OREGON DEPARTMENT OF TRANSPORTATION <br />in cooperation with The league of Oregon Cities and the Association of Oregon Counties <br />Local Road and Street Questionnaire for the Fiscal Year Ending June 30, 2006 <br />II. DISBURSEMENTS FOR ROAD AND STREET PURPOSES <br /> ITEM AMOUNT <br />A. LOCAL DISBURSEMENTS <br />1. Capital Projects -Construction, Expansion and Preservation <br /> a. Right-of-way ............................................................................................ $304,010 <br /> b. Construction engineering: <br /> (1) Capital improvement plan development ..................................... <br /> (2) Preliminary engineering ................................................................. $1,194,195 <br /> (3) Construction engineering ............................................................... $809,509 <br /> c. Construction and expansion: <br /> (1) Road ................................................................................................ $2,444,747 <br /> (2) Bridge ............................................................................................. <br /> d. Repair and preservation <br /> (1) Road ................................................................................................ $1,539,742 <br /> (2) Bridge ............................................................................................. $59,261 <br /> e. Bicycle and Foot Path Construction ............................................. $422,175 <br />2. Operations and Maintenance <br /> a. General maintenance of condition ......................................................... $5,764,576 <br /> b. Safety and traffic maintenance ................................................................ $2,068,227 <br /> c. Snow and ice removal .............................................................................. <br /> d. Extraordinary maintenance ..................................................................... <br /> e. Operations and maintenance engineering .............................................. $894,302 <br />3. Administration and General Engineering <br /> a. General administration ........................................................................... $431,980 <br /> b. General engineering ................................................................................ $616,317 <br /> c. Indirect charges ...................................................................................... $580,000 <br />4. Expenditures for Federally Declared Emergency Events ........................... $0 <br />B. DEBT SERVICE ON LOCAL OBLIGATIONS <br />1. Bonds <br /> a. Interest (including paying fees) ............................................................. $0 <br /> b. Redemption (Must equal item III, C.l) .................................................. $p <br />2. Notes <br /> a. Interest (including paying fees) ............................................................. $0 <br /> b. Redemption (Must equal item III, C.2) .................................................. $0 <br />C. PAYMENTS TO OTHER GOVERNMENTS <br />1. To Counties .................................................................................................. <br />2. To Other local agencies ................................................................................ <br />3. To Cities ......................................................................................................... <br />4. To State (Advance payments for state construction) .................................. <br />Survey FY06-wfedhwy.xls II Disbursements <br />