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HomeMy WebLinkAbout2012-11-21 - Board of Directors Meeting Agenda Packet Yorba Linda Hater District AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Wednesday, November 21, 2012, 8:30 AM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. PLEDGE OF ALLEGIANCE 3. ROLL CALL Phil Hawkins, President Gary T. Melton, Vice President Michael J. Beverage Ric Collett Robert R. Kiley 4. ADDITIONS/DELETIONS TO THE AGENDA 5. PUBLIC COMMENTS Any individual wishing to address the Board is requested to identify themselves and state the matter on which they wish to comment. If the matter is on the agenda, the Board will recognize the individual for their comment when the item is considered. No action will be taken on matters not listed on the agenda. Comments are limited to matters of public interest and matters within the jurisdiction of the Water District. Comments are limited to five minutes. 6. CONSENT CALENDAR All items listed on the consent calendar are considered to be routine matters, status reports, or documents covering previous Board instructions. The items listed on the consent calendar may be enacted by one motion. There will be no discussion on the items unless a member of the Board, staff, or public requests further consideration. 6.1. Minutes of the Board of Directors Regular Meeting Held November 8, 2012 Recommendation. That the Board of Directors approve the minutes as presented. 6.2. Payments of Bills, Refunds, and Wire Transfers Recommendation. That the Board of Directors ratify and authorize disbursements in the amount of$2,048,640.26. 6.3. Cell Tower Modifications-Highland Site Recommendation. That the Board of Directors authorize the Acting General Manager to sign the consent letter between Crown Castle and the Yorba Linda Water District authorizing modifications of the Highland Reservoir cellular site location. 6.4. Investment Report for Period Ending September 30, 2012 Recommendation. That the Board of Director's receive and file the Investment Report for the Period Ending September 2012. 7. ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board action. 7.1. Recommendations for Award of 2012 Waterline Replacement Project, Phase II, Construction Contract Recommendation. That the Board of Directors relieve the $1,090,000 bid of the low bidder, GRFCO, Inc., due to a clerical error in its bid; release the bid bond of GRFCO, Inc; and award the 2012 Waterline Replacement Project Phase 11 Construction Contract to TB U, Inc., for$1,359,300.11. 8. REPORTS, INFORMATION ITEMS, AND COMMENTS 8.1. President's Report 8.2. Directors' Report 8.3. Acting General Manager's Report 8.4. General Counsel's Report 8.5. Future Agenda Items and Staff Tasks 9. COMMITTEE REPORTS 9.1. Executive-Administrative-Organizational Committee (Hawkins/Melton) • Minutes of meeting held November 19, 2012 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Meeting scheduled December 17, 2012 at 4:00 p.m. 9.2. Finance-Accounting Committee (Kiley/Hawkins) • Meeting scheduled November 26, 2012 at 4:00 p.m. 9.3. Personnel-Risk Management Committee (Beverage/Collett) • Minutes of meeting held November 13, 2012 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Meeting scheduled November 28, 2012 at 4:00 p.m. 9.4. Planning-Engineering-Operations Committee (Collett/Kiley) • Minutes of meeting held November 1, 2012 at 3:00 p.m. • Meeting scheduled December 13, 2012 at 3:00 p.m. 9.5. Public Affairs-Communications-Technology Committee (Melton/Beverage) • Minutes of meeting held November 5, 2012 at 8:30 a.m. • Minutes of meeting held November 20, 2012 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Meeting scheduled December 3, 2012 at 3:00 p.m. 9.6. YLWD-MWDOC-OCWD Joint Agency Committee (Hawkins/Beverage) • Meeting scheduled November 27, 2012 at 4:00 p.m. 9.7. Citizens Advisory Committee (Beverage) • Meeting scheduled November 26, 2012 at 8:30 a.m. 10. INTERGOVERNMENTAL MEETINGS 10.1. YL City Council - November 6, 2012 (Hawkins) 10.2. YL City Council - November 20, 2012 (Melton) 11. BOARD OF DIRECTORS ACTIVITY CALENDAR 11.1. Meetings from November 22, 2012 - December 31, 2012 12. CONFERENCES, SEMINARS, AND SPECIAL EVENTS This section of the agenda is for the Board of Directors to authorize Director attendance at the listed events. 12.1. MWDOC Elected Officials Forum - November 29, 2012 Recommendation. That the Board of Directors authorize Director attendance at this event if desired. 13. CLOSED SESSION The Board may hold a closed session on items related to personnel, labor relations and/or litigation. The public is excused during these discussions. 13.1. Conference with Legal Counsel — Pending Litigation Pursuant to Subdivision (a) of Section 54956.9 of the California Government Code Name of Case: ACWA/JPIA, et al. vs. Insurance Company of the State of Pennsylvania, et al. (OC Superior Court - Case No. 00486884) Name of Case: MAMCO, Inc. vs. YLWD (OC Superior Court - Case No. 00595177) Name of Case: OCTA vs. YLWD (OC Superior Court - Case No. 00606042) Name of Case: OCTA vs. Amelia De Agundez et al. (OC Superior Court - Case No. 00598169) Name of Case: OCTA vs. Tom Smith et al. (OC Superior Court - Case No. 00598177) Name of Case: OCTA vs. Issa Minassian et al. (OC Superior Court - Case No. 00598191) Name of Case: OCTA vs. Jack Goodman and Frances S. Goodman, as Trustees Under the Goodman Family Trust Established June 25, 1985 et al. (OC Superior Court - Case No. 00598208) Name of Case: OCTA vs. Lakeview Industrial Park LLC et al. (OC Superior Court - Case No. 00599071) Name of Case: OCTA vs. Lakeview Orchard Association et al. (OC Superior Court - Case No. 00604657) Name of Case: OCTA vs. Cobblestone 1993 Ltd. et al. (OC Superior Court - Case No. 00604669) Name of Case: OCTA vs. James V. Carone et al. (OC Superior Court - Case No. 00604675) 14. ADJOURNMENT 14.1. The next regular meeting of the Board of Directors will be held Thursday, December 6, 2012 at 8:30 a.m. Items Distributed to the Board Less Than 72 Hours Prior to the Meeting Pursuant to Government Code section 54957.5, non-exempt public records that relate to open session agenda items and are distributed to a majority of the Board less than seventy-two (72) hours prior to the meeting will be available for public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA 92870, during regular business hours. When practical, these public records will also be made available on the District's internet website accessible at http://www.ylwd.com/. Accommodations for the Disabled Any person may make a request for a disability-related modification or accommodation needed for that person to be able to participate in the public meeting by telephoning the Executive Secretary at 714-701-3020, or writing to Yorba Linda Water District, P.O. Box 309, Yorba Linda, CA 92885-0309. Requests must specify the nature of the disability and the type of accommodation requested. A telephone number or other contact information should be included so the District staff may discuss appropriate arrangements. Persons requesting a disability-related accommodation should make the request with adequate time before the meeting for the District to provide the requested accommodation. ITEM NO. 6.1 AGENDA REPORT Meeting Date: November 21, 2012 Subject: Minutes of the Board of Directors Regular Meeting Held November 8, 2012 STAFF RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: Name Description: Type: 110812 BOD - Minutes.doc BOD Mtg Minutes 11/08/12 Minutes Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 RC/GM 4-0-1 RK was absent. MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Thursday, November 8, 2012, 8:30 a.