FY 26-30 Approved Capital Improvement ProgramAPPROVED FY 2026 - 2030 Capital Improvement Program
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APPROVED FY 2026 - 2030 Capital Improvement Program
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APPROVED FY 2026 - 2030 Capital Improvement Program
Table of Contents
Capital Improvement Program in Montgomery County.............................................................................. 1
Financing of Capital Projects ....................................................................................................................... 1
Capital Improvement Budget Policies ......................................................................................................... 2
Debt Policies ................................................................................................................................................. 3
Completed Capital Improvement Projects .................................................................................................. 4
Summary of Funded Capital Improvement Projects .................................................................................. 5
Government Center Improvements, Phase II ............................................................................................. 6
Government Center Generator .................................................................................................................... 8
Cinnabar Green Space and Storage ........................................................................................................ 10
Magistrate and Court Services Facility with Sally Port............................................................................ 12
201 Radford Street ................................................................................................................................... 14
305 Roanoke Street ................................................................................................................................. 16
Radio Infrastructure Project ..................................................................................................................... 18
Elliston Fire Department ........................................................................................................................... 20
Jail Renovation .......................................................................................................................................... 22
Fire and Rescue Capital Equipment ........................................................................................................ 23
Teel Park .................................................................................................................................................... 24
Parks Revitalization .................................................................................................................................. 26
Valley to Valley Trail .................................................................................................................................. 27
Christiansburg Library Renovations ......................................................................................................... 28
Falling Branch Corporate Park Phase II ................................................................................................... 30
IT Infrastructure Improvements ............................................................................................................... 32
County Capital Maintenance .................................................................................................................... 33
Future County Capital ............................................................................................................................... 34
Future School Capital ............................................................................................................................... 35
Comprehensive Plan Alignment ............................................................................................................... 36
Images ....................................................................................................................................................... 43
APPROVED FY 2026 - 2030 Capital Improvement Program
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Capital Improvement Program in Montgomery County
The County's Capital Improvement Program (CIP) is a five-year plan that prioritizes and provides a
funding mechanism for large-scale capital infrastructure improvements in the County. These
improvements include significant upgrades to existing infrastructure and facilities and/or the
addition of new infrastructure and facilities. In order to qualify as a capital improvement, a project
must have a useful life of five years or more and cost at least $50,000. Montgomery County's CIP is
an integral part of the County's overall budget.
The CIP process begins each summer when departments are asked to update current capital
projects and identify potential capital project needs. Department submissions are collaboratively
evaluated and prioritized by a Technical Review Committee which includes staff from Finance,
General Services, Information Technology, Public Safety, Planning, Management and Budget, County
Administration, and the Schools. Funding requests are evaluated and prioritized using criteria that
include the County’s goals and needs, public health and safety concerns, projects already underway,
percent of the population served, potential funding, and mandated improvements to County
infrastructure. Projects are selected for inclusion in the CIP based on the prioritization and the
available funding.
The CIP is then presented to the County Board of Supervisors (BOS) for consideration. During the
winter of each year, work sessions and public hearings are held with the Planning Commission and
the BOS as part of the annual budget process. In late April, the BOS considers and adopts a capital
budget for the upcoming fiscal year and a capital plan for five fiscal years.
Financing of Capital Projects
There are two primary methods of financing the construction costs for capital improvements:
(1) Debt financing – Under debt financing, the locality sells municipal bonds to finance the
debt. The type of bonds sold can be General Obligation Bonds which are backed by the
full faith and taxing authority of the government or Revenue Bonds which are supported
by a revenue source from a specific project.
(2) Cash-to-capital financing – Under cash-to-capital financing the locality uses direct cash
contributions for capital projects. Cash-to-capital contributions are one-time funds that
are used directly for construction.
In addition to construction costs, the County must also pay for the operating costs of new capital
projects. Operating costs include debt service costs, facility maintenance costs, and program costs.
Operating costs vary depending on the type of facility and/or infrastructure constructed. These costs
are included in the County's operating budget.
Decisions concerning the type of financing are made based on the costs of the project, current and
future debt obligations, yearly operating costs and the County's General Fund Balance. On the next
two pages is a listing of the County's Capital Improvement Budget and Debt Policies.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Capital Improvement Budget Policies
1. The County will consider all capital improvements in accordance with an adopted capital
improvement program.
2. The County will develop a five-year plan for capital improvements and update each annually.
3. The County will enact an annual capital budget based on the five-year capital improvement
plan. Future capital expenditures necessitated by changes in population, changes in real
estate development, or changes in economic base will be calculated and included in capital
budget projections.
4. The County will coordinate development of the capital improvement budget with
development of the operating budget. Future operating costs associated with new capital
improvements will be projected and included in operating budget forecasts.
5. The County will use intergovernmental assistance to finance only those capital improvements
that are consistent with the capital improvement plan and County priorities, and whose
operating and maintenance costs have been included in operating budget forecasts.
6. The County will maintain all its assets at a level adequate to protect the County’s capital
investment and to minimize future maintenance and replacement costs.
7. The County will project its equipment replacement and maintenance needs for the next
several years and will update this projection each year. From this projection a maintenance
and replacement schedule will be developed and followed.
8. The County will identify the estimated costs and potential funding sources for each capital
project proposal before it is submitted for approval.
9. The County will attempt to determine the least costly financing method for all new projects.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Debt Policies
1. The County will confine long-term borrowing to capital improvement or projects that cannot
be financed from current revenues except where approved justification is provided.
2. When the County finances capital improvements or other projects by issuing bonds or
entering into capital leases, it will repay the debt within a period not to exceed the expected
useful life of the project.
3. Net debt as a percentage of estimated market value of taxable property should strive to be
below 3.0% but not exceed 4.0%.
4. The ratio of debt service expenditures as a percent of governmental fund expenditures
(General Fund plus School Operating Fund expenditures less the General Fund transfer to
the School Operating Fund) should strive to be below 10% but not exceed 12%.
5. The County will review the 10-year tax supported debt and lease payout ratio on an annual
basis, and intends to maintain the ratio at 60% over a five-year period, with the ratio being no
less than 55% in any one year during the period.
6. The County recognizes the importance of underlying and overlapping debt in analyzing
financial condition. The County will regularly analyze total indebtedness including underlying
and overlapping debt.
7. Where feasible, the County will explore the usage of special assessment, revenue, or other
self-supporting bonds instead of general obligation bonds.
8. The County will retire tax anticipation debt, if any, annually and will retire bond anticipation
debt within six months after completion of the project.
9. On all General Fund support, debt-financed projects, the County will attempt to make a down
payment of at least 5% of total project costs in the aggregate from current resources. The
long-term goal is to annually designate a portion of General Fund cash for one-time capital
projects.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Completed Capital Improvement Projects
The following projects included in the FY 2025 – 2029 CIP were completed in FY 2025.
