RESOLUTION 89-19798 RESOLUTION NO. 89-19798
A RESOLUTION OF THE CITY COMMISSION OF THE CITY OF
MIAMI BEACH, FLORIDA AUTHORIZING THE CITY MANAGER
TO TRANSFER $489,000 FROM ACCOUNTS ALREADY
ESTABLISHED, AND FUNDED, TO THE GEORGE HYMAN
CONSTRUCTION COMPANY CONTINGENCY ACCOUNTS IN THE
AMOUNT OF $200,000 TO THE PHASE I AND II CONTRACT
AND $289,000 TO THE WEST WRAPAROUND CONTRACT, FOR
THE PURPOSES OF ACCOMPLISHING ADDITIONAL REQUIRED
WORK AND FOR PAYMENT OF THE PREMIUM PORTIONS OF
DOUBLE SHIFTING AND OVERTIME; AND TO PERMIT THE
PROJECT COORDINATOR TO SHIFT FUNDS BETWEEN THE TWO
CONTINGENCY ACCOUNTS AS NECESSARY TO ACCOMPLISH
COMPLETION OF THE PROJECT; AND TO AUTHORIZE THE
ADMINISTRATION TO NEGOTIATE WITH THE ARCHITECTS FOR
A CONTINUATION OF THEIR SERVICES UNTIL THE
COMPLETION OF THE PROJECT AND TO REPORT BACK TO THE
COMMISSION FOR FORMALIZATION OF THESE NEGOTIATIONS.
WHEREAS, the original budget established certain itemized
accounts for the purpose of constructing the Convention Center;
and,
WHEREAS, some certain itemized accounts have surplus; and,
WHEREAS, additional monies are necessary to complete the
Convention Center and to pay the premium portion of overtime and
double shifting; and,
WHEREAS, the contract with the architects does not extend
services to the currently anticipated project completion date.
NOW, THEREFORE, BE IT DULY RESOLVED THAT THE CITY COMMISSION
OF THE CITY OF MIAMI BEACH, FLORIDA hereby authorizes the City
Manager to transfer the surplus funds as outlined in Exhibit A to
this Resolution, to the George Hyman Contingency accounts in the
amounts of $200, 000 to Phase I and II and $289 , 000 to the West
Wraparound; and authorizes the Project Coordinator to shift funds
between the two contingency accounts as necessary to complete this
project; and authorizes the administration to negotiate with the
architects for a continuation of services until the completion of
the project and to report back to the Commission for formalization
of these negotiations.
PASSED and ADOPTED this 15th day of November , 19 89 .
Vice-Mayor
Attest:
ic_31y41-"/
City Clerk
Form Approved:
7R
Legal Department
Dated: /1/4/j197
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FLORIDA 3 3 1 3 9
14;/.4*iINCORP,ORATED)*s; "VACA TIONLAND U. S. A. -
OFFICE
. °°OFFICE OF THE CITY MANAGER CITY HALL
ROB W.PARKINS 1700 CONVENTION CENTER DRIVE
CITY MANAGER TELEPHONE: 673-7010
COMMISSION MEMORANDUM NO
DATE: Nov. 15 , 1989
TO: Mayor Alex D•.. • and
Members o e City Corn 'ssio,
FROM: Rob W. Park 's '4101'
City Manager .wiLIA
SUBJECT: CONVENTION CM ' ' -- FUND TRANSFER
When the Convention Center Project first started, a
budget was developed for major expenses . Construction,
professional fees , testing and utility relocation are all examples .
A similar process was followed when the West Wrap Around was
authorized. The total amount established for the project as a
result of the original budgets and subsequent changes is
$88 , 683 , 000 ; of this amount, the budget for construction is
$74 , 142 ,000 which includes $3 , 600 , 000 for contingencies.
During the course of construction, it has been necessary
to revise the original established figures to accomplish items
which were not anticipated by the original contract documents . The
most recent revision example was the additional communication
conduits which provided greater flexibility, not only in the
Convention Center but also interconnected the Convention Center
with TOPA.
As of this date, we have authorized over 275 Change
Orders for Phases I , II and the West Wrap Around. The combination
total of the contingency allowance available for these contracts
was $3 , 600 , 000 . We have, for all intents and purposes , exhausted
these amounts and are still faced with the need for additional
changes to complete the project.