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER The November 8, 2012 Regular Meeting of the Yorba Linda Water District Board of Directors was called to order by Vice President Melton at 8:30 a.m. The meeting was held in the Board Room at the District's Administrative Building located at 1717 East Miraloma Avenue in Placentia, California 92870. 2. PLEDGE OF ALLEGIANCE Vice President Melton led the pledge. 3. ROLL CALL DIRECTORS PRESENT STAFF PRESENT Gary T. Melton, Vice President Steve Conklin, Acting General Manager Michael J. Beverage Lee Cory, Operations Manager Ric Collett Gina Knight, Human Resources and Risk Manager Robert R. Kiley Art Vega, Interim Information Technology Manager Delia Lugo, Senior Accountant DIRECTORS ABSENT Annie Alexander, Executive Secretary Phil Hawkins, President Cindy Botts, Management Analyst John DeCriscio, Chief Plant Operator Anthony Manzano, Senior Project Manager Damon Micalizzi, Public Information Officer Freddie Ojeda, Plant Operator II Cody Peterson, Public Affairs Intern Hank Samaripa, Project Engineer Anthony Varian, Maintenance Distribution Operator I I ALSO PRESENT Brett Barbre, Director, MWDOC Nancy Rikel, Councilmember, City of Yorba Linda Art Kidman, Partner, Kidman Law LLP Andrew Gagen, Partner, Kidman Law LLP Eddy Beltran, Senior Counsel, Kidman Law LLP Daniel Mole, Chair, YLWD Citizens Advisory Committee 4. ADDITIONS/DELETIONS TO THE AGENDA Mr. Conklin requested to remove Item No. 8.6. from the agenda as the low bid contractor has concerns with his proposal for the project and has asked to be released from his bid. Staff is investigating this matter and plans to bring award of the contract back for Board consideration at later date. 1 5. PUBLIC COMMENTS Director Barbre addressed the Board and commented on the election results as they pertained to MWDOC and MWD and a recent agreement between California and Mexico regarding the usage and storage of water from the Colorado River. 6. SPECIAL RECOGNITION 6.1. Recognition of Individuals for their Service to the District • Anthony Varian, Maintenance Distribution Operator 11 (5 Years) • Cindy Botts, Management Analyst (5 Years) • Freddie Ojeda, Plant Operator II (5 Years) • Hank Samaripa, Project Engineer (10 Years) 1W 4WD Messrs. Conklin and Cory introduced the staff members listed above and provided a brief overview of their work history. The Board then commended these individuals for their dedication. • Michael J. Beverage, Director (20 Years) 1% Vice President Melton provided a brief overview of Director Beverage's many years of service for the District. Mr. Conklin presented each individual with a pin commemorating the number of years they had served the District. Messrs. Ojeda, Samaripa and Varian and Mrs. Botts left the meeting at this time. 7. COMMITTEE REPORTS Citizens Advisory Committee (Beverage) kk 1% Minutes of the meeting held October 22, 2012 at 8:30 a.m. were provided in the agenda packet. Mr. Mole addressed the Board and provided a report regarding matters discussed during the meeting. Next meeting is scheduled November 26, 2012 at 8:30 a.m. Mr. Mole left the meeting at this time. 8. CONSENT CALENDAR Director Kiley made a motion, seconded by Director Collett, to approve the Consent Calendar. Motion carried 4-0-1 with Director Hawkins being absent. 8.1. Minutes of the Board of Directors Regular Meeting Held October 25, 2012 Recommendation. That the Board of Directors approve the minutes as presented. 2 8.2. Payments of Bills, Refunds and Wire Transfers Recommendation. That the Board of Directors ratify and authorize disbursements in the amount of$711,382.76. 8.3. Progress Payment No. 5 for the Yorba Linda Blvd Pipeline Project Recommendation. That the Board of Directors approve Progress Payment No. 5 in the net amount of $75,715.00 to Garcia Juarez Construction, Inc. for construction of the Yorba Linda Blvd Pipeline Project, Job No. 200817. 8.4. Approval of Change Order Nos. 11-14 for Pressure Regulating Stations Upgrade Project, Phase 1 & IV Recommendation. That the Board of Directors approve Change Order Nos. 11-14 for six additional work days and $25,568.49 to Video Samarzich, Inc. for construction of the Pressure Regulating Stations Upgrade Project, Job No. 201108.mamm� 14W 8.5. Declaration of Restrictive Covenants with Shapell Industries, Inc. V& -qqEft1b1 19M Recommendation. That the Board of Directors authorize the President and Acting General Manager to execute the Declaration of Restrictive Covenants, subject to approval as to form by General Counsel, with Shapell Industries, Inc., Job No. 200702. (Item No. 8.6. was removed from the agenda.) Mr. Manzano left the meeting at this time. 9. ACTION CALENDAR 111h, 'OkN 9.1. Progress Payment No. 4 for Pressure Regulating Station Upgrades, Phase 1 Mr. Conklin explained that this matter had been placed on the Action Calendar as it was directly related to Item No. 8.4. on the Consent Calendar. The project is approximately 90% complete and staff has been very pleased with the contractor's work. Director Collett made a motion, seconded by Director Kiley, to approve Progress Payment No. 4 in the net amount of $105,480.13 to Video Samarzich, Inc. for construction of Pressure Regulating Station Upgrades Project, Phase 1, Job No. J-201108. Motion carried 4-0-1 with Director Hawkins being absent. 3 9.2. Proposed Revision of Budgeted Positions for the Remainder of FY 2012/13 Mrs. Knight explained that an intern position to provide records management support to the Executive Secretary had been included in the FY 2012/13 budget process. An outside consultant tasked with performing a Records Management Assessment also recommended a limited term full-time position to provide additional support with the records management program in general. Staff presented several different staffing options to the Personnel-Risk Management Committee who recommended replacing the intern position with a temporary part-time position (not to exceed 28 hours per week) without benefits. Director Collett made a motion, seconded by Director Beverage, to adopt Resolution No. 12-27 Revising the Budgeted Positions for the Remainder of Fiscal Year 2012113 and Rescinding Resolution No. 12-20. Motion carried 4-0-1 on a roll call vote with Director Hawkins being absent. 9.3. Timber Ridge Booster Pump and Motor#1 Repairs Mr. Conklin explained that this matter was being brought to the Board for consideration as the amount for the repairs exceeded the District's current purchasing policy limits for one quote and the cost and effort involved in shipping the parts to another company for a second quote was prohibitive. Director Collett made a motion, seconded by Director Kiley, to authorize staff to issue purchase orders to Layne Christensen Company for an estimated total cost of$15,609 for repairs to Timber Ridge Booster Pump #1. qW I Im Director Beverage commented on the reasons why the previous purchasing policy had been revised. Vice President Melton suggested that the policy could be reviewed by the Executive-Administrative- Organizational Committee. V& NNIL Motion carried 4-0-1 with Director Hawkins being absent. 10. REPORTS, INFORMATION ITEMS, AND COMMENTS 10.1. President's Report None. 10.2. Directors' Report ■ DWR/NWRI Drought Response Workshop — November 6, 2012 (Kiley) Director Kiley reported on his attendance at this workshop and suggested that staff review the presentation provided by Darcy Burke from MWDOC. 