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HomeMy WebLinkAbout2019-09-10 - Board of Directors Meeting Agenda Packet (B)AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING  Tuesday, September 10, 2019, 6:30 PM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. PLEDGE OF ALLEGIANCE 3. ROLL CALL   Brooke Jones, President Phil Hawkins, Vice President Andrew J. Hall, Director J. Wayne Miller, Director Al Nederhood, Director 4. ADDITIONS/DELETIONS TO THE AGENDA  Items may be added to the agenda upon determination by a two­thirds vote of the Board, or a  unanimous vote if only three Directors are present, that there is a need to take immediate action which  came to the District's attention subsequent to the agenda being posted. (GC 54954.2(b)(2))  5. INTRODUCTIONS AND PRESENTATIONS  5.1. Elected Official Liaison Reports  5.2. Capital Improvement Plan for Fiscal Years 2020­24  5.3. Debt Funding Alternatives for Critical Capital Improvement Projects  5.4. Status of District's Physical Information Assets  5.5. Overview of District's Computerized Maintenance Management System  (CMMS)  5.6. Federal and State Legislative Update 6. PUBLIC COMMENTS  Any individual wishing to address the Board or Committee is requested to identify themselves and state  the matter on which they wish to comment. If the matter is on the agenda, the Chair 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 three minutes and must be related to matters of public interest  within the jurisdiction of the Water District. (GC 54954.3)  7. CONSENT CALENDAR  All items on the consent calendar are considered routine and may be approved by a single motion.  There will be no discussion of these items unless a member of the Board, staff, or public requests  separate consideration.  Page 1 of 98 7.1. Minutes of Board of Directors Regular Meeting Held August 13, 2019 Recommendation:  That the Board of Directors approve the minutes as  presented. 7.2.Payment of Bills, Refunds, and Wire Transfers Recommendation:  That the Board of Directors ratify and authorize  disbursements in the amount of $1,128,311.88. 8.ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board action. 8.1.Scope of Work for Water and Sewer Rate Study Recommendation:  That the Board of Directors approve the proposed Scope  of Work and direct staff to prepare a Professional Services Agreement with  Raftelis Financial Consultants, Inc. (Raftelis) for preparation and development  of a new Water and Sewer Rate Study. 8.2.Association of California Water Agencies (ACWA) Region 10 Election of  Officers and Board Members for 2020­2021 Term Recommendation:  That the Board of Directors consider voting for the  Nominating Committee's recommended slate or individual candidates in the  ACWA Region 10 Board Election. 9.DISCUSSION ITEMS This portion of the agenda is for matters that cannot reasonably be expected to be concluded by action of the Board of Directors at the meeting, such as technical presentations, drafts of proposed policies, or similar items for which staff is seeking the advice and counsel of the Board of Directors. Time permitting, it is generally in the District’s interest to discuss these more complex matters at one meeting and consider formal action at another meeting. This portion of the agenda may also include items for information only. 9.1. Status of Operations Activities 10.REPORTS, INFORMATION ITEMS, AND COMMENTS 10.1. Directors' Reports 10.2. General Manager's Report 10.3. General Counsel's Report 10.4. Future Agenda Items and Staff Tasks 11.COMMITTEE REPORTS 11.1. Interagency Committee with MWDOC and OCWD (Jones/Hawkins)  Next meeting is scheduled September 26, 2019 at 4:00 p.m. Page 2 of 98  11.2. Joint Agency Committee with City of Yorba Linda (Jones/Hawkins)  Next meeting is scheduled September 16, 2019 at 4:00 p.m. at Yorba  Linda City Hall.  11.3. Joint Agency Committee with City of Placentia (Jones/Hawkins)  Next meeting is yet to be scheduled. 12. BOARD OF DIRECTORS ACTIVITY CALENDAR  12.1. Meetings from September 11 ­ October 31, 2019 13. ADJOURNMENT  13.1. The next Regular Board Meeting will be held Tuesday, September 24, 2019.   Closed Session (if necessary) will begin at 5:30 p.m. and regular business at  6:30 p.m. Items Distributed to the Board Less Than 72 Hours Prior to the Meeting Non­exempt materials related to open session agenda items that are distributed to a majority of the Board or  Committee less than seventy­two (72) hours prior to the meeting will be available for public inspection in the lobby  of the District’s Administrative building located at 1717 East Miraloma Avenue, Placentia CA 92870 during regular  business hours. When practical, these materials will also be available on the District’s website  (http://www.ylwd.com/). (GC 54957.5) Accommodations for the Disabled Requests for disability­related modifications or accommodations, including auxiliary aids or services, required for  participation in the above posted meeting should be directed to the Board Secretary at (714) 701­3020 at least 24  hours in advance. (GC 54954.2(a)) Page 3 of 98 ITEM NO. 5.2. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Rosanne Weston, Engineering Manager John DeCriscio, Operations Manager SUBJECT:Capital Improvement Plan for Fiscal Years 2020-24 ATTACHMENTS: 1.PowerPoint Presentation Page 4 of 98 YLWD 5 YEAR CIP PAY-GO&PROPOSED DEBT-FUNDED FY20 FY21 FY22 FY23 FY24 CIP SUBTOTAL WATER AND SEWER PROJECTS (DRAFT 09/04/19) Capital and Rehabilitation and Replacement(R&R)Proiects PH&S I Mickel and Camino Verde Waterline Replacement $ 600,000 $ $ $ $ $ 600,000 PH&S ILakeview Booster Pump Station Piping(Water Quality) $ 200,000 $ $ $ $ $ 200,000 PH&S Highland PRS $ 350,000 PH&S I Del Rey PRS $ 500,000 EP I Backup Emergency Generators $ 1,500,000 PH&S ITimber Ridge Pump Station Replacement $ - $ 400,000 $ 1,200,000 $ $ $ 1,600,000 PH&S lHidden Hills BPS Upgrades $ $ 300,000 $ $ $ $ 300,000 PH&S I Ridgeway Waterline Replacement $ $ 700,000 $ $ $ $ 700,000 PH&S lAvolinda and Imperial Waterline Replacement $ $ 1,300,000 $ $ $ 1,300,000 REG ISite and Security Upgrades at District Facilities(AWIA) $ $ 500,000 $ 500,000 $ 500,000 $ 500,000 $ 2,000,000 R&R lWell 22 Equipping $ $ - $ 1,300,000 $ $ 1,300,000 R&R IField Headquarters Rehabilitation(HVAC,Roof,Paving) $ 167,061 $ 185,954 $ 187,085 $ 41,000 $ - $ 581,100 R&R lWell Equipment Rehabilitation $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 750,000 R&R lReservoir Rehabilitation $ - $ 500,000 $ 500,000 $ 500,000 $ 1,500,000 R&R I Box Canyon Pump 2 Replacement $ $ 70,000 $ - $ - $ $ 70,000 R&R 1APPle Creek PRS Replacement $ $ - $ 200,000 $ $ $ 200,000 R&R I Dominguez Hills and Paseo Del Prado PRS Replacement $ $ $ 600,000 $ $ $ 600,000 R&R lWaterline Replacement $ $ $ 2,000,000 $ 2,000,000 $ 2,000,000 $ 6,000,000 R&R IRichfield Chemical System Replacement $ $ $ - $ 800,000 $ $ 800,000 R&R lWell 20 Chemical System Replacement $ $ $ $ $ 400,000 $ 400,000 R&R lWell23 $ $ R&R I Lakeview Chemical System Replacement $ R&R I Pump Station Rehabilitation $ R&R I Pressure Regulating Station(PRS)Replacement $ EP lReservoir Fire Hardening $ 500,000 $ $ - $ - $ $ 500,000 SU lWater Supply Redundancy and Fire Flow Reliability(5 sites) $ EP Advanced Metering Infrastructure(AMI) $ 2,000,000 $ 11500,000 $ 1,500,000 $ $ 5,000,000 lWater Capitalized Labor $ 246,706 $ 22,000 $ 15,000 $ 19,100 $ 305,000 $ 607,806 Water Capitalized Labor for Debt-Funded Projects $ 738,595 $ 668,709 $ 660,000 $ 2,067,304 R&R ISewer System Rehabilitation and Replacement $ 350,000 $ 350,000 $ 350,000 $ 350,000 $ 350,000 $ 1,750,000 SU lCommunity Facilities District/Assessment District Projects $ 350,000 $ 400,000 $ 500,000 $ 500,000 $ 500,000 $ 2,250,000 Sewer Capitalized Labor $ 70,000 $ 75,000 $ 85,000 $ 85,000 $ 85,000 $ 400,000 $ 3,483,767 $ 9,191,549 $ 8,455,794 $ 8,405,100 $ 4,290,000 $ 33,826,210 $ 2,713,767 $ 242,000 $ 165,000 $ 210,100 $ 3,355,000 $ b,b85,8b7 $ 770,000 $ 825,000 $ 935,000 $ 935,000 $ 935,000 $ 4,400,000 $ - $ 8,124,549 $ 7,355,794 $ 7,260,000 $ - $ 22,740,343 Vehicle and Capital Equipment Replacement PH&S ISCADA Radio Communications System Enhancement $ 175,000 $ 175,000 R&R I IT Capital Outlay $ 187,425 $ 196,796 $ 262,235 $ 272,235 $ 300,000 $ 1,218,691 R&R loperations Water Capital Outlay $ 367,000 $ 481,000 $ 222,000 $ 285,000 $ 300,000 $ 1,655,000 1 R&R lVehicle Replacement-Sewer $ 475,000 $ 475,000 R&R 10perations Sewer Capital Outlay $ 314,045 $ 314,045 $ 1,043,470 $ 677,796 $ 959,235 $ 557,235 $ 600,000 $ 3,837,736 PH&S=Public Health and Safety REG=Regulatory $ 4,527,237 $ 9,869,345 $ 9,415,029 $ 8,962,335 $ 4,890,000 $ 37,663,946 R&R=Repair and Replace $ 3,443,192 $ 919,796 $ 649,235 $ 767,335 $ 3,955,000 $ 9,734,558 EP=Emergency Preparedness $ - $ 8,124,549 $ 7,355,794 $ 7,260,000 $ - $ 22,740,343 SU=System Upgrade $ 1,084,045 $ 825,000 $ 1,410,000 $ 935,000 $ 935,000 $ 5,189,045 Note:Budget amounts are 2019 dollars and do not include escalation.These are planning level budgets.Cost estimates for all projects will be updated following preparation of design documents,and/or receipt of construction bids. Page 5 of 98 YLWD 5 YEAR BUDGETED CIP PAY-GO WATER PROJECTS (DRAFT 09/04/19) FY20 FY21 FY22 FY23 FY24 CIP SUBTOTAL PUBLIC HEALTH AND SAFETY Mickel and Camino Verde Waterline Replacement $ 600,000 $ $ $ $ $ 600,000 Lakeview Booster Pump Station Piping(Water Quality) $ 200,000 $ $ $ $ $ 200,000 Highland PRS $ 350,000 $ $ $ $ $ 350,000 Del Rey PRS $ 500,000 $ $ $ $ $ 500,000 SCADA Radio Communications System Enhancement $ 175,000 $ $ $ $ $ 175,000 TOTAL PUBLIC HEALTH AND SAFETY $ 1,825,000 $ $ $ $ $ 1,825,000 REPAIR AND REPLACE Field Headquarters Rehabilitation(HVAC,Roof,Paving) $ 167,061 $ 185,954 $ 187,085 $ 41,000 $ $ 581,100 Well Equipment Rehabilitation $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 150,000 $ 750,000 Box Canyon Pump 2 Replacement $ - $ 70,000 $ - $ - $ - $ 70,000 Waterline Replacement $ $ - $ $ $ 2,000,000 $ 2,000,000 Well 20 Chemical System Replacement $ $ - $ $ $ 400,000 $ 400,000 IT Capital Outlay $ 187,425 $ 196,796 $ 262,235 $ 272,235 $ 300,000 $ 1,218,691 Operations Water Capital Outlay $ 367,000 $ 481,000 $ 222,000 $ 285,000 $ 300,000 $ 1,655,000 TOTAL REPAIR AND REPLACE $ 871,486 $ 1,083,750 $ 821,320 $ 748,235 $ 3,150,000 $ 6,674,791 EMERGENCY PREPAREDNESS Reservoir Fire Hardening $ 500,000 $ - $ - $ - $ - $ 500,000 