• Blacksburg Library Outdoor Improvements
• Government Center Improvements (Phase I)
APPROVED FY 2026 - 2030 Capital Improvement Program
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Summary of Funded Capital Improvement Projects
Funding Proceeds to Date Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Bond Funds - County $8,806,570 $0 $0 $0 $0 $0 $0 $8,806,570
ARPA $9,369,525 $0 $0 $0 $0 $0 $0 $9,369,525
County Cash to Capital -
School Projects $0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
County Cash to Capital -
Transfer from GF $11,505,797 $5,047,150 $5,047,150 $5,047,150 $5,047,150 $5,047,150 $25,341,819 $36,847,616
Additional County Cash to
Capital $30,368,635 $7,971,049 $3,079,175 $3,079,175 $3,079,175 $8,630,739 $25,733,244 $56,101,879
Use of County Cash from
Future County Capital $0 $0 $0 $0 $0 $0 $0 $0
Grant Funds $592,571 $0 $0 $0 $0 $0 $0 $592,571
Total Funding Sources $60,643,098 $16,130,349 $11,238,475 $11,238,475 $11,238,475 $16,790,039 $66,635,813 $127,278,911
CIP FY 2026 - 2030
Projects Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Government Center
Improvements Phase 2 $0 $106,069 $1,000,000 $3,000,000 $0 $0 $4,106,069 $4,106,069
Government Center
Generator $0 $0 $0 $0 $5,000,000 $0 $5,000,000 $5,000,000
Cinnabar Green Space and
Storage $75,730 $0 $130,000 $2,156,933 $0 $0 $2,286,933 $2,362,663
Magistrate & Court Services
Facility w/Sally Port $7,480,630 $623,370 $0 $0 $0 $0 $623,370 $8,104,000
201 Radford Street $173,216 $238,010 $1,734,164 $0 $0 $0 $1,972,174 $2,145,390
305 Roanoke Street $1,128,805 $3,059,837 $1,311,359 $0 $0 $0 $4,371,195 $5,500,000
Radio Infrastructure Project $1,125,000 $5,100,000 $3,775,000 $0 $0 $0 $8,875,000 $10,000,000
Elliston Fire Department $1,377,312 $4,637,450 $6,315,238 $0 $0 $0 $10,952,688 $12,330,000
Jail Renovation $1,171,601 $24,773 $0 $0 $0 $0 $24,773 $1,196,374
Fire and Rescue Capital
Equipment $0 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $9,336,450 $9,336,450
Teel Park $15,894,063 $895,963 $0 $0 $0 $0 $895,963 $16,790,026
Parks Revitalization $0 $425,000 $425,000 $425,000 $425,000 $425,000 $2,125,000 $2,125,000
Valley to Valley Trail $0 $600,000 $100,000 $100,000 $100,000 $100,000 $1,000,000 $1,000,000
Christiansburg Library
Renovations $61,750 $61,750 $500,000 $500,000 $5,224,401 $9,775,599 $16,061,750 $16,123,500
Falling Branch Corporate
Park - Phase II $6,059,035 $1,989,654 $0 $0 $0 $0 $1,989,654 $8,048,689
IT Infrastructure
Improvements $0 $210,000 $210,000 $210,000 $210,000 $210,000 $1,050,000 $1,050,000
County Capital Maintenance $0 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $6,500,000 $6,500,000
Future County Capital $0 $4,286,460 $2,724,035 ($1,010,129) ($6,000,366) $0 $0 $0
Future School Capital $0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
Total Project Costs $34,547,142 $28,537,776 $24,504,236 $11,661,244 $11,238,475 $16,790,039 $92,731,769 $127,278,911
APPROVED FY 2026 - 2030 Capital Improvement Program
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Government Center Improvements, Phase II
Total Project Cost: $4.1M
Project Status: Planning
PROJECT DESCRIPTION
This project consists of improvements to the Government Center to optimize the use of available
space for departmental offices. These improvements will provide improved collaboration between
departments and enhance safety for frontline staff as well as provide a consistent customer service
experience for citizens throughout the facility. The various aspects of this project include the
following:
• Relocating departments to more accessible locations throughout the building.
• Aligning departments in adjacent areas to increase efficient access to services by citizens,
engineers, and developers. More specifically, the project will align development related
services including, but not limited to: Building Inspections, Planning & Zoning, Stormwater,
and the Public Service Authority.
• Other departments such as General Services, IT, and Human Resources will be relocated to
adjacent spaces to more effectively support County operations and management.
FUNDING SOURCES
• Cash-to-Capital - $4.1M
PROJECT MILESTONES
• Relocation of Departments within the building will begin once the Cooperative Extension
offices are relocated to 201 Radford Street and Montgomery County Fire and EMS is
relocated to 305 Roanoke Street. It is anticipated that the office suites will require various
levels of renovations to accommodate the relocations and are expected to be completed in FY
28.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - Government
Center Improvements
Phase 2
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $0 $106,069 $1,000,000 $0 $0 $0 $1,106,069 $1,106,069
Construction $0 $0 $0 $3,000,000 $0 $0 $3,000,000 $3,000,000
Total Project Costs $0 $106,069 $1,000,000 $3,000,000 $0 $0 $4,106,069 $4,106,069
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Additional Cash to
Capital $0 $106,069 $0 $0 $0 $0 $106,069 $106,069
Use of County Cash from
Future County Capital $0 $0 $1,000,000 $3,000,000 $0 $0 $4,000,000 $4,000,000
Total Funding Sources $0 $106,069 $1,000,000 $3,000,000 $0 $0 $4,106,069 $4,106,069
APPROVED FY 2026 - 2030 Capital Improvement Program
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Government Center Generator
Total Project Cost: $5M
Project Status: Planning
PROJECT DESCRIPTION
A new generator is being planned for the facility. The existing generator is undersized and only
serves limited areas that do not provide emergency power for extended County operations. The
new generator would provide emergency power to all areas within the Government Center,
including the School Board offices. Changes to the existing equipment pad will be required to
accommodate the increase in size of the new generator. Additional electrical components will
also be upgraded for long-term function and serviceability.
FUNDING SOURCES
• Cash-to-Capital - $5M
PROJECT MILESTONES
• Generator construction and installation are expected be completed in FY 29.
Image used for illustration purposes only
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - Government
Center Generator
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $0 $0 $0 $0 $5,000,000 $0 $5,000,000 $5,000,000
Total Project Costs $0 $0 $0 $0 $5,000,000 $0 $5,000,000 $5,000,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Use of County Cash
from Future County
Capital
$0 $0 $0 $0 $5,000,000 $0 $5,000,000 $5,000,000
Total Funding Sources $0 $0 $0 $0 $5,000,000 $0 $5,000,000 $5,000,000
APPROVED FY 2026 - 2030 Capital Improvement Program
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Cinnabar Green Space and Storage
Total Project Cost: $2.4M
Project Status:Planning
PROJECT DESCRIPTION
This project consists of the demolition of the old garage facility. The demolition of the old buildings
and surrounding outbuildings will open up a new green space and create an opportunity for both
Parks and Recreation and the Animal Care and Adoption Center to improve their infrastructure and
better serve citizens and visitors. The project includes a large greenspace area, a Parks and
Recreation storage building on one end of the property and a small shed and fenced area for
housing livestock and poultry picked up by animal control.
• Parks and Recreation storage building: This building would house a majority of the
department’s outdoor equipment and gear. Necessary features would include a concrete
pad, roll up bay doors, and temperature control. The building would be constructed in a
matching style to other Mid-County Park structures. This building would also include a small
parking area.
• ACAC livestock area: This area would house livestock and poultry picked up by animal
control. Necessary features would include a small barn with a run-in shed, small storage
area, running water, and a small fenced in area.
• Greenspace area: To create an open green area, the rest of the open area would be seeded
with grass, and planted with trees. New trail heads would be added for ACAC volunteers.
FUNDING SOURCES
• Lease Revenue Bonds - $0.1M
• Cash-to-Capital - $2.3M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Building demolition was completed in June 2023 (FY 23).
• A Parks & Recreation Master Plan will be developed to help fully evaluate the scale of the
proposed project.
• Planning and design may begin in FY 27.