4 10.3. Acting General Manager's Report Mr. Conklin reported that the Yorba Linda Blvd Pipeline Project was still on schedule and that staff expected to bring a Final Notice of Completion to the Board for consideration in January. Staff will be conducting a bid opening for construction of the Yorba Linda Blvd Booster Pump Station Project later that afternoon. Directors Melton and Kiley will be representing the District in the upcoming Yorba Linda Fiesta Days Parade with the assistance of Mr. Cory who will be driving his antique truck and Doug Baker who will be driving the District's new dump truck. Several other staff members will be helping to provide water to participants in the 5K run being held that same morning as well as to band members participating in the parade. With the recent hot weather, two red flag warnings were issued October 25-27, 2012 and November 4-5, 2012. At the request of the Planning- Engineering-Operations Committee, Mr. Conklin invited Mr. DeCriscio to provide the Board with a brief overview of staff's actions following the receipt of a red flag warning. Mr. DeCriscio then responded to questions from the Board regarding water quality issues. Mr. DeCriscio left the meeting at this time. look 10.4. General Counsel's Report None. 10.5. Future Agenda Items and Staff asks None. 11. COMMITTEE REPORTS CONTINUED 11.1. Executive-Administrative-Organizational Committee (Hawkins/Melton) Next meeting is scheduled November 19, 2012 at 4:00 p.m. 11.2. Finance-Accounting Committee (Kiley/Hawkins) Minutes of the meeting held October 24, 2012 at 1:00 p.m. were provided in the agenda packet. Next meeting is scheduled November 26, 2012 at 4:00 p.m. 5 11.3. Personnel-Risk Management Committee (Beverage/Collett) Minutes of the meeting held October 23, 2012 at 4:00 p.m. were provided in the agenda packet. Next meeting is scheduled November 13, 2012 at 4:00 p.m. 11.4. Planning-Engineering-Operations Committee (Collett/Kiley) Am Minutes of the meeting held November 1, 2012 at 3:00 p.m. will be provided at the next regular Board meeting. Next meeting is scheduled December 13, 2012 at 3:00 p.m. 11.5. Public Affairs-Communications-Technology Committee (Melton/Beverage) 19M 110h, Minutes of the meeting held November 5, 2012 at 8:30 a.m. will be provided at the next regular Board meeting. V& _qqE26I Next meeting is scheduled December 3, 2012 at 3:00 p.m. 6 No 11.6. YLWD-MWDOC-OCWD Joint Agency Committee (Hawkins/Beverage) Im Next meeting is scheduled November 27, 2012 at 4:00 p.m. 12. INTERGOVERNMENTAL MEETINGS 12.1. WACO — November 2, 2012 (Kiley) Director Kiley attended and commented on the presentations regarding pension reform which were provided during the meeting. 12.2. YL City Council — November 6, 2012 (Hawkins) Director Hawkins will provide his report on this meeting at the next regular Board meeting. 12.3. MWDOC/MWD Workshop — November 7, 2012 (Melton/Staff) Director Melton was unable to attend this meeting. 12.4. OCWD Board — November 7, 2012 (Kiley/Staff) Director Kiley attended but did not have any District related business to report. 13. BOARD OF DIRECTORS ACTIVITY CALENDAR 13.1. Meetings from November 9, 2012 — December 31, 2012 The Board reviewed the activity calendar and made no changes. 6 14. CONFERENCES, SEMINARS, AND SPECIAL EVENTS 14.1. MWDOC Elected Officials Forum — November 29, 2012 Director's Melton and Kiley both expressed an interest in attending this event. (Authorization for Director attendance at this event will be forwarded to the next Regular Board meeting as no motion to approve this action was made.) 15. CLOSED SESSION "AV The meeting was adjourned to Closed Session at 9:23 a.m. All Directors with the exception of Director Hawkins were present. Also present were Mrs. Knight and Messrs. Conklin, Kidman, Beltran and Gagen. 15.1. Conference with Legal Counsel — Pending Litigation Pursuant to Subdivision (a) of Section 54956.9 the California Government Code Name of Case: ACWA/JPIA, et al vs. Insurance Company of the State of Pennsylvania, et al (OC Superior Court — Case No. 00486884) amph, Nam as MAMCO, Inc. vs. Yorba Linda Water District (OC Superior Court — Case No. 00595177) Name of Case: OCTA vs. YLWD (OC Superior Court — Case No. 00606042) The Board reconvened in Open Session at 10:05 am. Vice President Melton announced that no action was taken during Closed Session that was required to be reported under the Brown Act. 16. ADJOURNMENT 16.1. The meeting was adjourned at 10:06 am. A Board of Directors workshop meeting has been scheduled for Thursday, November 15, 2012 at 8:30 a.m. (This meeting was subsequently rescheduled to 8:00 a.m. the same day.) The next regular meeting of the Board of Directors will be held Wednesday, November 21, 2012 at 8:30 a.m. Annie Alexander Assistant Secretary 7 ITEM NO. 6.2 AGENDA REPORT Meeting Date: November 21, 2012 Budgeted: Yes To: Board of Directors Cost Estimate: $2,048,640.26 Funding Source: All Funds From: Steve Conklin, Acting General Manager Presented By: Stephen Parker, Finance Dept: Finance Manager Prepared By: Maria Trujillo, Accounting Assistant I Subject: Payments of Bills, Refunds, and Wire Transfers SUMMARY: Section 31302 of the California Water Code says the District shall pay demands made against it when they have been approved by the Board of Directors. Pursuant to law, staff is hereby submitting the list of disbursements for Board of Directors' approval. STAFF RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of$2,048,640.26. DISCUSSION: The wires and major item on this disbursement list are as follows: A wire of$243,664.00 to CalPERS for 2012-2013 OPEB Contribution; a wire of$1,305,228.19 to MWDOC for September water purchase; and, a check of$69,471.00 to Kidman Law for October legal services. The balance of$188,574.68 is routine invoices. The Accounts Payable check register total is $1,806,937.87; Payroll No. 23 total is $241,702.39; and, the disbursements of this agenda report are $2,048,640.26. A summary of the checks is attached. ATTACHMENTS: Name: Description: Type: CkReg112112 BOD.pdf Check Register Backup Material 12-CS 1121.doc Cap Sheet Backup Material 12 CC 1121.xls Credit Card Summary Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 RC/GM 4-0-1 RC abstained from voting on Check No.60259 as he has a financial interest with the vendor. RK was absent. Yorha Linda Water District Check Register For Checks Dated: 11/09/2012 thrtJ 11/21/2012 Check No. Date Vendor Name Amount Description 60202 11/21/2012 Air Resources Board 820.00 PERMIT RENEWAL 60197 11/21/2012 Anaheim Wheel&Tire 241.75 VEHICLE MOUNT/BAL TIRES 60198 11/21/2012 Anthem Blue Cross EAP 164.01 ANTHEM BC EAP NOVEMBER 60199 11/21/2012 Apollo Technologies Inc. 430.00 WTR TRTMTICLSD LOOPS 60200 11/21/2012 Aqua-Metric Sales Co. 20,624.06 IPERL TR/PL 60201 11/21/2012 Aramark 1,021.49 UNIFORM 60212 11/21/2012 ARC 25.85 WTRLN PH 11 PLANWELL SPECS 60203 11/21/2012 Art Vega 917.84 WIN CONN CONF LV VEGA 60204 11/21/2012 Ayala Engineering 13,750,00 SEWER LINE REPAIR 60215 11/21/2012 C.Wells Pipeline 730.55 AIR VAC 60205 11/21/2012 Cal Society-Municipal Finance Office 175.00 CSMFO/CMTA LNCH FINANCE 60207 11/21/2012 CalCard U5 Bank 15,180.85 CAL CARD YLWD VISA 60206 11/21/2012 Calolympic Safety Co. 87.23 FILTER BLOK W110512 11/09/2012 CaIPERS 243,664.00 OPEB CONTRIBUTION 2012-2013 60208 11/21/2012 CDW Government,Inc 2,934.63 MISC IT SUPPLIES 60194 11/21/2012 CHUL KON YANG 40.50 CUSTOMER REFUND 60209 11/21/2012 City Of Anaheim 2,573.57 SERVICES OCTOBER 60210 11/21/2012 City Of Brea 62.00 OCEMO QTR MTG HULBERT,HILL 60211 11/21/2012 City Of Placentia 6,401.44 SEWER FEES/PLACENTIA OCT 60214 11/21/2012 Culligan of Santa Ana 1,665.85 WTR SOFTENER SVC 60216 11/21/2012 Dapper Tire Co. Inc. 561.14 UNIT 157 TIRES 60217 11/21/2012 Datalok Orange County 122.90 DATA STORAGE 60218 11/21/2012 Dell Marketing L.P. 963.44 THIN CLIENT,VLA