TOTAL EMERGENCY PREPAREDNESS $ 500,000 $ - $ - $ - $ - $ 500,000 REGULATORY-WATER Site and Security Upgrades at District Facilities(AWIA) $ - $ $ $ $ 500,000 $ 500,000 TOTAL REGULATORY $ - $ $ $ $ 500,000 $ 500,000 SYSTEM UPGRADE None $ $ $ $ $ - $ - TOTAL SYSTEM UPGRADE $ - $ - $ - $ $ - $ - CAPITALIZED LABOR Water Capitalized Labor $ 246,706 $ 40,595 $ 33,709 $ 19,100 $ 305,000 $ 645,110 TOTAL CAPITALIZED LABOR $ 246,706 $ 40,595 $ 33,709 $ 19,100 $ 305,000 $ 645,110 TOTAL BUDGETED CAPITAL $ 3,443,192 $ 1,124,345 $ 855,029 $ 767,335 $ 3,955,000 $ 10,144,901 Note:Budget amounts are 2019 dollars and do not include escalation.These are planning level budgets.Cost estimates for all projects will be updated following preparation of design documents, and/or receipt of construction bids. 2 Page 6 of 98 YLWD 5 YEAR CIP PROPOSED DEBT-FUNDED WATER PROJECTS (DRAFT 09/04/19) FY20 FY21 FY22 FY23 FY24 CIP SUBTOTAL PUBLIC HEALTH AND SAFETY Timber Ridge Pump Station Replacement $ $ 400,000 $ 1,200,000 $ $ $ 1,600,000 Hidden Hills BPS Upgrades $ $ 300,000 $ - $ $ $ 300,000 Ridgeway Waterline Replacement $ $ 700,000 $ $ $ $ 700,000 Avolinda and Imperial Waterline Replacement $ $ 1,300,000 $ $ $ 1,300,000 TOTAL PUBLIC HEALTH AND SAFETY $ $ 2,700,000 $ 1,200,000 $ $ $ 3,900,000 REPAIR AND REPLACE Well 22 Equipping $ $ - $ 1,300,000 $ 1,300,000 Field Headquarters Rehabilitation(HVAC,Roof,Paving) $ 500,000 $ 400,000 $ - $ 900,000 Reservoir Rehabilitation $ $ 500,000 $ 500,000 $ 500,000 $ 1,500,000 Apple Creek PRS Replacement $ $ - $ 200,000 $ - $ 200,000 Dominguez Hills and Paseo Del Prado PRS Replacement $ $ $ 600,000 $ - $ 600,000 Waterline Replacement $ $ $ 2,000,000 $ 2,000,000 $ 4,000,000 Richfield Chemical System Replacement $ $ $ - $ 800,000 $ 800,000 TOTAL REPAIR AND REPLACE $ $ 1,000,000 $ 3,700,000 $ 4,600,000 $ $ 9,300,000 EMERGENCY PREPAREDNESS Backup Emergency Generators $ 1,500,000 Advanced Metering Infrastructure(AMI) $ 2,000,000 $ 1,500,000 $ 1,500,000 $ $ 5,000,000 TOTAL EMERGENCY PREPAREDNESS $ $ 3,500,000 $ 1,500,000 $ 1,500,000 $ $ 6,500,000 REGULATORY Site and Security Upgrades at District Facilities(AWIA) $ $ 500,000 $ 500,000 $ 500,000 $ 1,500,000 TOTAL REGULATORY $ $ 500,000 $ 500,000 $ 500,000 $ $ 1,500,000 SYSTEM UPGRADE None TOTAL SYSTEM UPGRADE $ $ - $ - $ - $ $ - CAPITALIZED LABOR Water Capitalized Labor for Debt-Funded Projects $ $ 770,000 $ 690,000 $ 660,000 1 $ $ 2,120,000 TOTAL CAPITALIZED LABOR $ $ 770,000 $ 690,000 $ 660,000 $ $ 2,120,000 TOTAL PROPOSED DEBT-FUNDED WATER PROJECTS $ $ 8,470,000 $ 7,590,000 $ 7,260,000 $ $ 23,320,000 Note:Budget amounts are 2019 dollars and do not include escalation.These are planning level budgets.Cost estimates for all projects will be updated following preparation of design documents, and/or receipt of construction bids. 3 Page 7 of 98 YLWD 5 YEAR BUDGETED CIP SEWER PROJECTS (DRAFT 09/04/19) FY20 FY21 FY22 FY23 FY24 CIP SUBTOTAL PUBLIC HEALTH AND SAFETY None $ - $ - $ - $ - $ - $ TOTAL PUBLIC HEALTH AND SAFETY $ $ $ $ $ $ - REPAIR AND REPLACE Sewer System Rehabilitation and Replacement $ 350,000 $ 350,000 $ 350,000 $ 350,000 $ 350,000 $ 1,750,000 Vehicle Replacement-Sewer $ - $ - $ 475,000 $ - $ - $ 475,000 Operations Sewer Capital Outlay $ 314,045 $ - $ - $ - $ - $ 314,045 TOTAL REPAIR AND REPLACE $ 664,045 $ 350,000 $ 825,000 $ 350,000 $ 350,000 $ 2,539,045 EMERGENCY PREPAREDNESS None $ - $ - $ - $ - $ - $ - TOTAL EMERGENCY PREPAREDNESS $ - $ - $ - $ - $ - $ IREGULATORY None $ - $ - $ - $ - $ - $ TOTAL REGULATORY $ - $ - $ - $ - $ - $ SYSTEM UPGRADE Community Facilities District/Assessment District Projects $ 350,000 $ 400,000 $ 500,000 $ 500,000 $ 500,000 $ 2,250,000 TOTAL SYSTEM UPGRADE $ 350,000 $ 400,000 $ 500,000 $ 500,000 $ 500,000 $ 2,250,000 CAPITALIZED LABOR Sewer Capitalized Labor $ 70,000 $ 75,000 $ 85,000 $ 85,000 $ 85,000 $ 400,000 TOTAL CAPITALIZED LABOR $ 70,000 $ 75,000 $ 85,000 $ 85,000 $ 85,000 $ 400,000 TOTAL BUDGETED CAPITAL $ 1,084,045 $ 825,000 $ 1,410,000 $ 935,000 $ 935,000 $ 5,189,045 Note:Budget amounts are 2019 dollars and do not include escalation.These are planning level budgets.Cost estimates for all projects will be updated following preparation of design documents, and/or receipt of construction bids. 4 Page 8 of 98 ITEM NO. 5.3. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager SUBJECT:Debt Funding Alternatives for Critical Capital Improvement Projects SUMMARY: Anna Sarabian and Lora Carpenter of Fieldman Rolapp & Associates will be in attendance to present the Board with debt funding alternatives for future critical capital projects. ATTACHMENTS: 1.PowerPoint Presentation Page 9 of 98 ...,apital Project Financing me" ldmd Yorba Linda Water District Board Meeting September 10, 2019 HELDMAN ROLAPP &r ASSOCIATES Page 10 of 98 Funding Options CapitalImprovement Program ➢ Estimating —$30.3 million in water capital project needs through FY 2024 ➢ Approximately $23 .3 million in water projects have been identified for potential debt funding ➢ Waterline Replacements and reservoir rehabilitation ➢ Pump station replacement and BPS upgrades ➢ Well Equipping and AMI �ppred Qct 5-Year pital Improvement Program $ 12,000,000 $ 10,000,000 $ 8,000,000 $ 6,000,000 $4,000,000 $2,000,000 FY20 FY21 FY22 FY23 FY24 Non-Debt Funding Water Projects Non-Debt Funding Sewer Projects Page 12 of 98 Capital Funding ➢ District has the option to fund capital projects with the following sources: ➢ Available cash/reserves (pay-as-you-go) ➢ Current year revenue ➢ Long term debt ➢ Public sale or private placement ➢ Government subsidized loans ➢ Grants ➢ Interim Financing ➢ Line of Credit ➢ Commercial Paper Page 13 of 98 YLWD Outstanding Debt ➢ Series 2017A Bonds — Refunded Series 2008 COPS and issued $6 million in new money — Approximately $27.5 million outstanding as of June 30, 2019 ➢ Series 2012A Bonds — Refunded Series 2003 COPs — Approximately $6.6 million outstanding as of June 30, 2019 Page 14 of 98 • MRFMWI Credit Rating Overview Parity Lien Illustrative Parity Lien Plus New Credit Ratings ; Requirements Debt Credit Rating ; Requirements Credit Ratingsed `P Global FitchRatings Goal is to issue P Global E- 1�, . , n g Ratings additional debt on the Ratings tht� AA+ AA parity lien with AA+ AA Stable Outlook Stable Outlook affirmed ratings Stable Outlook Stable Outlook Additional Debt Test Additional Debt Test 125% of Net Revenues for the 125% of Net Revenues for the Water System Water System Page 15 of 98 Additional Bonds Test Additional Bonds Test Yorba Linda Water District A. The Net Revenues for any consecutive twelve calendar month period Fiscal Year Ended June 30, 2019 during the eighteen calendar month period preceding the date of (b) * adoption by the Board of Directors of the District(the`Board")of the resolution authorizing the issuance of,or the date of the execution of, (a) AA Rating (b) * such Parity Bonds or Contract,produces a sum equal to at least 125% Current Pro- Level Existing Legal of the Debt Service for such twelve month period; and forma Requirement Covenant B. The Net Revenues for any consecutive twelve calendar month period FY 2019 FY 2019 FY 2019 during the eighteen calendar month period preceding the date of Revenues adoption by the Board of the resolution authorizing the issuance of,or Water Sales $29,819,532 $29,819,532 $29,819,532 the date of the execution of,such Parity Bonds or Contract, as the Ad Valorem Tax Revenues $1,874,688 $1,874,688 $1,874,688 case may be,including adjustments to give effect as of the first day of such twelve month period to increases or decreases in rates and Interest Income $687,320 $687,320 $687,320 charges for the Water Service approved and in effect as of the date of Other Revenues $1,919,849 $1,919,849 $1,919,849 calculation,produces a sum equal to at least 125%of the Debt Service Total Revenues $34,301,389 $34,301,389 $34,301,389 for such twelve month period plus the Debt Service which would have accrued on any Parity Bonds or Contracts issued or executed since the Operation and Maintenance Costs end of such twelve month period assuming that such Parity Bonds or Contracts had been issued or executed at the beginning of such twelve Variable Water Costs $13 367 873 $13 367 873 $13 367 873 month period; and Personnel Services $8,615,204 $8,615,204 $8,615,204 C. The estimated Net Revenues for the then current Fiscal Year and for Supplies & Services $4,068,320 $4,068,320 $4,068,320 each Fiscal Year thereafter to and including the first complete Fiscal Total Operation and Maintenance Costs $26,051,397 $26,051,397 $26,051,397 Year after the latest Date of Operation of any uncompleted Parity Project to be financed from proceeds of such Contracts or Bonds, as Net Operating Revenues $8,249,992 $8,249,992 $8,249,992 evidenced by a certificate of the General Manager of the District on file with the District,including(after giving effect to the completion of all such uncompleted Parity Projects)an allowance for estimated Total Non-Operating Expenses $26,834 $26,834 $26,834 Net Revenues for each of such Fiscal Years arising from any increase in the income,rents,fees,rates and charges estimated to be fixed, Net Revenues $8,223,158 $8,223,158 $8,223,158 prescribed or received for Water Service and which are economically feasible and reasonably considered necessary based on projected Senior Debt Service operations for such period,will produce a sum equal to at least 125% of the estimated Debt Service for each of such Fiscal Years, after 2012A Bonds $591,213 $591,213 $591,213 giving effect to the execution of all Contracts and the issuance of all 2017A Bonds $2,147,044 $2,147,044 $2,141,486 Bonds estimated to be required to be executed or issued to pay the Additional Parity Debt $0 $915,036 $3,844,020 costs of completing all uncompleted Parity Projects within such Fiscal Total Debt Service $2,738,256 $3,653,292 $6,576,719 Years, assuming that all such Contracts and Bonds have maturities, interest rates and proportionate principal repayment provisions similar to the Contract last executed or then being executed or the Bonds last Debt Service Coverage 3.00 2.25 1.25 issued or then being issued for the purpose of acquiring and *Part(b) does not assume any increase in rates and charges over the 12-month constructing any of such uncompleted Parity ProjecRage 16 of 98 benod i Estimated Debt Service Financial Data �--Level o2o Bonds Wrapped 202o Bonds