• Construction may begin in FY 28.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - Cinnabar Green
Space and Storage
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $730 $0 $0 $0 $0 $0 $0 $730
Site Improvements and
Prep $75,000 $0 $130,000 $0 $0 $0 $130,000 $205,000
Construction $0 $0 $0 $1,887,020 $0 $0 $1,887,020 $1,887,020
Equipment $0 $0 $0 $55,125 $0 $0 $55,125 $55,125
Construction
Contingency $0 $0 $0 $214,788 $0 $0 $214,788 $214,788
Total Project Costs $75,730 $0 $130,000 $2,156,933 $0 $0 $2,286,933 $2,362,663
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Bond Funds $75,730 $0 $0 $0 $0 $0 $0 $75,730
Additional County Cash
to Capital $552,769 $0 $0 $0 $0 $0 $0 $552,769
Use of County Cash from
Future County Capital $0 $0 $0 $1,734,164 $0 $0 $1,734,164 $1,734,164
Total Funding Sources $628,499 $0 $0 $1,734,164 $0 $0 $1,734,164 $2,362,663
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Maintenance $0 $5,000 $5,000 $5,000 $5,000 $20,000
Total Facility Operating Costs $0 $5,000 $5,000 $5,000 $5,000 $20,000
APPROVED FY 2026 - 2030 Capital Improvement Program
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Magistrate and Court Services Facility with Sally Port
Total Project Cost: $8.1M
Project Status:Continuing
PROJECT DESCRIPTION
This project will provide a new facility for the Magistrate’s Office and Court Services. A thorough
programmatic study was performed in the Fall of 2022 (FY 23) to determine space and operational
requirements for both functions. The result of the study showed that new space is warranted to
safely and efficiently operate the necessary services provided by the Magistrate and Court Services.
Utilization of the area between the Jail and First Street would also offer an opportunity to position the
Magistrate function adjacent to the jail.
The proposed building would be a single-story structure providing offices, customer service areas,
and conference rooms designed to accommodate growth and meet all ADA accessibility
requirements. This project also increases the safety for officers transporting prisoners to the jail as
well as the community by the addition of a functional, enclosed sally port. The sally port will be
fenced with a roof and roll up style doors, but will not be conditioned space.
The former Sheriff’s Office will be demolished, and along with the former Phlegar building, the space
will become a new parking area that will more closely serve employees reporting to, and citizens
visiting, the Public Safety building.
FINANCIAL IMPACT
• Relocation of the Magistrate’s Office in a County owned facility will eliminate the need to
lease space for them and save over $80,000 per year in rent.
• Relocating the Court Services office unit and repurposing the building located at 201
Radford Street will provide a more appropriate location for the Cooperative Extension office
and increase available space at the government center as previously described in the
Government Center Improvements narrative.
FUNDING SOURCES
• ARPA - $2.7M
• Cash-to-Capital - $0.9M
• Lease Revenue Bonds - $4.5M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Project was advertised for construction in October 2023 (FY 24).
• Construction began in March 2024 (FY 24).
• Substantial completion was reached in May 2025 (FY 25).
• The Court Services Unit relocated and occupied their designated space in May 2025 (FY 25).
• The Magistrate relocated and occupied their designated space in June 2025 (FY 25).
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - Magistrate and
Court Services Facility
w/Sallyport
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $462,000 $0 $0 $0 $0 $0 $0 $462,000
Construction $7,018,630 $623,370 $0 $0 $0 $0 $623,370 $7,642,000
Total Project Costs $7,480,630 $623,370 $0 $0 $0 $0 $623,370 $8,104,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Bond Funds $4,533,738 $0 $0 $0 $0 $0 $0 $4,533,738
County Cash to Capital -
Transfer from GF $594,741 $0 $0 $0 $0 $0 $0 $594,741
Additional County Cash
to Capital $290,758 $0 $0 $0 $0 $0 $0 $290,758
ARPA $2,684,763 $0 $0 $0 $0 $0 $0 $2,684,763
Total Funding Sources $8,104,000 $0 $0 $0 $0 $0 $0 $8,104,000
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Maintenance $5,000 $5,000 $5,000 $5,000 $5,000 $25,000
Other $40,000 $40,000 $40,000 $40,000 $40,000 $200,000
Total Operating Costs $45,000 $45,000 $45,000 $45,000 $45,000 $225,000
APPROVED FY 2026 - 2030 Capital Improvement Program
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201 Radford Street
Total Project Cost: $2.1
Project Status:New
PROJECT DESCRIPTION
This project includes the renovation of the building and site improvements at 201 Radford Street.
This building previously served as the offices for the Court Services Unit. Since the building became
vacant, and the need for space at the government center has increased, relocating Cooperative
Extension to this location will provide their staff with an independent location with dedicated parking.
The renovations and site work will accommodate Cooperative Extension’s programming and
activities currently held at the government center. Work will include upgrading HVAC systems,
upgrading plumbing, reconfiguring office space, creating a meeting/training room, and site
improvements to meet ADA accessibility requirements.
Architectural planning and design began in the Spring of 2025 and is currently ongoing.
FUNDING SOURCES
• Cash-to-Capital - $2.1M
PROJECT MILESTONES
• Architectural planning and design began in FY 25.
• Construction will take place in FY 26.
• Relocating/moving Cooperative Extension is expected to occur FY 27.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - 201 Radford
Street
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $173,216 $238,010 $1,734,164 $0 $0 $0 $1,972,174 $2,145,390
Total Project Costs $173,216 $238,010 $1,734,164 $0 $0 $0 $1,972,174 $2,145,390
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $205,000 $0 $0 $0 $0 $0 $0 $205,000
Additional County Cash
to Capital $160,836 $1,779,554 $0 $0 $0 $0 $1,779,554 $1,940,390
Total Funding Sources $365,836 $1,779,554 $0 $0 $0 $0 $1,779,554 $2,145,390
APPROVED FY 2026 - 2030 Capital Improvement Program
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305 Roanoke Street
Total Project Cost: $5.5M
Project Status:New
PROJECT DESCRIPTION
This project includes renovation of the building and site improvements at 305 Roanoke Street. The
property was purchased in FY 25 for use by Montgomery County Fire-EMS Department (MCFEMS).
With growth and the increase in services by MCFEMS, relocating to an appropriate facility for
administrative, training, and central storage of supplies and materials has been a critical need. This
facility will provide MCFEMS staff with an independent location with dedicated parking for their
programming and activities currently held at the government center. Work will include the
construction of office space, a meeting/training room, day room, locker room, bunk rooms, new
HVAC systems, upgrading plumbing and electrical systems, installing new bay doors, and site
improvements to meet ADA accessibility requirements.
Architectural planning and design began in the Winter of 2025 and is currently ongoing.
FUNDING SOURCES
• Cash-to-Capital - $5.5M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Architectural planning and design began in FY 25.
• Construction will take place in FY 26.
• Relocating/moving MCFEMS is expected to occur FY 27.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - 305 Roanoke
Street
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $203,805 $18,645 $0 $0 $0 $0 $18,645 $222,450
Land Acquisition $925,000 $0 $0 $0 $0 $0 $0 $925,000
Construction $0 $3,041,192 $1,311,359 $0 $0 $0 $4,352,550 $4,352,550
Total Project Costs $1,128,805 $3,059,837 $1,311,359 $0 $0 $0 $4,371,195 $5,500,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Additional County Cash
to Capital $1,147,450 $0 $0 $0 $0 $0 $0 $1,147,450
Use of County Cash from
Future County Capital $0 $4,352,550 $0 $0 $0 $0 $4,352,550 $4,352,550
Total Funding Sources $1,147,450 $4,352,550 $0 $0 $0 $0 $4,352,550 $5,500,000
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Utilities $25,000 $25,000 $25,000 $25,000 $25,000 $125,000
Total Operating Costs $25,000 $25,000 $25,000 $25,000 $25,000 $125,000
APPROVED FY 2026 - 2030 Capital Improvement Program
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Radio Infrastructure Project
Total Project Cost: $10.0M
Project Status:NEW
PROJECT DESCRIPTION
The New River Valley Emergency Communications Regional Authority (NRV911) is contracting a
project for a 700 MHz P25 Phase 2 Trunked Simulcast Radio System to serve the public safety
agencies for Montgomery County, the Towns of Blacksburg and Christiansburg, and Virginia Tech.
NRV911 serves as the public safety answering point for 911 and administrative phone lines for the
four jurisdictions as well as providing dispatch services for 4 law enforcement agencies, 5 fire
departments, and 6 EMS agencies. These agencies currently operate on multiple disparate radio
systems that are nearing end of life and do not provide sufficient coverage or capacity to meet the
region’s current or future needs.
