Legislation Details

File #: 26-0940    Version: 1 Name:
Type: Ordinance Status: Future Agenda
File created: 6/9/2026 In control: City Council
On agenda: 6/30/2026 Final action: 6/30/2026
Title: One-Reading ordinance authorizing Amendment No. 1 to the Construction Manager-At-Risk (CMAR) contract with Reytec Construction Resources, Inc. of Houston and Corpus Christi, Texas for Phase 2 construction services for the Reclaimed Water for Industrial Use Project in an amount up to $91,337,222.00, establishing the Guaranteed Maximum Price (GMP) of $107,531,622.00 for the total construction of the project, including the reclaimed water transmission main, Oso Water Reclamation Plant pump station and wet well, and associated infrastructure that will be completed in May 2027; amending the FY 2026 Capital Budget; and establishing the City’s intent to reimburse itself for the prior lawful expenditure of funds relating to any capital expenditures from the proceeds of one or more series of tax-exempt or taxable obligations to be issued by the City in an aggregate amount not to exceed $109,000,000.00, with FY 2026 funding available from Water Capital Fund.
Sponsors: Corpus Christi Water, Engineering Services, Finance & Procurement
Attachments: 1. 25018 - Agenda Memo CMAR Phase 2.pdf, 2. 25018 - Ordinance - Reuse CMAR Amd Reimbursement Resolution.pdf, 3. Reclaimed Water for Industrial Reuse Project Presentation CMAR Reytec Contract June 30 - CCW Edits, 4. 25018 - Updated CIP Page.pdf, 5. RFP 7169 CMAR Evaluation Scores .pdf

...Title

One-Reading ordinance authorizing Amendment No. 1 to the Construction Manager-At-Risk (CMAR) contract with Reytec Construction Resources, Inc. of Houston and Corpus Christi, Texas for Phase 2 construction services for the Reclaimed Water for Industrial Use Project in an amount up to $91,337,222.00, establishing the Guaranteed Maximum Price (GMP) of $107,531,622.00 for the total construction of the project, including the reclaimed water transmission main, Oso Water Reclamation Plant pump station and wet well, and associated infrastructure that will be completed in May 2027; amending the FY 2026 Capital Budget; and establishing the City’s intent to reimburse itself for the prior lawful expenditure of funds relating to any capital expenditures from the proceeds of one or more series of tax-exempt or taxable obligations to be issued by the City in an aggregate amount not to exceed $109,000,000.00, with FY 2026 funding available from Water Capital Fund.