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Meeting Agenda
1. CALL TO ORDER/QUORUM
2. PLEDGE OF ALLEGIANCE
3. INVOCATION
4. PUBLIC COMMENTS
5. MEETING MINUTES
6. FINANCIAL REPORT 
 
6.A. DISBURSEMENTS
6.B. LICENSES
6.C. PROGRESS PAYMENTS
 
6.C.1. BALCH & BINGHAM, LLP / 18-FD-04

         
GENERAL LEGAL SERVICES - $ 19,730.00
          EUTAW CONSTRUCTION CO. - $ 1,696.73
          FILL PERMIT CHALLENGE - $ 968.75
          MDOT PROPERTY PURCHASE - $ 940.00

          TOTAL BALCH & BINGHAM - $ 23,335.48

 
6.C.2. CYPRESS ENVIRONMENT & INFRASTRUCTURE

           COTTON COMPRESS REMEDIATION PROJECT - $ 4,453.00

 
6.C.3. MORAN HAULING, INC. / 21-EN-03

          NORTH HARBOR DITCH IMPROVEMENTS PROJECT- $ 138,114.80

 
6.C.4. DIGITAL ENGINEERING / 17-EN-04

           GENERAL ENGINEERING - TASK 1 - $ 21,049.00
           E PIER EXPANSION PROJECT - TASK 10 - $ 623.00
           NORTH HARBOR DRAINAGE DITCH PROJECT - TASK 11 - $ 1,651.00
           PORT OF GULFPORT ACCESS ROAD - TASK 13 - $ 17,822.50
           HURRICANE ZETA ROLL-UP DOOR REPAIRS - TASK 14 - $ 1,343.00
           HURRICANE ZETA TIMBER PIER REPLACEMENT - TASK 15 - $ 3,218.50
           HURRICANE ZETA FENCING REPAIRS - TASK 16 - $ 489.50
           HURRICANE ZETA E PIER UTILITY REPAIRS  - $ 400.50