The radio system project has been in various stages of consultant studies, discussion, and
development since 2009. This project will include fixed infrastructure equipment, radio dispatch
consoles, microwave connectivity network, and physical facilities. The infrastructure part of the
project is being jointly and cooperatively funded by a combination of tax-exempt bond financing and
cash funding by the four jurisdictions based on their estimated usage of the radio system. The
project also includes new mobile and portable subscriber radios for all public safety and some public
service agencies within Montgomery County, both towns, and Virginia Tech. The subscriber radios will
be purchased and owned by each jurisdiction per their needs. The new radio system will include
maintenance and support for at least 15 years and be expandable to fit local needs.
FUNDING SOURCES
• Cash-to-Capital - $10.0M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Construction is expected to begin in September 2025 and take approximately 30 months to
complete.
APPROVED FY 2026 - 2030 Capital Improvement Program
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Project - Radio
Infrastructure
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Equipment $0 $0 $2,500,000 $0 $0 $0 $2,500,000 $2,500,000
Civic Contributions $1,125,000 $5,100,000 $1,275,000 $0 $0 $0 $6,375,000 $7,500,000
Total Project Costs $1,125,000 $5,100,000 $3,775,000 $0 $0 $0 $8,875,000 $10,000,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Additional County Cash
to Capital $10,000,000 $0 $0 $0 $0 $0 $0 $10,000,000
Total Funding Sources $10,000,000 $0 $0 $0 $0 $0 $0 $10,000,000
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Software/Hardware Maintenance $0 $0 $297,689 $297,689 $297,689 $893,067
Total Operating Costs $0 $0 $297,689 $297,689 $297,689 $893,067
APPROVED FY 2026 - 2030 Capital Improvement Program
20
Elliston Fire Department
Total Project Cost: $12.3M
Project Status: Continuing
PROJECT DESCRIPTION
This project consists of renovating existing portions of the Elliston Fire Department located at 5001
Enterprise Drive, Elliston and also constructing additional space to accommodate the operational
needs of the volunteer, career fire, and emergency response staff in the facility.
Approximately 16,500 square feet of the existing station will be renovated, and 3,000 square feet
will be new construction. The station shall include ten individual sleeping rooms, four offices, and a
kitchen (use existing to the greatest extent possible), dining, dayroom, fitness, locker room, and a
new patio area. Temporary trailers will be provided before the design on the station is complete to
accommodate the staff throughout construction.
FUNDING SOURCES
• ARPA - $4.7M
• Cash-to-Capital - $7.6M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Design began in May 2025 (FY 25).
• Advertise plans and specifications for construction in Spring 2026 (FY 26).
• Construction Summer 2026 through Spring 2027 (FY 27).
APPROVED FY 2026 - 2030 Capital Improvement Program
21
Project - Elliston Fire
Department Expansion
and Renovation
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $20,000 $0 $0 $0 $0 $0 $0 $20,000
Construction $694,412 $4,637,450 $6,315,238 $0 $0 $0 $10,952,688 $11,647,100
Project Management $662,900 $0 $0 $0 $0 $0 $0 $662,900
Total Project Costs $1,377,312 $4,637,450 $6,315,238 $0 $0 $0 $10,952,688 $12,330,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Additional County Cash
to Capital $330,000 $0 $0 $0 $0 $0 $0 $330,000
Use of County Cash from
Future County Capital $0 $7,315,238 $0 $0 $0 $0 $7,315,238 $7,315,238
ARPA $4,684,762 $0 $0 $0 $0 $0 $0 $4,684,762
Total Funding Sources $5,014,762 $7,315,238 $0 $0 $0 $0 $7,315,238 $12,330,000
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Maintenance $0 $5,000 $5,000 $5,000 $5,000 $20,000
Other $0 $40,000 $40,000 $40,000 $40,000 $160,000
Total Operating Costs $0 $45,000 $45,000 $45,000 $45,000 $180,000
APPROVED FY 2026 - 2030 Capital Improvement Program
22
Jail Renovation
Total Project Cost: $1.2M
Project Status:Continuing
PROJECT DESCRIPTION
This project includes renovating the dorm rooms in the Jail, upgrading HVAC systems, replacing
boilers, repairing roof drainage systems, upgrading plumbing, and improving the docket area used
for booking inmates by constructing work stations and replacing flooring throughout multiple areas
on the first floor.
Work began at the Jail in the Fall of 2019 and is currently ongoing. Various improvements
throughout the facility have been performed by both design-bid-build contracting and existing
cooperative contracts.
FUNDING SOURCES
• Cash-to-Capital - $0.9M
• Grant Funds - $0.3M
PROJECT MILESTONES
• Roof over the kitchen was replaced in Fall 2019 (FY 20).
• Various improvements/upgrades began in FY 20.
• Dormitory renovations were completed in Spring 2021 (FY 21).
• Renovations to the visitor’s area, addition of an ADA accessible ramp at the visitor’s
entrance, and storm drainage from the recreation deck was re-routed in Winter of 2022 (FY
22).
• Cell block plumbing renovations completed in Fall 2024 (FY 25).
• Improvements to the docket area for booking inmates will take place in FY 26.
• Replacement of various HVAC units are ongoing.
Project - Jail Renovation Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $1,171,601 $24,773 $0 $0 $0 $0 $24,773 $1,196,374
Total Project Costs $1,171,601 $24,773 $0 $0 $0 $0 $24,773 $1,196,374
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $942,803 $0 $0 $0 $0 $0 $0 $942,803
Grant Funds $253,571 $0 $0 $0 $0 $0 $0 $253,571
Total Funding Sources $1,196,374 $0 $0 $0 $0 $0 $0 $1,196,374
APPROVED FY 2026 - 2030 Capital Improvement Program
23
Fire and Rescue Capital Equipment
Total Project Cost: $9.3M
Project Status:Continuing
PROJECT DESCRIPTION
Purchase of new and/or replacement equipment for the nine (9) volunteer fire and rescue agencies
throughout the county. One and a half (1.5) cents of the real estate tax is earmarked for fire and
rescue capital needs.
Each year, equipment is purchased or replaced based on the needs of each agency. The Fire and
Rescue CIP Committee recommends equipment purchases, which is then approved by the Fire
Rescue Commission and then approved by the Board of Supervisors. Fire and Rescue CIP Committee
guidelines for vehicle replacement are:
• Ambulance: $450,000 – replaced at 10 years/100,000 miles
• Brush Truck: $350,000 – replaced at 15 years
• Mini Pumper: $500,000 – replaced at 15 years
• Engine/Tanker: $1,500,000 – replaced at 20 years
• Response Vehicles: $80,000 – replaced at 7 years/60,000 miles
• Squads/Crash Trucks: $1,200,000 – replaced at 20 years
FUNDING SOURCES
• Cash-to-Capital - $9.3M
PROJECT MILESTONES
The following equipment was purchased in FY 25:
• New Fire Engine for the Elliston Volunteer Fire Department
• New Ambulance for the Christiansburg Rescue Squad
Project - Fire and
Rescue Capital
Equipment
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Equipment $0 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $9,336,450 $9,336,450
Total Project Costs $0 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $9,336,450 $9,336,450
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $0 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $9,336,450 $9,336,450
Total Funding Sources $0 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $1,867,290 $9,336,450 $9,336,450
APPROVED FY 2026 - 2030 Capital Improvement Program
24
Teel Park
Total Project Cost: $16.8M
Project Status:Continuing
PROJECT DESCRIPTION
The future Teel Park is approximately 35 acres located off Route 8 in the Riner area. The Park will
have many features including:
• Four Baseball/Softball Fields
• Two Multi-Purpose Fields
• Lighting for Fields
• Restroom Facilities – water, sewer, and power
• Parking Lot – 303 spaces with lighting
• Picnic Shelters
• Playgrounds
• Extensive Walking Trails
FUNDING SOURCES
• Lease Revenue Bonds - $4.2M
• Cash-to-Capital - $10.3M
• ARPA - $2.0M
• Grant Funds - $0.3M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Grading was completed in FY 23.
