscal Information) Dallas Tourism Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Dallas Tourism Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and at the close of the public hearing, (2) authorize an ordinance approving and adopting the proposed and final 2023 Service Plan, the final 2022 Assessment Plan and the 2022 Assessment Roll (to be kept on file with the City Secretary), and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments; (9) authorizing the disbursement of assessments and interest to Dallas Tourism Public Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $19,887,000.00 - Financing: Dallas Tourism Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Deep Ellum Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Deep Ellum Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Deep Ellum Foundation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $1,474,011.00 - Financing: Deep Ellum Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Klyde Warren Park/Dallas Arts District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Klyde Warren Park/Dallas Arts District Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Woodall Rodgers Park Foundation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,761,972.00 - Financing: Klyde Warren Park/Dallas Arts District Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Knox Street Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Knox Street Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary) and 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Knox Street Improvement District Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $571,210.00 - Financing: Knox Street Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Lake Highlands Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Lake Highlands Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code,, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Lake Highlands Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,096,716.00 - Financing: Lake Highlands Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Midtown Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Midtown Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Midtown Management Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $1,401,278.00 - Financing: Midtown Improvement District Fund (subject to appropriations) (see Fiscal Information) North Lake Highlands Public Improvement District A public hearing to receive comments concerning: (1) the proposed levy of assessment for the North Lake Highlands Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Lake Highlands Improvement District Corporation; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $656,019.00 - Financing: North Lake Highlands Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Oak Lawn-Hi Line Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Oak Lawn-Hi Line Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Oak Lawn-Hi Line Improvement Corporation; (10) providing for an effective date - Not to exceed actual collections estimated at $562,379.00 - Financing: Oak Lawn-Hi Line Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Prestonwood Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Prestonwood Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Prestonwood Homeowners Association; and (10) providing for an effective date - Not to exceed actual collections estimated at $440,834.00 - Financing: Prestonwood Public Improvement District Fund (subject to appropriations) (see Fiscal Information) South Side Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the South Side Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to South Side Quarter Development Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $333,762.00 - Financing: South Side Public Improvement District Fund (subject to appropriations) (see Fiscal Information) University Crossing Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the University Crossing Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to University Crossing Improvement District Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $1,108,585.00 - Financing: University Crossing Public Improvement District Fund (subject to appropriations) (see Fiscal Information) Uptown Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the Uptown Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code,, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing: (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to Uptown Inc.; (10) authorizing amendments to the District’s adopted 2022 Service Plan in accordance with the Act; (11) requiring City staff to file a copy of the amended service plan and notice with the Dallas county clerk; and (12) providing for an effective date - Not to exceed actual collections estimated at $3,257,279.00 - Financing: Uptown Public Improvement District Fund (subject to appropriations) (see Fiscal Information)
South Dallas/Fair Park Public Improvement District . A public hearing to receive comments concerning: (1) the proposed levy of assessment for the South Dallas/Fair Park Public Improvement District (the “District”), in accordance with Chapter 372, Texas Local Government Code, for the purpose of providing supplemental public services to be funded by special assessments on property in the District; and, at the close of the public hearing; (2) authorize an ordinance approving and adopting the final 2023 Service Plan, the final 2022 Assessment Plan, the 2022 Assessment Roll (to be kept on file with the City Secretary), 2023 Notice of Obligation to Pay Improvement District Assessment (to be filed with Dallas County); (3) establishing classifications for the apportionment of costs and the methods of assessing special assessments for the services and improvements to property in the District; (4) closing the public hearing and levying a special assessment on property in the District for services and improvements to be provided in the District during 2023; (5) providing for reimbursement of city administrative costs for operational oversight of the District; (6) fixing charges and liens against the property in the District and against the owners thereof; (7) providing for the collection of the 2022 assessment; (8) authorizing the receipt and deposit of assessments from Dallas County; (9) authorizing the disbursement of assessments and interest to South Side Quarter Development Corporation; and (10) providing for an effective date - Not to exceed actual collections estimated at $191,244.00 - Financing: South Dallas/Fair Park Public Improvement District Fund (subject to appropriations) (see Fiscal Information)
A public hearing on August 24, 2022 to receive public comments on readopting and continuing Chapter 12, City Youth Program Standards of Care, of the Dallas City Code, to seek Council approval (1) extending the expiration date of the City Youth Program Standards of Care to September 9, 2023; and, at the close of the public hearing (2) approving an ordinance re-establishing and continuing in effect the City Youth Program Standards - Financing: No cost consideration to the City