ACROBAT,SLV 60220 11/21/2012 Delta Wye Electric, Inc. 1,965.00 BLDG 2 COAXIAL CABLE 60219 11/21/2012 DeltaCare USA 265.29 DELTA CARE NOVEMBER 60221 11/21/2012 Derek Nguyen 280.00 ASCE MEM 2013/LA NGUYEN,D 60222 11/21/2012 Diane Dalton 140.00 CWEA DUES 2013 DALTON,D 60223 11/21/2012 Dunweizer Fabrication, Inc. 3,501.88 WELL 1,5 DRIVE SHAFT GUARDS 60224 11/21/2012 Eisel Enterprises, Inc. 2,145.57 437 METER BX, CVR,RDG LID 60225 11/21/2012 Elite Equipment Inc 1,157.25 TRASH PUMP 60226 11/21/2012 Employment Development Departm 788.84 UI BENEFITS JUL-SEPT 60227 11/21/2012 EyeMed 1,29928 EYEMED NOVEMBER 60228 11/21/2012 Flex Advantage 103.50 FLEX A/C PROC OCTOBER 60229 11/21/2012 Fry's Electronics 509.59 USB FLASH DRIVE ETC 60230 11/21/2012 Golden Bell Products 4,465.50 MANHOLES/INSECTA 60231 11/21/2012 Haaker Equipment Co. 656.95 UNIT 168 NOZZLE ETC 60232 11/21/2012 Hach Company 321.37 TEST KITS 60233 11/21/2012 Hall&Foreman, Inc 1,582.50 J1108 CONSULTING OCT 60234 11/21/2012 Infosend Inc. 4,148.74 BILL MAILING,E-BILL PROCESS 60235 11/21/2012 ISDOC(Independent Special Dist CC) 17.00 ISDOC MEETING DIR KILEY 60236 11/21/2012 Jackson's Auto Supply-Napa 74.62 HYDRAULIC/OIL FILTERS 60237 11/21/2012 Jimmy De Anda 95.68 BOOT ALLOWANCE DEANDA J 60238 11/21/2012 Kidman Law 69,471.00 LEGAL SERVICES OCTOBER 60239 11/21/2012 Kimco Staffing Services Inc 1,190.38 C.HOLLAND W/E 10128 60240 11/21/2012 Konica Minolta Business 559.72 COPY CHARGE 60241 11/21/2012 Konica Minolta Business 790.28 BIZHUB C552,181,C220 60242 11/21/2012 Lee& Ro, Inc. 2,340.00 PALM AVE BPS CONSULT OCT 60196 11/21/2012 LGC GEOTECHNICAL INC 689.10 CONSTRUCTION MTR REFUND 60244 11/21/2012 Marina Landscape, Inc 9,888.90 LANDSCAPE MAINT OCTOBER 60245 11/21/2012 Mc Fadden-Dale Hardware 873.96 PORCH OCTOBER,NOVEMBER 60246 11/21/2012 Mc Master-Carr Supply Co. 15.58 ROTARY HAMMER DRILL BIT 60247 11/21/2012 Merchants Building Maintenance LL( 5,488.86 JANITORIAL NOVEMBER 60248 11/21/2012 Minuteman Press 600.70 SVC SHUTOFF DOOR HANGERS W111412 11/14/2012 Municipal Water District 1,305,228.19 WATER PURCH SEPTEMBER 60249 11/21/2012 Nickey Kard Lock Inc 8,48621 FUEL OCTOBER 60250 11/21/2012 Nickey Petroleum Co Inc 2,278.83 MOTOR OIL 60251 11/21/2012 Nicki Hill 113.03 CSTI EMERG MGT TRG 60252 11/21/2012 Office Solutions 676.25 GENL SUPPLY 60253 11/21/2012 Orange County-HCA 80.00 STORAGE TANK FEE 12-13 60254 11/21/2012 Orange County-I W M D 1,364.94 REFUSE DISPOSAL OCTOBER 60256 11/21/2012 Orange County-Tax Collector 10,206.36 PROPERTY TAX 2012-2013 60255 11/21/2012 Orange County Register 1,182.00 PALM AVE BPS PUBLIC NOTICE 60257 11/21/2012 Orange County Water District 4,651.52 EIR SVCS 7/28-8/31 50258 11/21/2012 Orvac Electronics 242.09 CONNECTORS,SLA BATTERY 60262 11/21/2012 P.T.I.Sand&Gravel, Inc. 249.82 FILL SAND 60259 11/21/2012 Placentia Disposal#676 480.66 DISPOSAL OCTOBER 60260 11/21/2012 Praxair Distribution 115.95 CYLINDER RENTAL 60261 11/21/2012 Prudential Group Insurance 3,13512 L/T DISABILITY NOVEMBER 60263 11/21/2012 Quinn Power Systems Associates 73.07 GASKET 60213 11/21/2012 R J NOBLE COMPANY 510.18 CONSTRUCTION MTR REFUND 60264 11/21/2012 Rick Walkemeyer 100.00 ISA DUES WALKEMEYER 60195 11/21/2012 ROBERT VOGEL 15.14 CUSTOMER REFUND 60265 11/21/2012 Robyn Shaw 892.00 DEV CONN CONF LV SHAW 60266 11/21/2012 Schorr Metals,Inc. 10818 ALUM CHANNEL,GRINDER 60267 11/21/2012 Selman Chevrolet Company 16.18 UNIT 152 BOLT 60268 11/21/2012 Shred-it USA Inc 102.88 CONFIDENTIAL DOC SHRED 60270 11/21/2012 So California Door Masters 2,675.00 REPAIR MAIN GATE 60269 11/21/2012 Southern Calif Edison Co. 2,938.61 MIRALOMA, PLUMOSA OCT 60271 11/21/2012 Southern Calif Gas Co. 19,658.11 RICHFIELD 01241070000 OCT 60193 11/14/2012 Stephen Parker 2,000.00 OBTAIN CASHIER CK/CA-GF-FPPC 60272 11/21/2012 Stephen Parker 2332 CALPERS EDUC FORUM PARKER 60274 11/21/2012 Stephen Parker/Petty Cash 146.28 PETTY CASH/OFFICE 60273 11/21/2012 Steven Engineering 941.32 ETHERNET SWITCH ETC 60275 11/21/2012 Survival Technologies and Training 366.88 MEDICAL DIR FEE,AED PADS 60243 11/21/2012 The Lighthouse Inc. 1,325.04 LED LIGHTBAR, LIGHTHEAD 60276 11/21/2012 Time Warner Cable 447.32 HIGH SPEED O/L 60277 11/21/2012 Townsend Public Affairs, Inc. 5,000,00 CONSULTING NOVEMBER 60278 11/21/2012 Underground Service Alert 190.50 NEW TICKETS OCTOBER 60279 11/21/2012 United Industries 309.25 SAFETY GLOVES, HOT CUPS 60280 11/21/2012 Verixon Wireless 1,914.19 CELL PHONE, MOBILE BIB OCT 60281 11/21/2012 Village Nurseries 49.13 SOD MARATHON 2 60282 11/21/2012 Yorba Linda Hardware 59.07 PURCH OCTOBER Total $1,806,937.87 November 21, 2012 CHECK NUMBERS: Manual Check 60193 $ 2,000.00 Computer Checks 60194-60282 $ 256,045.68 $ 258,045.68 WIRE: W-110512 CalPERS $ 243,664.00 W-111412 MWDOC $ 1,305,228.19 $ 1,548,892.19 TOTAL OF CHECKS AND WIRES $ 1,806,937.87 PAYROLL NOS. 23: Direct Deposits $ 157,650.09 Third Party Checks 5421-5431 $ 43,497.59 Payroll Taxes $ 40,554.71 TOTAL OF PAYROLL $ 241,702.39 ---------------------------------------------------------------------------------------------------------------------- DISBURSEMENT TOTAL: $ 2,048,640.26 ------------------------------------------------------------------ ------------------------------------------------------------------ APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF NOVEMBER 21, 2012 ------------------------------------------------------------------ ------------------------------------------------------------------ Cal Card Credit Card U S Bank 11/01/2012-11/15/2012 Date Vendor Name Amount Description 11/01/12 OC Register 145.68 Delivery 26 weeks 11/01/12 CSMFO 110.00 CSMFO dues 2013 Lugo 11/01/12 Inland Group 215.50 Downloads/Newsletter 11/01/12 Quinn Company 3,033.09 All G/E Spark plugs etc 11/06/12 CSMFO 110.00 CSMFO dues 2013 Parker 11/06/12 Terminix 2,153.40 Annual Pest control 11/07/12 Office Solutions 436.97 Folding Tables 11/02/12 CSDA 4,925.00 Annual membership Dir/GM,Adm 11/05/12 CSDA 575.00 CSDA Board Secretary Conf Alexander 11/08/12 Amazon 25.63 Protective cover/Infinity Pad 11/01/12 Brown & Caldwell 200.00 Ad/HRTech 11/02/12 Brown & Caldwell 200.00 Ad/Maint Worker 1 11/05/12 Orange Tree Deli 293.28 Refreshments/Workshop 11/01/12 Schorr Metals 93.68 Metal/Picture frame mount 11/01/12 Staples 221.73 Toner 11/01/12 West Coast Safety 362.29 Skid Assembly 11/06/12 Inland Kenworth 49.94 Ignition keys 11/06/12 Westrux 59.55 Ignition/Door key 11/06/12 Home Depot 696.47 Concrete,topper 11/07/12 Staples 263.32 Drum 11/01/12 Bell Pipe 12.55 Well 11 cap 11/01/12 Home Depot 46.24 Well 20 supplies 11/01/12 Schorr Metals 41.18 Metal/Picture frame rack 11/01/12 Hopkins Technical Prod 443.62 PM kits/CL2 system 11/08/12 Holiday Inn Burbank 466.74 Lodging/CSTI Emer Mgt trg Hill,Nicki TOTAL 15,180.86 ITEM NO. 6.3 AGENDA REPORT Meeting Date: November 21, 2012 Budgeted: N/A To: Board of Directors Funding Source: N/A From: Steve Conklin, Acting General Manager Presented By: Steve Conklin, Acting General Dept: Engineering Manager Reviewed by Legal: Yes Prepared By: Hank Samaripa, Project CEQA Compliance: N/A Engineer Subject: Cell Tower Modifications-Highland Site SUMMARY: Per the Ground Lease Agreement between STC One, LLC (Sprint) and the District, Sprint is allowed to modify the existing cell tower site at Highland Reservoir site. Sprint has authorized Global Signal Acquisitions GSA (a Crown Castle Company) to contact the District and present these modifications for review and approval. The District's staff has reviewed the plans and finds the modification plans to have no impact on the District and in compliance with the terms of the lease. STAFF RECOMMENDATION: That the Board of Directors authorize the