Project Fund Total $23,320,000 $23,320,000 True Interest Cost 3.08% 3.45% Maximum Annual DS $1,210,875 $2,212,750 Average Annual DS $1,222,336 $1,423,944 Total Debt Service $36,249,064 $42,227,858 Total DS through Call Date $10,877,064 $8,562,733 Note: Preliminary, subject to change. Page 17 of 98 YLWD Projected Operating Results Level FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Revenue: Water Revenue (Residential) $ 16,548,758 $ 16,946,962 $ 17,138,511 $ 17,650,065 $ 18,115,864 Water Revenue (Commercial&Fire Det.) 1,872,073 1,969,765 2,142,314 2,206,258 2,264,483 Water Revenue (Landscape/Irrigation) 3,917,982 4,056,592 4,522,663 4,657,656 4,780,575 Service Charges 10,988,263 12,011,758 13,133,394 14,358,527 15,692,905 Other Operating Revenue 902,996 949,726 949,726 949,726 949,726 Interest 698,777 721,079 685,025 650,773 618,235 Property Tax 1,820,471 1,850,000 1,887,000 1,924,740 1,963,235 Other Non-Operating Revenue 608,430 637,958 637,958 637,958 637,958 Total Revenue $ 37,357,750 $ 39,143,840 $ 41,096,591 $ 43,035,703 $ 45,022,981 Expenses (OperatingZ Variable Water Costs $ 15,110,810 $ 16,323,964 $ 16,770,595 $ 17,579,794 $ 18,340,027 Salary Related Expenses 10,528,255 10,948,314 11,572,368 12,197,276 12,916,916 Supplies & Services 4,793,620 4,941,583 4,935,909 5,223,737 5,361,608 Total Operating Expenses 30,432,685 $ 32,213,861 $ 33,278,872 $ 35,000,807 $ 36,618,551 Expenses (Non-Operatingh Other Expense $ 13,520 $ 13,545 $ 13,545 $ 13,545 $ 13,545 Total Expenses $ 30,446,205 $ 32,227,406 $ 33,292,417 $ 35,014,352 $ 36,632,096 Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,138,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 1,208,314 1,207,750 1,207,875 1,207,250 Total Debt Service $2,726,956 $3,937,695 $3,936,669 $3,932,556 $3,933,581 Debt Service Coverage 2.53 1.76 1.98 2.04 2.13 Note: Preliminary, subject to change. Page 18 of 98 YLWD Projected Operating Results (Wrapped FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Revenue (OneratingZ Water Revenue (Residential) $ 16,548,758 $ 16,946,962 $17,138,511 $ 17,650,065 $ 18,115,864 Water Revenue (Commercial &Fire Det.) 1,872,073 1,969,765 2,142,314 2,206,258 2,264,483 Water Revenue (Landscape/Irrigation) 3,917,982 4,056,592 4,522,663 4,657,656 4,780,575 Service Charges 10,988,263 12,011,758 13,133,394 14,358,527 15,692,905 Other Operating Revenue 902,996 949,726 949,726 949,726 949,726 Interest 698,777 721,079 685,025 650,773 618,235 Property Tax 1,820,471 1,850,000 1,887,000 1,924,740 1,963,235 Other Non-Operating Revenue 608,430 637,958 637,958 637,958 637,958 Total Revenue $37,357,750 $39,143,840 $41,096,591 $43,035,703 $45,022,981 Expenses (OperatingZ Variable Water Costs $ 15,110,810 $ 16,323,964 $16,770,595 $ 17,579,794 $ 18,340,027 Salary Related Expenses 10,528,255 10,948,314 11,572,368 12,197,276 12,916,916 Supplies & Services 4,793,620 4,941,583 4,935,909 5,223,737 5,361,608 Total Operating Expenses $30,432,685 $32,213,861 $33,278,872 $35,000,807 $36,618,551 Expenses (Non-OperatingZ Other Expense $ 13,520 $ 13,545 $ 13,545 $ 13,545 $ 13,545 Total Expenses $30,446,205 $32,227,406 $33,292,417 $35,014,352 $36,632,096 Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,138,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 1,069,755 935,250 935,250 935,250 Total Debt Service $ 2,726,956 $ 3,799,136 $ 3,664,169 $ 3,659,931 $ 3,661,581 Debt Service Coverage 2.53 1.82 2.13 2.19 2.29 Note: Preliminary, subject to change. Page 19 of 98 AlternateEstimatedDebtService (Wranned) Financial Data Wrapped + Cap-1 202o Bonds Project Fund Total $20,539,080 Capitalized Interest $926,078 True Interest Cost 3.44% Maximum Annual DS $2,010,625 Average Annual DS $1,303,668 Total Debt Service $38,660,994 Total DS through Call Date $7,167,667 YLWD Projected Operating Results (Wrapped plus Cap-I) FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,13 8,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 343,967 738,800 837,150 1,002,750 Total Debt Service $2,726,956 $3,073,348 $3,467,719 $3,561,831 $3,729,081 Debt Service Coverage 2.53 2.25 2.25 2.25 2.25 Note: Preliminary, subject to change. Page 20 of 98 AlternateEstimatedDebtService 9w Fi nancial Data . . . . Bonds Project Fund Total $20,800,468 Capitalized Interest $872,457 True Interest Cost 3.23% Maximum Annual DS $1,397,875 Average Annual DS $1,208,078 Total Debt Service $35,826,236 Total DS through Call Date $7,962,529 YLWD Projected Operating Results (Level plus Cap-I) FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,13 8,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 339,236 738,231 836,813 1,001,875 Total Debt Service $ 2,726,956 $ 3,068,617 $ 3,467,150 $ 3,561,494 $ 3,728,206 Debt Service Coverage 2.53 2.25 2.25 2.25 2.25 Note: Preliminary, subject to change. Page 21 of 98 rixedlncome M�rke� �pdat As of August 23, 2019 Recent Change In ' AAA ' MMD Change in "'AAA" 10-Year MMD Yields gameary 1, 2018 tbrvrrgh Aqpwt 23, 2019) L —'AAA'ACRD 10--Year Yielde 2A Historic Change in 'AAA" MMD Yields „a (DeffmAr x,2014tbroug6 v+gnrrt23,2D19j —'AAA'i1 M1)1&Year Yidde —'AAA"MMD 30-Year Yields 15ra 4A] - a,sv 3_Su 3-0p aAla 250 x11.r* mull �Jwl5 �It1� ql�� xxltl� 3�t1� 101 zw [so — - - — Iiu 11% — Change in "AAA" 30-Year MMD Yields [January 1, 2018 thrQu 6 Augu vt 23, 2019) �Lx151VNA 51'o, L r5lv%5 MVI 6 al5llp}b �I�t�}T �i'�i��� 1011117 11016 11Y1V11 115110 'IJ517p44 3A* —'AAA'MMD M-Year Yields 314 2A* 214 5 1.51 SJ��19 3�tiJy9 81ti�� '11�� el�l� 5xJ'1� xlx�►$ �1ti1t4 9�;5 1.5 Source: Thomson Municipal Market Monitor Page 23 of 98 ■ Rates are still at Historic L Current "AAA" MMD and Percentage of Time Historical "AAA" MMD has been Lower than Current 'AAAA" MMS] from January 2, 1998 tbrougl) August 23, 2019 100% - ------------------------------, - 2.00 90% - 8/23/19 MNID (Right Axis) - 1.80 80% 1 .60 70% - - 1 .40 60% - - 1 .20 50% - o � � - 1 .00 e _ 0.80 30% 0. 