• Construction is scheduled for completion in FY 26.
APPROVED FY 2026 - 2030 Capital Improvement Program
25
Project - Teel Park Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning $18,500 $0 $0 $0 $0 $0 $0 $18,500
Land Acquisition $307,688 $0 $0 $0 $0 $0 $0 $307,688
Design $19,325 $0 $0 $0 $0 $0 $0 $19,325
Construction $15,548,550 $895,963 $0 $0 $0 $0 $895,963 $16,444,513
Total Project Costs $15,894,063 $895,963 $0 $0 $0 $0 $895,963 $16,790,026
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Bond Funds $4,197,102 $0 $0 $0 $0 $0 $0 $4,197,102
County Cash to Capital -
Transfer from GF $3,583,784 $0 $0 $0 $0 $0 $0 $3,583,784
Additional County Cash
to Capital $6,670,140 $0 $0 $0 $0 $0 $0 $6,670,140
ARPA $2,000,000 $0 $0 $0 $0 $0 $0 $2,000,000
Grant Funds $339,000 $0 $0 $0 $0 $0 $0 $339,000
Total Funding Sources $16,790,026 $0 $0 $0 $0 $0 $0 $16,790,026
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Parks and Rec Staff (1) Added in FY 24 $57,111 $57,111 $57,111 $57,111 $57,111 $285,555
Agricultural Supplies $30,000 $30,000 $30,000 $30,000 $30,000 $150,000
General Services Staff (1) Added in FY 24 $54,869 $54,869 $54,869 $54,869 $54,869 $274,345
Parks and Rec Staff (2) Added in FY 26 $132,070 $132,070 $132,070 $132,070 $132,070 $660,350
Total Operating Costs $274,050 $274,050 $274,050 $274,050 $274,050 $1,370,250
APPROVED FY 2026 - 2030 Capital Improvement Program
26
Parks Revitalization
Total Project Cost: $2.1M
Project Status:Continuing
PROJECT DESCRIPTION
The Parks Revitalization program addresses larger scale component replacement or repairs (i.e.,
HVAC, pool motors/equipment, playground equipment replacement, etc.) that cannot be
accomplished with existing operating budget resources. The program invests in existing capital
assets to extend the life of parks and related facilities and better serve the community. Annually,
$425,000 is earmarked for Parks and Recreation capital projects.
FUNDING SOURCES
• Cash-to-Capital - $2.1M
Project - Parks
Revitalization
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $0 $425,000 $425,000 $425,000 $425,000 $425,000 $2,125,000 $2,125,000
Total Project Costs $0 $425,000 $425,000 $425,000 $425,000 $425,000 $2,125,000 $2,125,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $0 $425,000 $425,000 $425,000 $425,000 $425,000 $2,125,000 $2,125,000
Total Funding Sources $0 $425,000 $425,000 $425,000 $425,000 $425,000 $2,125,000 $2,125,000
APPROVED FY 2026 - 2030 Capital Improvement Program
27
Valley to Valley Trail
Total Project Cost: $1.0M
Project Status:Continuing
PROJECT DESCRIPTION
This project includes funding to support future construction of a multi-jurisdictional trail system. The
trail will interconnect existing trails to create a long-distance network through Southwest Virginia
connecting the Roanoke River Greenway to the New River Trail along with other recreational facilities
in the region such as the Huckleberry Trail in Christiansburg.
FUNDING SOURCES
• Cash-to-Capital - $1.0M
Project - Valley to
Valley Trail
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $0 $600,000 $100,000 $100,000 $100,000 $100,000 $1,000,000 $1,000,000
Total Project Costs $0 $600,000 $100,000 $100,000 $100,000 $100,000 $1,000,000 $1,000,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital
- Transfer from GF $500,000 $100,000 $100,000 $100,000 $100,000 $100,000 $500,000 $1,000,000
Total Funding Sources $500,000 $100,000 $100,000 $100,000 $100,000 $100,000 $500,000 $1,000,000
APPROVED FY 2026 - 2030 Capital Improvement Program
28
Christiansburg Library Renovations
Total Project Cost: $16.1M
Project Status: Planned
PROJECT DESCRIPTION
Based on a 2016 study, renovation and expansion of the Christiansburg Library will increase the
square footage from 15,100 to 31,954 and provide a modern, flexible platform for library service to
residents of Christiansburg and the surrounding communities. The existing layout and limited space
of the current 37-year-old facility is no longer adequate. The new Christiansburg Library will provide a
durable, modern building which will be a community resource and an anchor for activity, education,
and culture in the downtown Christiansburg area.
Christiansburg Library serves as the primary library for Christiansburg, as well as the Riner and Pilot
communities. The service area population of Christiansburg is 37,424 (Census 2020).
Christiansburg Library also houses Montgomery Floyd Regional Library’s administrative and technical
services operations. From 2020 – 2024, Christiansburg served an average of nearly 100,000
visitors annually with 131,361 physical items loaned. In addition, there has been significant growth
during the same period in the use of e-books and e-audio options across the Montgomery Floyd
Regional Library system.
A renovated and expanded facility will accommodate growth in demand and population, emerging
library services such as maker and robotics labs, children’s STEM (Science, Technology, Engineering
and Math) area, media lab, a computer classroom, and RFID (Radio Frequency Identification)
materials management; it would also meet patron’s current expectations for public internet access,
study spaces, community meeting spaces, teen services, children’s programming, excellent library
collections, and high-quality in person service.
A current feasibility study is being undertaken to confirm the 2016 data and proposed needs. Once
complete, the project will move into the design phase.
FUNDING SOURCES
• Cash-to-Capital - $16.1M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Feasibility study in Winter 2025 (FY 25).
• Design planned for FY 27.
• Construction is expected to begin in FY 29.
APPROVED FY 2026 - 2030 Capital Improvement Program
29
Project - Christiansburg
Library Renovations
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $61,750 $61,750 $500,000 $500,000 $0 $0 $1,061,750 $1,123,500
Construction $0 $0 $0 $0 $5,224,401 $9,775,599 $15,000,000 $15,000,000
Total Project Costs $61,750 $61,750 $500,000 $500,000 $5,224,401 $9,775,599 $16,061,750 $16,123,500
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Additional County Cash
to Capital $123,500 $0 $0 $0 $0 $5,551,564 $5,551,564 $5,675,064
Use of County Cash
from Future County
Capital
$0 $0 $500,000 $500,000 $5,224,401 $4,224,035 $10,448,436 $10,448,436
Total Funding Sources $123,500 $0 $500,000 $500,000 $5,224,401 $9,775,599 $16,000,000 $16,123,500
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Personnel $0 $0 $0 $0 $130,000 $130,000
Equipment $0 $0 $0 $0 $6,000 $6,000
Total Operating Costs $0 $0 $0 $0 $136,000 $136,000
APPROVED FY 2026 - 2030 Capital Improvement Program
30
Falling Branch Corporate Park Phase II
Total Project Cost: $8.0M
Project Status: Continuing
PROJECT DESCRIPTION
Falling Branch Corporate Park (FBCP) Phase II includes 100 acres of developable property. FBCP
Phase II Parcel 1, 41 acres, was purchased and a 251,000 square foot Federal Express distribution
center was constructed. The center is valued at over $30M in new assessed value. FBCP Phase II
Site 2 consists of a 35-acre site that can be graded into a 20-acre pad and a stormwater pond
providing space for a 300,000 square foot building. This project will include development of Site 2
including grading; road construction; and providing electric, water and sewer utilities to the site.
FUNDING SOURCES
• Cash-to-Capital - $8.0M
• Annual maintenance costs will be supported by the General Fund.