           TOTAL DIGITAL ENGINEERING - $ 46,597.00

 
6.C.5. SOUTHERN EARTH SCIENCES, INC. / 21-EN-04

         NORTH HARBOR DRAINAGE DITCH PROJECT - $ 1,007.00

 
6.D. REQUEST FOR CASH

         
6.D.1. RESTORATION AGREEMENT RFC #288

ELEY GUILD HARDY - $ 56,261.50
MSPA - $ 9,404.17
WHARTON SMITH - $ 807,641.22

TOTAL REQUEST FOR CASH #288 - $ 873,306.89

 
6.D.2. RESTORATION AGREEMENT RFC #289 - TO BE REIMBURSED BY USM W/GCRF FUNDS

ELEY GUILD HARDY - $ 151,690.50
WHARTON SMITH - $ 90,430.28

TOTAL REQUEST FOR CASH #289 - $ 0.00 HUD & $ 242,120.78 AS OTHER    FUNDING SOURCE -  USM
 
6.D.3. RESTORATION AGREEMENT RFC #290

CH2M Hill - $ 52,583.86

TOTAL REQUEST FOR CASH #290 - $0.00 HUD & $ 52,583.86 AS OTHER 
FUNDING SOURCE - MSPA

 
7. OLD BUSINESS
 
7.A. (JW)  APPROVAL OF CHANGE ORDER NO. 1 WITH MORAN HAULING UNDER CONTRACT NO. 21-EN-02
 
7.B. (JW)  APPROVAL OF A NOTICE OF COMPLETION UNDER CONTRACT NO. 21-EN-02 WITH MORAN HAULING



 
8. NEW BUSINESS
 
8.A. (JW) APPROVAL OF WORK ORDERS 18 AND 19 UNDER CONTRACT NO. 17-EN-04 WITH DIGITAL ENGINEERING
 
8.B. (JW)  AUTHORIZATION TO ADVERTISE FOR BID THE PAVEMENT AND CONCRETE MAINTENANCE AND REPAIR PROJECT
 
8.C. (DW)  APPROVAL OF THE FY23 LBO BUDGET
 
9. RESTORATION/ENGINEERING UPDATE
10. OPERATIONS REPORT
11. EXECUTIVE DIRECTOR'S REPORT
12. GENERAL COUNSEL'S REPORT
13. MDA COMMENTS
14. COMMISSIONERS' COMMENTS
15. EXECUTIVE SESSION - LEGAL MATTERS
Agenda Item Details Reload Your Meeting
Meeting: July 22, 2021 at 1:00 PM - Regular Meeting
Subject:
1. CALL TO ORDER/QUORUM
Subject:
2. PLEDGE OF ALLEGIANCE
Subject:
3. INVOCATION
Subject:
4. PUBLIC COMMENTS
Subject:
5. MEETING MINUTES
Subject:
6. FINANCIAL REPORT 
 
Subject:
6.A. DISBURSEMENTS
Subject:
6.B. LICENSES
Subject:
6.C. PROGRESS PAYMENTS
 
Subject:
6.C.1. BALCH & BINGHAM, LLP / 18-FD-04

         
GENERAL LEGAL SERVICES - $ 19,730.00
          EUTAW CONSTRUCTION CO. - $ 1,696.73
          FILL PERMIT CHALLENGE - $ 968.75
          MDOT PROPERTY PURCHASE - $ 940.00

          TOTAL BALCH & BINGHAM - $ 23,335.48

 
Subject:
6.C.2. CYPRESS ENVIRONMENT & INFRASTRUCTURE

           COTTON COMPRESS REMEDIATION PROJECT - $ 4,453.00

 
Subject:
6.C.3. MORAN HAULING, INC. / 21-EN-03

          NORTH HARBOR DITCH IMPROVEMENTS PROJECT- $ 138,114.80

 
Subject:
6.C.4. DIGITAL ENGINEERING / 17-EN-04

           GENERAL ENGINEERING - TASK 1 - $ 21,049.00
           E PIER EXPANSION PROJECT - TASK 10 - $ 623.00
           NORTH HARBOR DRAINAGE DITCH PROJECT - TASK 11 - $ 1,651.00
           PORT OF GULFPORT ACCESS ROAD - TASK 13 - $ 17,822.50
           HURRICANE ZETA ROLL-UP DOOR REPAIRS - TASK 14 - $ 1,343.00
           HURRICANE ZETA TIMBER PIER REPLACEMENT - TASK 15 - $ 3,218.50
           HURRICANE ZETA FENCING REPAIRS - TASK 16 - $ 489.50
           HURRICANE ZETA E PIER UTILITY REPAIRS  - $ 400.50