6 20% 0.4 0 f 0.20 \ 8 \ -0-0 4 O \ 4 O 119, \ O o � \ O 0% i i i i . i i i . i . . . i i i i i i i . i i 0.00 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 Maturity Source: Thomson Municipal Market Monitor Page 24 of 98 PreliminaryFinancing Milestones ➢ Overall timeframe required for debt issuance is (4 — 6 months) ➢ Primary finance team includes Municipal Advisor, Bond and Disclosure Counsel and the Underwriter ➢ What timeframe does the District want to receive bond proceeds? oil I M Milestones September 2019 0 Board recommends approval to move forward with financing plan • Bond Counsel develops disclosure document with the assistance of staff and Financial Advisor • Competitive RFP for selection of underwriter • Work on legal documents and updates to disclosure document October / November 2019 0 Work with staff on disclosure documentation and credit review December 2019 0 Credit rating presentation January 2020 0 Board approval of legal documentation and POS • Receive credit ratings • Post Preliminary Official Statement • Price Bonds February 2020 0 Close Bonds Page 25 of 98 Cost oIssuance Breakdown ➢ Estimated cost of issuance for public debt issuance ➢ Underwriter's discount estimated at $4.00 per bond for modeling purposes only ESTIMATED COSTS OF ISSUANCE Role /Purpose NTE Fees & Expenses Bond Counsel 70,000.00 -------------------------------------------------------------------------------------------------------------------------- General Counsel 10,000.00 -------------------------------------------------------------------------------------------------------------------------- Municipal Advisor ---------------------------------------------------------------------------------------48,500.0.0 ----- . Credit Rating (S&P)--------------------------------------------------------------------------------------24,000:00 Credit Rating (Fitch)------------------------------------------------------------------------------- 21,00000 . Trustee 7,000.00 -------------------------------------------------------------------------------------------------------------------------- Printing of OS / POS 5,000.00 -------------------------------------------------------------------------------------------------------------------------- CMFA JPA Fee Estimate 12,500.00 -------------------------------------------------------------------------------------------------------------------------- Miscellaneous / Contingency 12,000.00 -------------------------------------------------------------------------------------------------------------------------- 70,000.00 -------------------------------------------------------------------------------------------------------------------------- Underwriter Discount at 0.40% (Assumes $25 million par) 10,000:00 Total Cost of Issuance $310,000.00 Total Cost of Issuance Wo UW Discount $2109000.00 Page 26 of 98 Recommended Next Steps ➢Direct Staff to implement finance plan ➢ Stradling to begin drafting necessary documentation ➢Municipal Advisor to distribute Underwriter RFP Page 27 of 98 Questions and Discussion Appendix 1 Page 29 of 98 Alternate Estimated Debt Service LevelFinancial Data . . Bonds Project Fund Total $20,800,468 $20,539,080 True Interest Cost $872,457 $926,078 Maximum Annual DS 3.23% 3.44% Average Annual DS $1,397,875 $2,010,625 Total Debt Service $1,208,078 $1,303,668 Total DS through Call Date $35,826,236 $38,660,994 Note: Preliminary, subject to change. Page 30 of 98 YLWD Projected Operating Results (Level + Cap-1) FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Revenue (OneratingZ Water Revenue (Residential) $ 16,548,758 $ 16,946,962 $17,138,511 $ 17,650,065 $ 18,115,864 Water Revenue (Commercial &Fire Det.) 1,872,073 1,969,765 2,142,314 2,206,258 2,264,483 Water Revenue (Landscape/Irrigation) 3,917,982 4,056,592 4,522,663 4,657,656 4,780,575 Service Charges 10,988,263 12,011,758 13,133,394 14,358,527 15,692,905 Other Operating Revenue 902,996 949,726 949,726 949,726 949,726 Interest 698,777 721,079 685,025 650,773 618,235 Property Tax 1,820,471 1,850,000 1,887,000 1,924,740 1,963,235 Other Non-Operating Revenue 608,430 637,958 637,958 637,958 637,958 Total Revenue $37,357,750 $39,143,840 $41,096,591 $43,035,703 $45,022,981 Expenses (OperatingZ Variable Water Costs $ 15,110,810 $ 16,323,964 $16,770,595 $ 17,579,794 $ 18,340,027 Salary Related Expenses 10,528,255 10,948,314 11,572,368 12,197,276 12,916,916 Supplies & Services 4,793,620 4,941,583 4,935,909 5,223,737 5,361,608 Total Operating Expenses $30,432,685 $32,213,861 $33,278,872 $35,000,807 $36,618,551 Expenses (Non-OperatingZ Other Expense $ 13,520 $ 13,545 $ 13,545 $ 13,545 $ 13,545 Total Expenses $30,446,205 $32,227,406 $33,292,417 $35,014,352 $36,632,096 Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,138,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 339,236 738,231 836,813 1,001,875 Total Debt Service $ 2,726,956 $ 3,068,617 $ 3,467,150 $ 3,561,494 $ 3,728,206 Debt Service Coverage 2.53 2.25 2.25 2.25 2.25 Note: Preliminary, subject to change. Page 31 of 98 YLWD Projected (Wrapped + Ca -1 Cap-1) FY 2020 FY 2021 FY 2022 FY 2023 FY 2024 Budget Forecast Forecast Forecast Forecast Revenue (OneratingZ Water Revenue (Residential) $ 16,548,758 $ 16,946,962 $17,138,511 $ 17,650,065 $ 18,115,864 Water Revenue (Commercial &Fire Det.) 1,872,073 1,969,765 2,142,314 2,206,258 2,264,483 Water Revenue (Landscape/Irrigation) 3,917,982 4,056,592 4,522,663 4,657,656 4,780,575 Service Charges 10,988,263 12,011,758 13,133,394 14,358,527 15,692,905 Other Operating Revenue 902,996 949,726 949,726 949,726 949,726 Interest 698,777 721,079 685,025 650,773 618,235 Property Tax 1,820,471 1,850,000 1,887,000 1,924,740 1,963,235 Other Non-Operating Revenue 608,430 637,958 637,958 637,958 637,958 Total Revenue $37,357,750 $39,143,840 $41,096,591 $43,035,703 $45,022,981 Expenses (OperatingZ Variable Water Costs $ 15,110,810 $ 16,323,964 $16,770,595 $ 17,579,794 $ 18,340,027 Salary Related Expenses 10,528,255 10,948,314 11,572,368 12,197,276 12,916,916 Supplies & Services 4,793,620 4,941,583 4,935,909 5,223,737 5,361,608 Total Operating Expenses $30,432,685 $32,213,861 $33,278,872 $35,000,807 $36,618,551 Expenses (Non-OperatingZ Other Expense $ 13,520 $ 13,545 $ 13,545 $ 13,545 $ 13,545 Total Expenses $30,446,205 $32,227,406 $33,292,417 $35,014,352 $36,632,096 Net Revenues $ 6,911,545 $ 6,916,434 $ 7,804,174 $ 8,021,351 $ 8,390,885 Debt Service 2012A Bonds 583,713 590,713 586,250 585,388 582,913 2017A Bonds 2,143,244 2,138,669 2,142,669 2,139,294 2,143,419 Additional 2020 Debt 0 343,967 738,800 837,150 1,002,750 Total Debt Service $ 2,726,956 $ 3,073,348 $ 3,467,719 $ 3,561,831 $ 3,729,081 Debt Service Coverage 2.53 2.25 2.25 2.25 2.25 Note: Preliminary, subject to change. Page 32 of 98 Disctaimer These materials include an assessment of current market conditions, and include Fieldman, Rolapp & Associates, Inc. assumptions about interest rates, execution costs, and other matters related to municipal securities issuance or municipal financial products. These assumptions may change at any time subsequent to the date these materials were provided. The financing scenarios presented herein are not intended to be inclusive of every feasible or suitable refinancing alternative. Fieldman, Rolapp & Associates, Inc. is an SEC-registered Municipal Advisor, undertaking a fiduciary duty in providing financial advice to public agencies. Compensation contingent on the completion of a financing or project is customary for municipal financial advisors. To the extent that our compensation for a transaction is contingent on successful completion of the transaction, a potential conflict of interest exists as we would have a potential incentive to recommend the completion of a transaction that might not be optimal for the public agency. However, Fieldman, Rolapp & Associates, Inc. undertakes a fiduciary duty in advising public agencies regardless of compensation structure. Page 33 of 98 ITEM NO. 5.4. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Gina Knight, Human Resources and Risk Manager Tony Arambarri, Records Management Administrator SUBJECT:Status of District's Physical Information Assets SUMMARY: Upgrades and enhancements to YLWD Physical Information Assets including: Engineering Job Files EOC Infrastructural, Physical As-Built/ Record Drawing sets Archives Historic Plan Sets Rolled Job As-Built Plans Additional shelving-Rolling shelving FISCAL IMPACT: Budgeted: Yes Total Budget: Cost Estimate: $27,000 Funding Source: Engineering Department and Records Management Division BACKGROUND: During my onboarding meeting, I was tasked with assessing the Vault regarding the safety of records and to provide recommendations to safeguard such records in case of flooding, fire or other emergency/disaster situation. Over the course of the next several months, I learned as much about YLWD records and documentation as possible, in the vault and otherwise. As a result of that research and what I continue to learn, the following issues and challenges became more apparent: Page 34 of 98 Records, including Vital and Permanent, while organized and well labeled, were stored in the open, under lights and fire sprinklers, directly exposed. A need for a Vault-specific disaster response plan Storage for files, especially the Engineering Job Files, was less than optimal leaving these critical collections difficult to access, unprotected, susceptible to damage and virtually unevacuable. Permanent records had no special housing or identification appropriate for their extended retention or protection. Several record groups, especially Engineering document groups were stored in multiple locations, with like records being spread through