Acting General Manager to sign the consent letter between Crown Castle and the Yorba Linda Water District authorizing modifications of the Highland Reservoir cellular site location. DISCUSSION: STC One, LLC (Sprint) and Global Signal Acquisitions 111 LLC (GSA) entered a ground lease agreement with the District on November 8, 2007 which went in effect on January 1, 2008 to operate a cellular communication site at Highland Reservoir. In the agreement, the lease allows certain types of modifications without consequences. This item is such a request for modifications of an existing system. The proposed modifications are: remove 9 existing antennas on monopine pole, replace with 6 new antennas, remove 6 existing tower mounted amplifier and replace with 3 new tower mounted amplifiers, install fiber from existing cabinet to new antennas. The District's staff has reviewed the plans and finds the modification plans to have no impact on the District and in compliance with the terms of the lease. A copy of the consent letter is attached for review and information. PRIOR RELEVANT BOARD ACTION(S): On November 8, 2007, the Board of Directors authorize the President and Secretary to execute the Ground Lease agreement with Sprint and the Yorba Linda Water District for the purpose of establishing a cellular communication site at the Highland Reservoir location. ATTACHMENTS: Description: Type: CrownCastleConsentLetter110712.pdf CrownCastel Consent Letter110712 Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 RC/GM 4-0-1 RK was absent. Crown Castle Kelly A McDonough CAR 38 Executive Park, Suite 3'10 Tel (949)930-4347 Irvine, CA 92614 Fax(724)416-6261 kelly.mcdonough@crownc-astle.com November 2, 2012 VIA EMAIL hsamaripa @ylwd.com Yorba Linda Water District Attn: Hank Samaripa 1717 East Miraloma Avenue Placentia, CA 92870 Re: GROUND LEASE AGREEMENT dated January 1, 2008 SITE ID: BUN 878991 - LKBED PK- HIGHLAND RESERVOIR S7E LOCATION: 5252 Highland Avenue, Yorba Linda CONSENT FOR MODIFICATIONS Dear Mr. Samaripa, Pursuant to an agreement between STC One, LLC ("Sprint") and Global Signal Acquisitions III LLC ("GSA"), GSA subleases and/or otherwise operates the tower site that is subject to the Lease on behalf of Sprint. GSA is a Crown Castle company. GSA and its subsidiaries own and operate shared wireless communication facilities. In order to better serve the public, minimize the amount of towers in an area where a Lease is located, and/or improve the financial viability of a site, GSA plans to modify T Mobile's equipment at the wireless communication facility. Sprint has authorized GSA to contact you and request consent to the modification of the existing equipment. Pursuant to Paragraph 3 of your Lease, Sprint is required to obtain your consent, which cannot be unreasonably withheld, conditioned or delayed. Lessee will not modify Sprint's equipment without obtaining all required approvals from any government authorities. Therefore, GSA, on behalf of Sprint, respectfully requests your consent to this modification. Please indicate your consent by executing this letter where indicated below and return one to me at the mailing address and/or email address. If you have any questions concerning this request, please contact me at 949-930-4347. Yours truly, Kelly McDonough Property Specialist- West Area Agreed and accepted this day of 2012 (Lessor's signature) ITEM NO. 6.4 AGENDA REPORT Meeting Date: November 21, 2012 To: Board of Directors From: Steve Conklin, Acting General Manager Presented By: Stephen Parker, Finance Dept: Finance Manager Prepared By: Delia Lugo, Senior Accountant Subject: Investment Report for Period Ending September 30, 2012 SUMMARY: Government Code Section 53607, et, seq., requires the person delegated to invest funds to make a quarterly report of the investments to the legislative body. STAFF RECOMMENDATION: That the Board of Director's receive and file the Investment Report for the Period Ending September 2012. DISCUSSION: Staff is submitting the Investment Report for the Period Ending September 2012 for the Board's review and approval. This report ends the first quarter for FY 2012/13. The Investment Portfolio Report presents the market value and percent yield for all the District investments by institution. The Investment Report Summary includes budget and actual interest and average term portfolio information as well as market value broken out by reserve categories. The total average portfolio yield for the month of September 2012 was 0.78%. PRIOR RELEVANT BOARD ACTION(S): Investment reports are presented to the Board of Directors on a quarterly basis. The Investment Report for the Period Ending June 30, 2012, was received and filed by the Board of Directors on August 9, 2012. ATTACHMENTS: Description: Type: Invst Rpt 9-12.xlsx Investment Report for Period Ending Sept.2012 Backup Material Invst Agenda Backup - September 2012.xlsx Agenda Backup Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 RC/GM 4-0-1 RK was absent. Yorba Linda Water District Investment Portfolio Report September 30, 2012 Market % Percent Value Cost of Total Institution Yield Checking Account: $ 185,526 $ 185,526 Wells Fargo Bank $ 185,526 $ 185,526 1.04% Total 0.00% Money Market Accounts: $ 54,936 $ 54,936 Wells Fargo Money Market 0.05% 2,000,629 2,000,629 Bank of the West 0.35% 2,700 2,700 US Bank(2008 Bond Reserve) 0.04% $ 2,058,265 $ 2,058,265 11.51% Total 0.34% Federal Home Loan Bank: 2,156,835 $ 2,144,397 US Bank(2008 Bond Reserve) 1.35% $ 2,156,835 $ 2,144,397 12.06% 1.35% Pooled Investment Accounts: $ 2,990,701 $ 2,990,701 Local Agency Investment Fund 0.38% 201,189 201,189 Ca1TRUST Short Term 0.37% 10,285,568 10,237,886 Ca1TRUST Medium Term 0.88% $ 13,477,458 $ 13,429,776 75.39% 0.76% $ 17,878,084 $ 17,817,964 100% Total Investments 0.78% Per Government Code requirements,the Investment Report is in compliance with the Yorba Linda Water District's Investment Policy, and there are adequate funds available to meet budgeted and actual expenditures for the next six months. Delia Lugo, Senior Accountant 9/30/12 Investment Summary Report Below is a chart summarizing the yields as well as terms and maturities for the month of September 2012: Avg. Portfolio Avg. Portfolio #of Month Yield Without Yield With Days to of 2012 CaITRUST CaITRUST Maturity September 0.63% 0.78% 93 Below is are charts comparing operating fund interest for current and prior fiscal years. Actual Interest 9/30/2011 9/30/2012 Monthly-September $ 23,259 $ 9,803 Year-to-Date $ 48,083 $ 21,881 Budget 2011/2012 2012/2013 Interest Budget, September YTD $ 47,500 $ 37,500 Interest Budget, Annual $ 190,000 $ 150,000 Interest earned on investments is recorded in the fund that owns the investment. Investment Summary Comparison Between Current and Previous Month The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds is as follows: August 2012 %Alloc September 2012 %Alloc Fund Description Balance 8/31/2012 Balance 9/30/2012 Water Operating Reserve $ 1,965,551 6.63% $ 2,618,551 14.80% Water Emergency Reserve 1,004,574 5.47% 1,005,326 5.68% Water Capital Project Reserve 10,172,163 54.64% 9,146,146 51.69% Water Reserve for Debt Service 1,590,419 7.13% 137,513 0.78% Maintenance Reserve 200,214 1.09% 200,214 1.13% COP Revenue Bond 2008- Reserve 2,161,078 11.77% 2,159,534 12.21% COP Revenue Bond 2008 14,550 0.08% - 0.00% Sewer Operating 161,475 0.88% 161,488 0.91% Sewer Emergency Reserve 1,003,570 5.46% 1,004,321 5.68% Sewer Capital Project Reserve 1,258,642 6.85% 1,259,464 7.12% $ 19,532,235 100.00% $ 17,692,557 100.00% Wells Fargo Bank Checking Water Operating 198,531 100,153 Sewer Operating 48,882 85,374 247,413 185,527 Totals $ 19,779,648 $ 17,878,084 ITEM NO. 7.1 AGENDA REPORT Meeting Date: November 21, 2012 Budgeted: Yes Total Budget: $1.12 M To: Board of Directors Cost Estimate: $1,359,300 Funding Source: Water Capital Reserves From: Steve Conklin, Acting General Account No: 101-2700 Manager Job No: J2011-20 Presented By: Steve Conklin, Acting General Dept: Engineering Manager Reviewed by Legal: Yes Prepared By: Anthony Manzano, Senior CEQA Compliance: Exempt Project Manager Subject: Recommendations for Award of 2012 Waterline Replacement Project, Phase II, Construction Contract SUMMARY: On October 31, 2012, bids were received from 13 contractors for construction of the 2012 Waterline Replacement Project Phase II. On November 2, a letter was received from the low-bid contractor requesting that its bid be relieved. Following review of the bids and follow up data, staff recommends that the low bidder to be relieved of its bid because of a clerical error, and that the contract be awarded to the second-low bidder, TBU, Inc. STAFF RECOMMENDATION: That the Board of Directors relieve the $1,090,000 bid of the low bidder, GRFCO, Inc., due to a clerical error in its bid; release the bid bond of GRFCO, Inc; and award the 2012 Waterline Replacement Project Phase II Construction Contract to TBU, Inc., for $1,359,300.11. DISCUSSION: This project consists of replacing old waterlines and appurtenances in seven locations, ranging from 200 to 3,000 feet, with a total replacement length of approximately 6,700 feet. These locations were identified in the Asset Management Plan and the Capital Improvement Plan as requiring near-term replacement due to age and condition of the pipelines. The project was divided into two phases for construction. Phase 1, a replacement pipeline in Plumosa Drive, has been completed. Phase 2 work is planned for completion by the end of FY 12/13, budgeted at $1,120,000. As summarized above and further described below, staff recommends that the contract be awarded in the amount of $1,359,300.11, which exceeds the budget by $239,300. This work is necessary to replace pipelines that are failing or near so. Staff will continue to monitor the CIP budget and program and advise the Board if budget adjustments are necessary for future projects. On October 31, 2012, sealed bids were received from 13 contractors. The bids range from a low of $1,090,000 to a high of $1,660,630 as shown below. The bid tabulation, bid documents and references were reviewed and checked by District staff. Subsequently, the low-bid Contractor, GRFCO, Inc., submitted a letter stating that they made a clerical error in their bid. Thereafter, they submitted documentation regarding their bid which was reviewed by District staff, confirming that a clerical error was made. Per District counsel's recommendation, on November 14, 2012, GRFCO submitted a signed Mistake Certification Form (copy attached) with required support documentation. The second-low bid from TBU, Inc., was reviewed and checked by District staff and found to be responsive and in full order. Accordingly, staff recommends award to TBU, Inc. in the amount of $1,359,300.11. No. Company Bid 1. GRFCO, Inc. $1,090,000.00 2. TBU, Inc. $1,359,300.11 3. Cedro Construction, Inc. $1,366,450.00 4. E.J. Meyer Co. $1,383,333.00 5. Mike Bubalo Construction Co., Inc. $1,398,000.00 6. TK Construction $1,408,000.00 7. Vido Samarzich Inc. $1,428,000.00 8. JA Salazar Construction & Supply Corp. $1,436,000.00 9. Big Ben Construction $1,447,500.00 10. Lonerock, Inc. $1,486,000.00 11. Kana Pipeline, Inc. $1,487,000.00 12. Vido Artukovich & Son, Inc.Nidmar, Inc. $1,645,000.00 13. MNR Construction, Inc. $1,660,630.00 PRIOR RELEVANT BOARD ACTION(S): On October 14, 2010, the Board of Directors authorized execution of a Professional Services Agreement with RBF, for a fee not to exceed $219,309, to provide engineering design, bidding support services and construction management for the 2010 Waterline Replacement Project. On May 12, 2011, the Board awarded a construction contract in the amount of $568,000 to Kana Pipeline, Inc., for construction of the 2010 Waterline Replacement Project, Phase 1 - Plumosa Drive. ATTACHMENTS: Name: Description: Type: Mistake Certification - Signed with Atmnts 11-14 Mistake Certification Form-Signed w/attachments Backup Material 12.Pdf Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 MB/RC 4-0-1 RK was absent. ® Yorba Lynda Water District MISTAKE CERTIFICATION FORM By my signature on this Form, I certify, under penalty of Perjury that the information contained in the November 2, 2012 and November 7, 2012 ernails sent by me to Anthony Manzano, Sr. Project Manager, Yorba Linda Water District, including the email attachments thereto, is true and correct. Signatu cof Bidder{ FRCO, Inc.} B y- Name: Geo��'I;e Frost Title: P,rV11 -1-nt Date: ice_ 482848283M -ii GRFCO, Inc, GeneralEn9ineering P.O.Box 7899 MoreRoYalley,el 975227689 Ph: (951)657-8887 Fx: (951)657-0111 November 2, 2012 sent via email: armanzano @ylwd.com & fax: (714) 424-8526 Yorba Linda Water District 1717 E. Miraloma Avenue Placentia, CA 92870 Attention: Mr. Anthony Manzano, P.E. Project Engineer Reference: 2012 Waterline Replacement Project- Phase II Project: J2011-20 Subject: Bid Relief Due to Clerical Error Dear Mr. Manzano, Thank you for the opportunity to bid on the above referenced project. After reviewing GRFCO's in house bidding form and the figures used to arrive at the total bid amount, it has become apparent that our estimator inadvertently made a clerical error when adding up the numbers. This mistake made the total bid materially different than what it was intended to be; thus the Contract Bid Form was filled out incorrectly. This firm regretfully requests that our bid be withdrawn from this project and that our bid bond be returned in accordance with Section 5101 and 5103 of the Public Contracts Code. Supplemental information will be forwarded upon request. Pursuant to California Public Contract Code 5103, GRFCO has represented the following: • A mistake was made. • The mistake made the bid materially different that what was intended. • The mistake was made in filling out the bid and not due to an error in judgment. GRFCO apologizes for any inconvenience this may have caused. We do appreciate your patience and understanding through the completion of this matter. GRFCO, Inc, Senera/Eegineering P.9.Bea76®9 Meren®dalley CQ 925227689 Page 2 of 2 November 2, 2012 Yorba Linda Water District I the ev t you should have any questions, please don't hesitate to call at your earliest convenien e. Thank you for your time. incerely Ge e rost resident GF:fn Name Time FINAL 1 PI v2 FITTINGS ,x! �.�• -�...--_-_.....,�-...v,�.,u 3 LA80R{MA.,OOMPA .-:7,!, 3:A TEE-INMC 38 TEMP AC) 30 WATER SEWCE 30 POTHOLE 4 STRUO?UREB-f(IOKERB-MAMNAY null 5 A9PHIALiPC vSTREET SECTION (INC.ABM)RFR�7 9 GRIND-OVERLAY .7 ROCK-SAND(A 8 8)IMPORT BKIi', 8 STRIPS-TRAFFIC-DETOURS�.r 9 HAUL CFF 5 MISC.TRUCKINp_�! ..__. -w ^f 10 ENOA8EMFNFMX_W_A �DEWTR. . 11 MISC RESTORATION(FENCE&LANDSCAPE) 12 EW.WORK -8HvRTRAE 14 SWEEPER-EQUIP.REW �- 14 FUEL-TIRES-OIL-PARTS r* 15 911C)ftE EQUIP,JP:C:KB-8EAMt P418•'FRANB tebRAblNq•QLW 5 GRUB CONRRti,W&TER 17 INSURANCE(FLOOD,RISK R.R.) fo,' T%ma of MOB-'INSP.TR4.1 .i� BORE-JACK PIPE-TVNN PIi8 &OL)Tll ......._ ` -,/�..� X20 WE1 DID -BM17 CATRNOOIGk{DT TARB� �i� 21 TEST-CM p 22 TOOL&MISC 6t"L•IEe 23 SWPPP-BMP x4 28 MISC.