           TOTAL DIGITAL ENGINEERING - $ 46,597.00

 
Subject:
6.C.5. SOUTHERN EARTH SCIENCES, INC. / 21-EN-04

         NORTH HARBOR DRAINAGE DITCH PROJECT - $ 1,007.00

 
Subject:
6.D. REQUEST FOR CASH

         
Subject:
6.D.1. RESTORATION AGREEMENT RFC #288

ELEY GUILD HARDY - $ 56,261.50
MSPA - $ 9,404.17
WHARTON SMITH - $ 807,641.22

TOTAL REQUEST FOR CASH #288 - $ 873,306.89

 
Subject:
6.D.2. RESTORATION AGREEMENT RFC #289 - TO BE REIMBURSED BY USM W/GCRF FUNDS

ELEY GUILD HARDY - $ 151,690.50
WHARTON SMITH - $ 90,430.28

TOTAL REQUEST FOR CASH #289 - $ 0.00 HUD & $ 242,120.78 AS OTHER    FUNDING SOURCE -  USM
 
Subject:
6.D.3. RESTORATION AGREEMENT RFC #290

CH2M Hill - $ 52,583.86

TOTAL REQUEST FOR CASH #290 - $0.00 HUD & $ 52,583.86 AS OTHER 
FUNDING SOURCE - MSPA

 
Subject:
7. OLD BUSINESS
 
Subject:
7.A. (JW)  APPROVAL OF CHANGE ORDER NO. 1 WITH MORAN HAULING UNDER CONTRACT NO. 21-EN-02
 
Description:
This agenda item seeks Board approval of a proposed Change Order No. 1 to Moran Hauling, Inc. for work relating to the East Pier Watermain Replacement project. This is a final closeout type change order, and the purpose is to reconcile and adjust final quantities of the existing line items of work.  This change order includes the addition of three extra pipe supports and 125 pounds of ductile iron fittings.  The change order results in an increase in contract value of $1,840.50.  The revised contract amount is $90,760.50.   

It is recommended that Change Order No. 1 be approved as submitted.

 
Subject:
7.B. (JW)  APPROVAL OF A NOTICE OF COMPLETION UNDER CONTRACT NO. 21-EN-02 WITH MORAN HAULING



 
Description:
All work associated with the East Pier Watermain Replacement project  has been completed in accordance with the plans, specifications, and requirements of the contract documents.  The work has been reviewed by staff and the engineering team, and has been found to be complete and in compliance with the terms of the project. 

It is recommended that the project be accepted as complete and a Notice of Completion issued to the contractor, Moran Hauling, Inc.


 
Subject:
8. NEW BUSINESS
 
Subject:
8.A. (JW) APPROVAL OF WORK ORDERS 18 AND 19 UNDER CONTRACT NO. 17-EN-04 WITH DIGITAL ENGINEERING
 
Description:
This agenda item seeks Board approval of a proposed Work Order No. 18 and a proposed Work Order No. 19 to our Professional Engineering Services Agreement with Digital Engineering.  Both of these Work Orders relate to the Port's purchase negotiations of several parcels of property.  Work Order No. 18 is for the environmental due diligence required for the purchase of the properties. The estimated not to exceed cost of this work order is $24,801.00.  Work Order No. 19 is for the required surveying services needed for the purchase.  The estimated not to exceed cost for this work order is $15,412.00.  All work will be billed in accordance with the approved fee schedule of the master service agreement. 

It is recommended that Work Order Nos. 18 and 19 be approved as submitted.

 
Subject:
8.B. (JW)  AUTHORIZATION TO ADVERTISE FOR BID THE PAVEMENT AND CONCRETE MAINTENANCE AND REPAIR PROJECT
 
Description:
This agenda item seeks Board approval to advertise and solicit bids for the "Pavement and Concrete Maintenance and Repair" project.  This is generally a competitively bid industrial maintenance type contract that will provide a menu of available services to be used on an as-needed type basis.  Types of work include asphalt milling and paving, concrete paving and small structures, excavation, fill material, limestone, etc.  It will also include equipment such as dump trucks and front-end loaders with operators to be used in clean-up and debris removal type events. Specific work scopes will be assigned by approved Work Orders.  The engineering work and bid documents have been prepared by Digital Engineering.    

It is recommended that the authorization to solicit bids be approved as requested.

 
Subject:
8.C. (DW)  APPROVAL OF THE FY23 LBO BUDGET
 
Description:
The Fiscal Year 2023 LBO Budget, which covers the period of July 1, 2022 - June 30, 2023, is due to the State on August 2, 2021.  Staff has compiled this budget based on FY 2022 Operating Budget and anticipated future developments.  The total expenditures, including capital improvements, are $45,819,139. Staff recommends approval of the attached FY 2023 LBO Budget as presented.
 
Subject:
9. RESTORATION/ENGINEERING UPDATE
Subject:
10. OPERATIONS REPORT
Subject:
11. EXECUTIVE DIRECTOR'S REPORT
Subject:
12. GENERAL COUNSEL'S REPORT
Subject:
13. MDA COMMENTS
Subject:
14. COMMISSIONERS' COMMENTS
Subject:
15. EXECUTIVE SESSION - LEGAL MATTERS

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