A complete review of the original budget mentioned
indicated that we have an anticipated surplus from all accounts in
the amount of $489 , 000 . Attached to this memorandum is a summary
of each of the accounts and our recommendation for transfer of
these funds . It is the intention that monies in the following
amounts be transferred into the contingency accounts for Phases I
and II and for the West Wrap Around. The amounts would be $200 , 000
to Phases I and II and $289 , 000 for the West Wrap Around. It
should also be understood that the contractor will be entitled to
a mark-up of 10 percent for work performed by his forces , and a
mark-up of 5 percent for work performed by his sub-contractors .
The sub-contractors will be entitled to a mark-up of 10 percent.
Since these funds have already been established, there is no need
at this time for any additional funding, but formal Commission
action is required to increase the scope of the contract.
In addition to the amounts necessary for construction,
some amount is also necessary for continued professional services .
The original contract for professional services terminated in
conjunction with the original contract for construction which was 1
AGENDA _ ._
ITEM
DATE
Fund Transfer Page Two November 15 , 1989
Commission Memorandum
September 1, 1989 for Phases I and II . The West Wrap Around
professional services contract did not change this date. The
interpretation of the Professional Agreement is that the contract
recognized that the construction schedule may not be met and that
an extension of these services beyond dates established in the
contract was expected. We did not expect, however, that the
contract time would extend as long as it has and it is necessary
that we negotiate with the architects for continuation of their
services until the completion of the project.
ADMINISTRATION RECOMMENDATION
It is the recommendation of the Administration that funds
in the amount of $200 , 000 for Phase I and II and $289 , 000 for the
West Wrap Around be transferred from .the existing already formally
established budget accounts to the construction contract
contingency allowances for the Convention Center, and further to
authorize adjustments between these two accounts as necessary.
Further, it is recommended that the Administration be
authorized to negotiate with the architects for additional services
until completion of the Convention Center Project and, at a later
date, report back to Commission for formalization of these
negotiations.
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Attachment
F.UND1. A 'PROVED
anagement and Budget
2
2
CONVENTION CENTER EXPANSION PROJECT
BUDGET REVIEW
AS OF OCTOBER 26, 1989
ITEM ANTICIPATED SURPLUS
HYMAN CONSTRUCTION CREDITS TO CONTRACT (CHANGE ORDERS, OVERTIME, $ 370 , 000
DRESSING ROOMS, CONDUIT)
ARCHITECTS SERVICES (ENGINEERING, THRESHOLD INSPECTION,
CONSTRUCTION ADMINISTRATION) 380, 000
UTILITY RELOCATION 210, 000
CONVENTION CENTER FF & E 188 , 000
KITCHEN FF & E (SERVICE AMERICA REIMBURSEMENT) 140, 000
MATERIALS TESTING 22 , 000
NON--SPECIFIC APPROPRIATED FUNDS 577 , 000
KAISER ENGINEERING (93 , 000)
CITY REIMBURSABLES (455, 000)
MISCELLANEOUS (850, 000)
TOTAL $ 489 , 000
ITEM IMMEDIATE TRANSFERS
MECHANICAL CHANGE ORDERS 189 , 000
ELECTRICAL CHANGE ORDERS 100, 000
CHANGE ORDERS-ALL OTHERS 100, 000
DOUBLE SHIFT & OVERTIME 100, 000
TOTAL $ 489 ,000
Although this solves our immediate financial problem, it does
not solve what is anticipated for additional costs to the Project.
Specific examples of additional costs are: Issuance of Completion
Bonds (approximately $500,000) , additional Change Orders
($400,000) , sound system for Hall D (approximately $400, 000) , new
Sound Baffles in Hall D ($300,000) , miscellaneous additional FF &
E and additional architectural fees (estimated at $250,000) . The
total of these items is approximately $1,850 ,000 .
At the present time, we feel that there are unappropriated
funds which will cover the items listed above. It is possible,
that some of the amounts listed, will have to be adjusted to meet
our first priority which is the completion of the Project.
EXHIBIT A
MIGINAL
RESOLUITON NO. 89'Y-19798
a
Authorizing the City Manager to transfer
$489,000 from accounts already established
and funded, to the George Hyman Construc-
tion
onstruc_.tion Company contingency accounts in the
amount of $200,000 to the Phase I and II
contract and $289,000 to the west wrap-
around contract, for the purposes of ac-
complishing additional required work and
for payment of the premium portions of
double shifting and overtime; and to per-
mit the project coordinator to shift funds
between the two contingency accounts as
necessary to accomplish completion of thf,
project; and to authorize the administra-
tion to negotiate with the architects for
a continuation of their services until
the completion of the project and to re-
port back to the Commission for formali-
zation of these negotiations.