$0 fLkM8 y� �ze sugroTa(.aND_ � 27 OVER"AD/PRO D: 28 TOTAL: f f ITEM NO. 9.4 AGENDA REPORT Meeting Date: November 21, 2012 Subject: Planning-Engineering-Operations Committee (Collett/Kiley) • Minutes of meeting held November 1, 2012 at 3:00 p.m. • Meeting scheduled December 13, 2012 at 3:00 p.m. ATTACHMENTS: Name: Description: Type: 110112 - PEO Minutes.docx PEO Mtg Minutes 11/01/12 Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT PLANNING-ENGINEERING-OPERATIONS COMMITTEE MEETING November 1, 2012 A meeting of the Planning-Engineering-Operations Committee was called to order by Director Collett at 3:00 p.m. The meeting was held at the District's Administrative Office at 1717 E Miraloma Ave, Placentia CA 92870. COMMITTEE STAFF Director Ric Collett, Chair Steve Conklin, Acting General Manager Director Robert R. Kiley Lee Cory, Operations Manager John DeCriscio, Chief Plant Operator Gina Knight, HR and Risk Manager 1. PUBLIC COMMENTS None. 2. ACTION CALENDAR 2.1. Award of Construction Contract for 2012 Waterline Replacement Project, Phase II Mr. Conklin reported that bids were received on October 31, 2012 from 13 bidders for construction of the 2012 Waterline Replacement Project, Phase II, with bids ranging from $1,090,000 to $1,660,630. Following discussion the Committee supported the staff recommendation that the Board award the contract to the low bidder, GRFCO, Inc., for $1,090,000. 2.2. Approval of Change Order Nos. 11-14 for Pressure Regulating Stations Upgrade Project, Phase 1 Mr. Conklin reported that construction is progressing on the fourth of four sites for the Pressure Regulating Stations Upgrade Project, Phase 1. He described the changed conditions and extra work required. Following discussion, the Committee supported the staff recommendation that the Board approve Change Order Nos. 11-14 for six additional work days and $25,568.49 for Vido Samarzich, Inc., for the subject project. 2.3. Declaration of Restrictive Covenants with Shapell Industries, Inc. Mr. Conklin reported that the District has a water and sewer pipeline easement within Tract No. 16987, and that Shapell Industries is requesting to construct a block wall within that easement. In accordance with District policy, a Declaration of Restrictive Covenants is required to protect the District's rights. Following discussion the Committee supported the staff recommendation that the Board execute the Declaration of Restrictive Covenants for the subject project with Shapell Industries, subject to approval as to form by General Counsel. 1 2.4. Timber Ridge Booster Pump and Motor#1 Repairs Mr. DeCriscio reported that the subject booster pump failed, and at the request of District staff, Layne Christensen Company provided the District with proposals to pull the pump and motor, provide a report and an estimate for the repairs. District staff reviewed and approved the proposal and authorized the work for pulling the pump and motor and delivery to the shop ($4936) which was within the District's purchasing policy limits. However, the total cost for repairs and resetting the pump and motor will exceed the single-quote requirements set in our existing purchasing policy. Mr. DeCriscio noted that the last quote just received indicated that the total cost will be in the range of $16,000. This item is being brought to PEO and the Board because its overall cost will exceed policy limits for one-quote. Following discussion, the Committee supported staff's recommendation for Board approval of the repair costs, and asked that staff provide recommendations for consideration by the Board as to how the purchasing policy might be amended to cover to repair cost of larger equipment. 3. DISCUSSION ITEMS 3.1. Meter Testing Update Mr. Conklin reviewed the meter testing update report with the Committee. He reviewed information prepared by the Finance Department on the investigation and estimates on the rate-of-return for change-out of the east side meters. He also provided an update on visits of District staff to IRWD to see their meter-testing facility and to perform a test on three YLWD meters. Mr. Conklin also provided information collected on the cost and viability of building and equipping a test-bench and system for in-house meter testing. After discussion, the Committee asked that the Finance Department continue to investigate these and other items and to return with an update at the December PEO meeting. 3.2. Completion of Lead and Copper Rule Sampling Mr. Conklin reported that District staff completed the above sampling program, which is required by State Health Dept every three years. Water samples were collected as 38 homes throughout the District, provided by customers who volunteered to participate and provide the samples. The findings were that our samples for lead and copper were well below the Action Level established by State Health. 3.3. Monthly Groundwater Production and Purchased Import Water Report Mr. DeCriscio reported that monthly water demand was 20.6% over the projection, and that for the first four months of the new FY, we are 10.5% over our projection, which is a reflection of the hot weather we have been experiencing. He noted that for the month, our groundwater use was 45.5% of demand, and that we are ramping up our groundwater use to achieve our annual goal of 50.3% in accordance with our BPP. 2 3.4. Monthly Preventative Maintenance (PM) Report Mr. Cory reported on the status of the PM and Reactive Maintenance Program through October. He noted that the crews have been concentrating on maintenance of valves, air vacs and dead-ends, and will be switching over to hydrants and PRVs in the coming weeks. Work is progressing well. 3.5. Monthly Production Summary Report Mr. DeCriscio reported that in October, the max demand day was 27 MG and the max-day temperature was 101 degrees. There was one Red-Flag event, from Oct 26-28, for which staff prepared the system with extra water in storage, particularly in the reservoirs bordering the wild-lands area. The Committee requested a report at the Nov 8 Board meeting on the preparations made for the Red-Flag event. 3.6. Groundwater Producers Meeting Report Mr. DeCriscio attended the meeting at OCWD and reported on the items discussed. He indicated that the groundwater basin is in good condition, with the aquifer near the target level. He also noted that OCWD indicated that the preliminary draft of the annexation EIR will be released to the annexing parties in December for input and then to the public as a draft EIR by March 2013. 3.7. Status Report on Capital Projects in Progress Mr. Conklin reported on the status of capital projects currently in planning, design and construction. 3.8. Status of Strategic Plan Initiatives Mr. Conklin reported on the status of strategic plan initiatives relating to engineering and operations. 