PROJECT MILESTONES
• Engineering and project bid in FY 24.
• Began construction on road, water, and sewer extensions, stormwater and pads in FY 24.
• Construction is expected to be completed in FY 26.
APPROVED FY 2026 - 2030 Capital Improvement Program
31
Project - Falling Branch
Corporate Park - Phase II
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning and Design $213,892 $0 $0 $0 $0 $0 $0 $213,892
Land Acquisition $2,490,000 $1,489,654 $0 $0 $0 $0 $1,489,654 $3,979,654
Site Improvements and
Prep $75,039 $0 $0 $0 $0 $0 $0 $75,039
Construction $3,280,104 $500,000 $0 $0 $0 $0 $500,000 $3,780,104
Total Project Costs $6,059,035 $1,989,654 $0 $0 $0 $0 $1,989,654 $8,048,689
Funding Proceeds to Date Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $4,896,402 $0 $0 $0 $0 $0 $0 $4,896,402
Additional County Cash to
Capital $3,152,287 $0 $0 $0 $0 $0 $0 $3,152,287
Total Funding Sources $8,048,689 $0 $0 $0 $0 $0 $0 $8,048,689
Operating Costs FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30
Maintenance $24,376 $24,376 $24,376 $24,376 $24,376 $121,880
Total Operating Costs $24,376 $24,376 $24,376 $24,376 $24,376 $121,880
APPROVED FY 2026 - 2030 Capital Improvement Program
32
IT Infrastructure Improvements
Total Project Cost: $1.1M
Project Status:Continuing
PROJECT DESCRIPTION
Technology Infrastructure upgrades are necessary to support IT Operations for the entire County.
Major applications should be replaced or upgraded periodically and the County’s websites and social
media presence requires constant upgrading to stay current and meet citizen demand. Future
projects include cloud initiatives such as offsite disaster recovery adaptation of current technology
trends through the use of cloud services. Upgrades are planned for cybersecurity, networking,
servers and data storage to accommodate the County’s technology growth.
The IT Infrastructure projects fall within five general areas:
1. Applications
2. Cloud Migration
3. Cybersecurity
4. Infrastructure & Operations
5. Website & Citizen Services
FUNDING SOURCES
• Cash-to-Capital - $1.1M
Project - IT
Infrastructure
Improvements
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Infrastructure &
Operations $0 $210,000 $210,000 $210,000 $210,000 $210,000 $1,050,000 $1,050,000
Total Project Costs $0 $210,000 $210,000 $210,000 $210,000 $210,000 $1,050,000 $1,050,000
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $0 $210,000 $210,000 $210,000 $210,000 $210,000 $1,050,000 $1,050,000
Total Funding Sources $0 $210,000 $210,000 $210,000 $210,000 $210,000 $1,050,000 $1,050,000
APPROVED FY 2026 - 2030 Capital Improvement Program
33
County Capital Maintenance
Total Project Cost: $6.5M
Project Status:Continuing
PROJECT DESCRIPTION
The County’s Capital Maintenance program is designed to address major repairs and/or replace
large scale components that cannot be addressed within the County’s centralized maintenance
program in the County’s operating budget. The purpose of this program is to invest in existing capital
assets to maintain the County’s buildings and structures and extend their useful lives.
The County maintains 43 facilities ranging from higher profile buildings such as the Courthouse to
more rural facilities such as the consolidated sites. All of these structures combine for a total of
564,750 square feet and have an approximate replacement value of over $142M. Many of the
facilities are 20+ years old and require ongoing maintenance. The County also maintains eight park
sites encompassing approximately 195 acres. General Services ensures that County facilities are in
good condition and enhances the useful lives to maximize taxpayer investment.
Large-scale facility maintenance projects include:
• Replace HVAC equipment.
• Resurface parking lots and sidewalks.
• Maintain buildings and structures (e.g., roofing, electrical, plumbing, exterior, backup
generators, and security features).
• Maintain hardscaping (e.g., correcting erosion issues).
SERVICE IMPACT
• Extending facility use – Projects will complete maintenance on large-scale components with
the goal of extending the useful lives of County facilities.
FUNDING SOURCES
• Cash-to-Capital - $6.5M
Project - County Capital
Maintenance
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $0 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $6,500,000 $6,500,000
Total Project Costs $0 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $6,500,000 $6,500,000
Funding Proceeds to Date Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to Capital -
Transfer from GF $0 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $6,500,000 $6,500,000
Total Funding Sources $0 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $1,300,000 $6,500,000 $6,500,000
APPROVED FY 2026 - 2030 Capital Improvement Program
34
Future County Capital
Total Project Cost: $0M
Project Status:Continuing
PROJECT DESCRIPTION
The Future County Capital program was established in FY 20. One (1.0) cent of the real estate tax
rate is earmarked for future County capital needs. The Future County Capital program was
established to accumulate funds to finance all or part of future significant capital projects related to
construction, reconstruction, or acquisition of property. The use of these funds is determined on a
project-by-project basis. No current money is budgeted in this project as all resources have been
allocated to other projects throughout the Capital Improvement Program.
FUNDING SOURCES
• Cash-to-Capital - $0M
Project - Future
County Capital
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Planning $0 $1,144,860 $724,035 $0 $4,224,035 $0 $6,092,930 $6,092,930
Design $0 $11,673 $0 $0 $0 $0 $11,673 $11,673
Construction $0 $3,129,927 $2,000,000 ($1,010,129) ($10,224,401) $0 ($6,104,603) ($6,104,603)
Total Project
Costs $0 $4,286,460 $2,724,035 ($1,010,129) ($6,000,366) $0 $0 $0
Funding Proceeds
to Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to
Capital - Transfer
from GF
$783,067 $1,144,860 $1,144,860 $1,144,860 $1,144,860 $1,144,860 $5,724,300 $6,507,367
Additional County
Cash to Capital $7,940,895 $6,085,426 $3,079,175 $3,079,175 $3,079,175 $3,079,175 $18,402,126 $26,343,021
Use of County
Cash from Future
County Capital
$0 ($11,667,788) ($1,500,000) ($5,234,164) ($10,224,401) ($4,224,035) ($32,850,388) ($32,850,388)
Total Funding
Sources $8,723,962 ($4,437,502) $2,724,035 ($1,010,129) ($6,000,366) $0 ($8,723,962) $0
APPROVED FY 2026 - 2030 Capital Improvement Program
35
Future School Capital
Total Project Cost: $15.6M
Project Status:Continuing
PROJECT DESCRIPTION
The Future School Capital program funds are earmarked to be used by Montgomery County Public
Schools in the future for new school capital projects. Two and one-half (2.5) cents of the real estate
tax rate is earmarked for future school capital needs. These funds are held in a special Capital Fund
account separate from the School Operating Fund and may be used as requested by the School
Board and approved by the Board of Supervisors.
FUNDING SOURCES
• Cash-to-Capital - $15.6M
Project - Future
School Capital
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
Construction $0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
Total Project Costs $0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
Funding Proceeds to
Date
Prior Years
thru FY 25 FY 26 FY 27 FY 28 FY 29 FY 30 Total
FY 26-30 Grand Total
County Cash to
Capital - Transfer
from GF
$0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
Total Funding
Sources $0 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $3,112,150 $15,560,750 $15,560,750
APPROVED FY 2026 - 2030 Capital Improvement Program
36
Comprehensive Plan Alignment
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
Government
Center
Improvements,
Phase II
Multiple Policy
Areas
Provides for physical improvements to facilities that provide administrative
support of multiple Comprehensive Plan Goals.
Government
Center
Generator
Multiple Policy
Areas
Provides for continuity of operations for facilities that provide administrative
support of multiple Comprehensive Plan Goals.
Cinnabar Green
Space and
Storage
Public Safety
SFY 1.3 Future Capital Facilities: Use the response performance goals, the
future land use policies/map from the Comprehensive Plan, projections for
future traffic and road improvements from the MPO, and other pertinent data
to develop a plan to locate and fund future law enforcement and emergency
services facilities that are necessitated by a growing County population.
SFY 1.3.3 Animal Shelter: Provide adequate, humane animal control services
and facilities.
Recreational
Resources
PRC 1.2.1 Sports Needs: Determine the needs and desires of existing sport s
leagues in the county and the appropriate role of the county in meeting these
needs.
PRC 2.0 Recreational Facilities and Programs. To provide a broad variety of
recreational opportunities and traditional and special use facilities for all
citizens of Montgomery County, with special attention to the recreational
needs of youth, young adults, and senior citizens.
PRC 2.1.3 Operational and maintenance needs: Broaden the OFMP to better
address indoor facilities as well as operational and maintenance needs.
Magistrate and
Court Services
Facility with
Sally Port
Public Safety
SFY 1.3 Future Capital Facilities: Use the response performance goals, the
future land use policies/map from the Comprehensive Plan, projections for
future traffic and road improvements from the MPO, and other pertinent data
to develop a plan to locate and fund future law enforcement and emergency
services facilities that are necessitated by a growing County population.
SFY 1.3.2 Capital Facilities and Funding: Continue to work, annually, through
Capital Improvements Program to identify future capital facility needs and the
means for funding them.
APPROVED FY 2026 - 2030 Capital Improvement Program
37
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
201 Radford
Street
Environmental
Resources
ENV 1.1. Stewardship: Encourage funding of Department of Forestry and
Virginia [Cooperative] Extension Service Program to help encourage good
stewardship of Montgomery County’s natural resources.
ENV 3.1.8 Extension Service: Work with the [Cooperative] Extension
Service…to organize educational sessions on maintaining water quality while
enhancing agricultural practices.
Educational
Resources
EDU 2.2 Nontraditional Educational Facilities. Continue to develop
nontraditional educational facilities … to provide expanded
educational opportunities through public/private partnerships.
305 Roanoke
Street Public Safety
SFY 1.0 Public Safety Goal: Promote and facilitate the provision of superior
law enforcement and emergency services (fire and rescue) in order to ensure
that people have a safe and secure community in which to live, work, and
raise their families.
SFY 1.3 Future Capital Facilities: Use the response performance goals, the
future land use policies/map from the Comprehensive Plan, projections for
future traffic and road improvements from the MPO, and other pertinent data
to develop a plan to locate and fund future law enforcement and emergency
services facilities that are necessitated by a growing County population.
SFY 1.3.2 Capital Facilities and Funding: Continue to work, annually, through
the Capital Improvement Program to identify future capital facility needs and
the means for funding them.
Radio
Infrastructure
Project
Public Safety
SFY 1.0 Public Safety Goal: Promote and facilitate the provision of superior
law enforcement and emergency services (fire and rescue) in order to ensure
that people have a safe and secure community in which to live, work and raise
their families.
SFY 1.2.1 Fire and Rescue Involvement: Support the vital role of volunteers in
the delivery of emergency services (fire and rescue) throughout Montgomery
County.
SFY 1.5 Regional Opportunities: On selected issues, a regional approach may
provide services more efficiently and effectively. In some cases, this may
involve the County working cooperatively with Blacksburg, Christiansburg, and
Virginia Tech. In other cases, this may involve the County working
cooperatively with other New River Valley governments and possibly local
governments in the Roanoke Valley.
APPROVED FY 2026 - 2030 Capital Improvement Program
38
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
Elliston Fire
Department Public Safety
SFY 1.0 Public Safety Goal: Promote and facilitate the provision of superior
law enforcement and emergency services (fire and rescue) in order to ensure
that people have a safe and secure community in which to live, work and raise
their families.
SFY 1.3 Future Capital Facilities: Use the response performance goals, the
future land use policies/map from the Comprehensive Plan, projections for
future traffic and road improvements from the MPO, and other pertinent data
to develop a plan to locate and fund future law enforcement and emergency
services facilities that are necessitated by a growing County population.
SFY 1.3.2 Capital Facilities and Funding: Continue to work, annually, through
Capital Improvements Program to identify future capital facility needs and the
means for funding them.
Jail Renovation Public Safety
SFY 1.0 Public Safety Goal: Promote and facilitate the provision of superior
law enforcement and emergency services (fire and rescue) in order to ensure
that people have a safe and secure community in which to live, work, and
raise their families.
SFY 1.3 Future Capital Facilities: Use the response performance goals, the
future land use policies/map from the Comprehensive Plan, projections for
future traffic and road improvements from the MPO, and other pertinent data
to develop a plan to locate and fund future law enforcement and emergency
services facilities that are necessitated by a growing County population.
SFY 1.3.2 Capital Facilities and Funding: Continue to work, annually, through
the Capital Improvement Program to identify future capital facility needs and
the means for funding them.
Fire and
Rescue Capital
Equipment
Public Safety
SFY 1.0 Public Safety Goal: Promote and facilitate the provision of superior
law enforcement and emergency services (fire and rescue) in order to ensure
that people have a safe and secure community in which to live, work and raise
their families.
SFY 1.2 Public Involvement: Recognize and support the role of citizen
volunteers in the delivery of law enforcement and emergency services
throughout Montgomery County. Moreover, promote a better understanding of
law enforcement and emergency services issues by all County residents.
SFY 1.2.1 Fire and Rescue Involvement: Support the vital role of volunteers in
the delivery of emergency services (fire and rescue) throughout Montgomery
County.
APPROVED FY 2026 - 2030 Capital Improvement Program
39
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
Teel Park Recreational
Resources
PRC 2.0 Recreational Facilities and Programs. To provide a broad variety of
recreational opportunities and traditional and special use facilities for all
citizens of Montgomery County, with special attention to the recreational
needs of youth, young adults, and senior citizens.
PRC 2.1 Outdoor Facility Master Plan (OFMP): Revise, formally adopt, and use
the Outdoor Facility Master Plan as a guide for the development of new parks
and recreational facilities, including pocket, neighborhood, village, and
regional parks, as well as special use facilities, trails, and heritage parks.
PRC 2.1.1 Recreational Priorities and Funding: Decide on the top projects in
the OFMP and develop funding strategies for them including incorporation into
the Capital Improvement Plan, use of grant funds and other sources of
funding.
PRC 2.2 Accessibility: Make existing recreational facilities accessible to all
county residents, both in terms of how the facilities are accessed and used.
PRC 2.2.1 Facility Location: Develop major facilities in areas that are
accessible by major roads thereby providing the opportunity for existing
and/or future bus services.
Parks
Revitalization
Recreational
Resources
PRC 2.0 Recreational Facilities and Programs. To provide a broad variety of
recreational opportunities and traditional and special use facilities for all
citizens of Montgomery County, with special attention to the recreational
needs of youth, young adults, and senior citizens.
PRC 2.1 Outdoor Facility Master Plan (OFMP): Revise, formally adopt, and use
the Outdoor Facility Master Plan as a guide for the development of new parks
and recreational facilities, including pocket, neighborhood, village, and
regional parks, as well as special use facilities, trails, and heritage parks.
PRC 2.1.1 Recreational Priorities and Funding: Decide on the top projects in
the OFMP and develop funding strategies for them including incorporation into
the Capital Improvement Program, use of grant funds, and other sources of
funding.
PRC 2.2 Accessibility: Make existing recreational facilities accessible to all
county residents, both in terms of how the facilities are accessed and used.
PRC 2.2.1 Facility Location: Develop major facilities in areas that are
accessible by major roads thereby providing the opportunity for existing
and/or future bus services.
PRC 2.2.2 Facility Accessibility: Develop a plan to ensure that existing and new
facilities are accessible to all Montgomery County residents, with special
attention to the needs of differently-abled residents, by meeting the
accessibility standards established under the Americans with Disabilities Act.