3.9. Future Agenda Items and Staff Tasks The Committee rescheduled the next meeting to December 13 at 3 pm, and requested a status report on the meter program at that meeting, as noted in Item 3.1 above. The Committee adjourned to Closed Session at 4:30 p.m. Messrs. Conklin, Cory and DeCriscio left the meeting and Mrs. Knight joined the meeting at this time. 4. CLOSED SESSION 4.1. Public Employee Performance Evaluation Pursuant to Section 54957 of the California Government Code Title: Acting General Manager 3 The Committee reconvened in Open Session at 5:03 p.m. No action was taken during Closed Session that was required to be reported under the Brown Act. 5. ADJOURNMENT 5.1. The meeting adjourned at 5:05 p.m. The next meeting of the Planning- Engineering-Operations Committee will be held Thursday, December 13, 2012 at 3:00 p.m. 4 ITEM NO. 9.5 AGENDA REPORT Meeting Date: November 21, 2012 Subject: Public Affairs-Communications-Technology Committee (Melton/Beverage) • Minutes of meeting held November 5, 2012 at 8:30 a.m. • Minutes of meeting held November 20, 2012 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Meeting scheduled December 3, 2012 at 3:00 p.m. ATTACHMENTS: Description: Type: 110512 PACT - Minutes.docx PACT Mtg Minutes 11/05/12 Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT PUBLIC AFFAIRS-COMMUNICATIONS-TECHNOLOGY COMMITTEE MEETING November 5, 2012 A meeting of the Public Affairs-Communications-Technology Committee was called to order by Director Melton at 8:30 a.m. The meeting was held at the District's Administrative Office at 1717 E Miraloma Ave, Placentia CA 92870. COMMITTEE STAFF Director Gary T. Melton, Chair Damon Micalizzi, Public Information Officer Director Michael J. Beverage Art Vega, Interim IT Manager 1. PUBLIC COMMENTS None. 2. DISCUSSION ITEMS 2.1. Computerized Maintenance and Management System Project Status Mr. Vega informed the Committee that the current contract addendum for additional services with Westin has expired and a new addendum would be forthcoming extending the term for another year. Mr. Vega further explained that the valve crew has found valves that were not in GIS and the as-builts. These valves are being identified and added to GIS and the as-builts if needed. There were questions regarding the CMMS budget which Mr. Vega answered for the Committee. 2.2. Bottled Water Options for FY 12/13 Mr. Micalizzi presented to the Committee options for increasing the District's Bottled Water Supply for FY12/13, as supply is not meeting increased demands. The Committee decided to keep the current bottle size and double the order for the next Fiscal Year. 2.3. YLWD.com Launch (Verbal Report) Mr. Micalizzi, presented to the Committee the edits suggested during the last meeting. The Committee approved the website for launch. 2.4. Water Lines Redesign & Holiday Newsletter Review (Verbal Report) Mr. Micalizzi presented to the Committee the new design for the Quarterly Newsletter. The Committee approved the new design with only minor edits. The new design will also serve as a shell design for all future District printed material. 1 2.5. Signature/Branding Options for District Administration Building (Verbal Report) Mr. Micalizzi presented to the Committee options for Branding the YLWD Board room with the District's logo and slogan. The Committee discussed preferences and instructed staff to come back with a quote for a design. 2.6. Yorba Linda Fiesta Days & Parade Participation (Verbal Report) Mr. Micalizzi updated the Committee on the District's participation in the upcoming (November 10, 2012) Yorba Linda Fiesta Days. In addition to having two Board Members in the Parade, the District will be providing water to Runners in the 5K Race and to the Bands in the Parade. 2.7. Future Agenda Items and Staff Tasks The Committee discussed having the District join the Placentia Chamber of Commerce and directed staff to do so. 3. ADJOURNMENT 3.1. The meeting was adjourned at 10:04 a.m. The next meeting of the Public Affairs-Communications-Technology Committee will be held Tuesday, November 20, 2012 at 4:00 p.m. 2 ITEM NO. 11.1 AGENDA REPORT Meeting Date: November 21, 2012 Subject: Meetings from November 22, 2012 - December 31, 2012 ATTACHMENTS: Description: Type: BOD - Activities Calendar.pdf Backup Material Backup Material Board of Directors Activity Calendar Event Date Time Attendance by: November 2012 District Offices Closed Thu, Nov 22 7:OOAM District Offices Closed Fri, Nov 23 7:OOAM Citizens Advisory Committee Meeting Mon, Nov 26 8:30AM Beverage Finance-Accounting Committee Meeting Mon, Nov 26 4:OOPM Kiley/Hawkins Joint Committee Meeting with MWDOC and OCWD Tue, Nov 27 4:OOPM Hawkins/Beverage Personnel-Risk Management Committee Meeting Wed, Nov 28 4:OOPM Beverage/Collett Yorba Linda Planning Commission Wed, Nov 28 7:OOPM Collett ISDOC Thu, Nov 29 11:30AM Kiley December 2012 Pub Affairs-Communications-Tech Committee Meeting Mon, Dec 3 3:OOPM Melton/Beverage Yorba Linda City Council Tue, Dec 4 6:30PM Hawkins MWDOC/MWD Workshop Wed, Dec 5 8:30AM Melton/Staff OCWD Board Wed, Dec 5 5:30PM Kiley/Staff Public Financing Corporation Regular Meeting Thu, Dec 6 8:30AM Board of Directors Regular Meeting Thu, Dec 6 8:30AM Personnel-Risk Management Committee Meeting Mon, Dec 10 4:OOPM Beverage/Collett CRWUA Conference Wed, Dec 12 8:OOAM Beverage LAFCO Wed, Dec 12 9:OOAM Beverage CRWUA Conference Thu, Dec 13 8:OOAM Beverage/Melton Planning-Engineering-Operations Committee Meeting Thu, Dec 13 3:OOPM Collett/Kiley CRWUA Conference Fri, Dec 14 8:OOAM Beverage Citizens Advisory Committee Meeting Mon, Dec 17 8:30AM Beverage Exec-Admin-Organizational Committee Meeting Mon, Dec 17 4:OOPM Hawkins/Melton Finance-Accounting Committee Meeting Tue, Dec 18 12:OOPM Kiley/Hawkins Yorba Linda City Council Tue, Dec 18 6:30PM Melton Pub Affairs-Communications-Tech Committee Meeting Wed, Dec 19 4:OOPM Melton/Beverage Board of Directors Regular Meeting Thu, Dec 20 8:30AM District Offices Closed Mon, Dec 24 7:OOAM District Offices Closed Tue, Dec 25 7:OOAM 11/14/2012 4:11:09 PM ITEM NO. 12.1 AGENDA REPORT Meeting Date: November 21, 2012 Subject: MWDOC Elected Officials Forum - November 29, 2012 STAFF RECOMMENDATION: That the Board of Directors authorize Director attendance at this event if desired. ATTACHMENTS: Description: Type: Elected Officials YLWD.docx Backup Material Backup Material Elected Officials Agenda 11-29-12.docx Backup Material Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/21/2012 RC/MB 4-0-1 RK was absent. October 25, 2012 The Honorable Phillip Hawkins Board President Yorba Linda Water District 1717 E. Miraloma Ave. Placentia, CA 92870 Subject: MWDOC Board and Member Agency Elected Officials' Forum November 29, 2012—6:00 to 8:00 p.m. Dear President Hawkins, The Municipal Water District of Orange County (MWDOC)is the wholesale water provider and regional planning agency for twenty-seven water retailers and the Orange County Water District. Our activities include Metropolitan representation, Metropolitan policy and rate development and implementation, water use efficiency, water resource planning, Federal and State grant procurement, governmental relations and public information and education in support of our member agencies. We would like to invite you to our fourth elected officials' meeting to increase elected officials' knowledge of and input to MWDOC and its activities. We are holding our meeting on November 29, 2012 from 6:00 to 8:00 pm at our office (18700 Ward Street,Fountain Valley)in the Boardroom. The draft agenda is enclosed. We request that each city and water district designate an elected official to attend the meeting as their official representative. Other elected officials and staff, of course, are welcome. Because of the hour, we will provide a modest meal of sandwiches and salads. Thank you for your participation in this event. In order to provide name plates and sufficient seating,please notify Pat Meszaros at 714/593-5025 (pmeszaros2mwdoc.com) of your official designee and the total number of representatives attending. Please do not hesitate to call our General Manager,Kevin Hunt, at 714/593-5026 (khunt(c,mwdoc.com) should you have any questions or suggestions. Sincerely, Brett R. Barbre Director, Division 1 c: Steve Conklin, Interim General Manager MWDOC Board and Elected Officials' Forum November 29, 2012 6:00 — 8:00 pm AGENDA 1. Introductions 2. Purpose of the Meeting 3. Additions to the Agenda 4. Water Rate Trends 5. Bay Delta Conservation Plan 6. MWDOC's Core and Choice Programs 7. Current Project Updates a. Second Lower Cross Feeder b. Water Use Efficiency Master Plan c. South Orange Coastal Ocean Desalination Project d. Poseidon Huntington Beach Ocean Desalination Project 8. Other 9. Thank you