APPROVED FY 2026 - 2030 Capital Improvement Program
40
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
Valley to Valley
Trail
Recreational
Resources
PRC 2.3 Trails: Provide a high quality trail network, based on a series of trails
and activity or education nodes, throughout the county, which offers both
increased individual and family recreational opportunities and alternative
transportation routes between jurisdictions and outlying villages.
PRC 2.3.1 New River Trail Linkage: Support New River Valley Planning District
Commission’s efforts to develop a multi-jurisdictional plan for linking the
Huckleberry Trail to the New River Trail via Christiansburg and Radford.
PRC 2.3.3 Trails and Nodes: Develop recreation facilities in collaborat ion with
the County and Towns master plans for trails (including bikeways and
walkways).
Christiansburg
Library
Renovations
Educational
Resources
EDU 2.2 Nontraditional Educational Facilities. Continue to develop
nontraditional educational facilities (such as the Coal Mining Heritage Park
and Science Center, the Farming Heritage Park, the Christiansburg Institute,
Blacksburg’s Heritage Community Park and Natural Area, and the Montgomery
County Museum) to provide expanded educational opportunities through
public/private partnerships.
EDU 2.2.4 Montgomery-Floyd Regional Library. Provide continuing support for
the Montgomery-Floyd Regional Library, including the development of new
facilities, the revitalization of existing facilities, and the expansion of the
technical infrastructure in support of adult educational opportunities.
Cultural
Resources
CRS 2.0 Montgomery/Floyd Regional Library: Provide increased access to
high-quality library facilities throughout Montgomery County.
CRS 2.1 New and Existing Facilities and Programs. Provide adequate public
library facilities, based on population growth trends and need, throughout
Montgomery County.
CRS 2.1.1 Library Facility Standards. Work with the Montgomery-Floyd
Regional Library Board to establish a set of criteria for determining future
physical library needs, including the re-siting and upgrade of existing facilities
and the siting of new facilities.
CRS 2.1.4 Library-Based Community Space. Work with the Montgomery-Floyd
Regional Library Board to develop community meeting space in existing
facilities and the design of community multi-use facilities in new and
rehabilitated facilities.
Falling Branch
Corporate
Park Phase II
Economic
Development
ECD 3.0 Location and Land Use: Identify appropriate locations for new
businesses to start and existing businesses to expand.
ECD 3.1 Industrial & Business Parks: Identify locations for new industrial and
business parks and/or the expansion of existing parks.
APPROVED FY 2026 - 2030 Capital Improvement Program
41
FY 2026 – 2030 Capital Improvement Program / Comprehensive Plan Alignment
Project Comprehensive
Plan Section Comprehensive Plan Goals Addressed
IT
Infrastructure
Improvements
Multiple Policy
Areas
Provides for physical improvements to networks and infrastructure that
provide administrative support to achieving multiple Comprehensive Plan
Goals.
County Capital
Maintenance
Multiple Policy
Areas
Supports maintenance operations, facilities, and equipment needed to
address multiple Comprehensive Plan Goals.
Future County
Capital
Multiple Policy
Areas Supports multiple goals throughout the Comprehensive Plan.
Future School
Capital
Educational
Resources
EDU 1.0 Educational Facilities and Opportunities: Provide high quality, lifelong
educational opportunities and facilities throughout Montgomery County.
EDU 1.1 New and Existing Educational Facilities: Address current and future
educational facility and program needs in Montgomery County through a
cooperative approach between Montgomery County, Blacksburg,
Christiansburg, citizens, the business community, and the Montgomery County
Public Schools.
EDU 1.1.3 Facilities Renewal Program: Design and incorporate a Facilities
Renewal Program into the Montgomery County Capital Improvements
Program, which would allow for large scale renewal, renovation, and
expansion of existing facilities to meet future needs, including: physical
upgrades, systemic upgrades (i.e. electrical, HVAC, roofs), and facility changes
for programmatic upgrades (renewal/rehabilitation of science, vocational and
technological facilities), while recognizing the need for multi-use facilities.
FY 2026 – 2030 Capital Improvement Program / Transportation / Comprehensive Plan Alignment
Transportation
Project
Comprehensive
Plan Section
Comprehensive Plan Goals
Addressed
Proposed
Funding
Source
Estimated Cost
VA Route 8
Safety
Improvements
(3 Projects)
Image A
Transportation
Public Safety
Riner Village Plan
Widening, turn lane, and intersection
improvements from Christiansburg
Town Line to Floyd County Line
supports multiple Virginia
Transportation Plan (VTrans) and
Comprehensive Plan Goals. (Safety,
Congestion, and Connectivity)
Highway Safety
Improvement
Program (VDOT)
$30 Million
VA Route
460/637
Intersection
Improvements
Image B
Transportation
Public Safety
Shawsville Village
Intersection improvements at
Alleghany Spring/Roanoke Road
intersection supports VTrans and
Comprehensive Plan Goals. (Safety,
Congestion)
Smart Scale
Funding (VDOT)
$5.5 Million
APPROVED FY 2026 - 2030 Capital Improvement Program
42
FY 2026 – 2030 Improvement Program / Transportation / Comprehensive Plan Alignment
Transportation
Project
Comprehensive
Plan Section
Comprehensive Plan Goals
Addressed
Proposed
Funding Source
Estimated
Cost
VA Route
114/685
Intersection and
Pedestrian
Improvements
Image C
Transportation
Public Safety
Belview Village
Intersection and pedestrian
improvements at Prices Fork and
Peppers Ferry Road are supported by
VTrans and Comprehensive Plan Goals.
(Safety, Congestion, Connectivity,
Multimodal Travel)
Priority
Transportation
Fund (VDOT)
$8.5 Million
Route
657/Route 685
Intersection
Improvements
Image D
Transportation
Public Safety
Prices Fork Village
Widening and intersection
improvements at Prices Fork and
Merrimac Road supports multiple
VTrans and Comprehensive Plan Goals.
(Safety, Congestion, and Connectivity)
Unknown
State Funding
$18 million
Route 114
Safety
Improvements
Image E
Transportation
Public Safety
Belview Village
Intersection, pedestrian, and widening
improvements from Christiansburg
Town Line to RAAP supports VTrans and
Comprehensive Plan Goals. (Safety,
Congestion)
Unknown
State/Federal
Funding Source
$61 million
Route
177/Route 666
Intersection
Improvements
Image F
Transportation
Public Safety
Route 177
Corridor Plan
Intersection and pedestrian
improvements at Tyler Road and Mud
Pike are supported by Comprehensive
Plan Goals. (Safety, Congestion,
Connectivity, Multimodal Travel)
Unknown
State/Federal
Funding Source
$5-10 million
Route 460
Multimodal
Improvements
(Joint project
with Town of
Christiansburg &
Blacksburg)
Image G
Transportation
Public Safety
Pedestrian and bicycle improvements
along 460 Business connecting to the
Towns of Christiansburg/Blacksburg are
supported by VTrans and
Comprehensive Plan. (Safety,
Congestion, Multimodal Travel)
Unknown
State/Federal
Funding Source
$15 million
+/-
APPROVED FY 2026 - 2030 Capital Improvement Program
43
Images
A. Virginia Route 8 (3 projects)
Turn Lane Improvements
Widening & Safety Improvements North & South Route 8
APPROVED FY 2026 - 2030 Capital Improvement Program
44
APPROVED FY 2026 - 2030 Capital Improvement Program
45
B. VA Route 460/637 Intersection Improvements
C. VA Route 114/685 Intersection and Pedestrian Improvements
APPROVED FY 2026 - 2030 Capital Improvement Program
46
D. Route 657/Route 685 Intersection Improvements
E. Route 114 Safety Improvements
APPROVED FY 2026 - 2030 Capital Improvement Program
47
F. Route 177/Route 666 Intersection Improvements
G. Route 460 Multimodal Improvements