the Vault, the Engineering Library, the Engineering Office File Cabinets and Flat Files. With many records cataloged in the Vault, many still remained uncataloged and difficult to search and find. Over the course of the last year, with fantastic support from Gina, Rosanne, Anthony, Rick, Ariel, Annie, Freddie and Marcus, we have been able to implement numerous solutions, upgrades and enhancements that have markedly improved protection, preparedness and findability for the Vault and Engineering Records. They are as follows: Vault Disaster Response Plan - Thank you Marcus Pre-Authorization Agreement with BMS-CAT for Vault Disaster Response Most critical Vital and Historical records stored in FireKing Fire Safe-UL 1-hour Rating. Thank you Annie Permanent Records Placed in Acid-Free, Archival Quality boxes and with color-coded labeling applied for quick recognition and evacuation. Thank you Gina and Marcus Engineering Job Files - The DNA of YLWD - Completely rehoused in acid-free, acrylic- coated archival-standard document boxes for first-line disaster protection and modular portability resulting in ease of use by Engineering Staff and quick, easy transportability in case of disaster or relocation. Thank you Rosanne, Anthony, Rick and Ariel EOC Plan Sets - The as-builts and record drawings for key YLWD infrastructure, namely reservoirs and booster pump stations, are now stored and clearly labelled in protected and portable EasiFile cabinets that are more easily accessed than flat files and can be easily transported to the EOC for reference in the event of loss of access to digital infrastructure plans. Thank you Rosanne, Anthony and especially Rick Hipolito. Engineering records have been consolidated and more greatly organized, and cataloged. There is still much more work to be done in this area. Thank you Marcus, Rick and Ariel Rolling shelf carriage system. This has allowed for an additional range to be installed for expanded storage to accommodate growing storage of permanent records. Compressed shelving also provides for better access and security. Thank you Gina Waterless Fire Suppression - Combined with server-room protection, this provides the best available protection for key assets such as vital records and critical servers. Thank you Freddie and Robyn Page 35 of 98 STRATEGIC PLAN INITIATIVES: G1 3A - Maintain and update security and aesthetics (as needed) for facilities and digital resources. G1 3B - Maintain and update security and aesthetics (as needed) for fire protection. G3 2C - Evaluate and maintain sustainable operations (e.g. energy and water use efficiency, staffing). ATTACHMENTS: 1.PowerPoint Presentation Page 36 of 98 PHYSICAL INFORMATION ASSETS UPDATE RECORDS ENGINEERING JOB FILES ARCHIVES EOC INFRASTRUCTURAL, PHYSI AL •* • *, •� *� •*# * • AS-BU ILT I RECO RD D RAWI NG SETS ARCHIVES HISTORIC PLAN SETS ROLLED JOB AS-BU I LT PLANS ADDITIONAL SHELVING-ROLLING SHELVING At 0• - '..e .f 98 c •. ti— M ion- ROSANNE 1ESTON GINA KNIGHT ANTHONY MANMNO THANK YOU ! MARCUS MILLEN RICK HIPOLITO ARIEL BALANI CUSTOMER SERVICE & FINANCE STAFF .L 71 W LU 9 } W I ry U3 a a x c� a . { f At 09/10/2019 �< `7Z ba -Pi-n-evi-�IVV� s . 3 ��— Page 39 of 98 ��— Eninee rinJb Files-The PhrialCo llctin Pre-Existing Needs &. Issues f -.� r �� • t. _ f � •� I j 1 } Shelf Configuration Challenging Access Lack of Protection Less than optimal configuration for Reading Job File numbers difficult and Little protection from elements appropriate storage or access extracting files unwieldy and potential harmful events, e.g. sprinkler discharge Low-likelihood of successful evacuation of documents Yurba Linda Wow PIPTrict 09/10/2019 Y vi Borba tinc#a-Wijj -- Page-Aof 98 Engineering Job Files Applied Solutions • � I i • 00/9701- Jcb 009702 Stabilization and Properly-sized, Modularized Access Reconfigured Shelving ( litigating Protection Arid-freer ac lia-coated archival standard accommodate L�b e I i r7 g Uniform shelf pacing to accommodate universal box size document box provides first-line defense Ergonomic weight and proportion far easier access, against harmful events. Jab File numbers clearly readable Optimized portability for organized, successful relocation or evacuation. Yorba Linda Waicr»nitros 09/10/2019 Y - X01 ba '-V 09 -- 7_ Pag> Of 98 L � r Y YL EOC INFRASTRUCTURAL AS-BUI rc�wow �,r.ot ochrrct yrsCn asrw�.r zi �p,.tcr NO.n+•;3 lN1PR�fEhAEN'T pIG-,�TitC,'S trID.7 r ; ZOIV� 3 F1E�RVb1R IIi f � _tt•AL.'Y.•1 Ns�ji1.N yT • 16 09/10/2019 _i Borba flnid�dV Pagf 98 Core YLWD Infrastructural Record Drawings and -Bu lts Accessed regularly by Engineering and Water production Departments Ivey information needed during a disaster Vita I back-u p i n event of d igital access interraptio n or lass � r Poor Access Stable but Difficult Access Dispersed Storage Less than Optimal Storage Some plans stored safely in flat files but Som-e plans sets stored separately in Some dans rolled in file cabinets removing and replacing are-especially difficult, vault and offices with challenging leaving staff to reference discouraging access access points and storage 11"x 17" copies of plans Yorb■ Linda L1 Orr DIFUIC qP ~� 09/10/2019 vi Borba tinVVVi7 . . — IF r _ EOC ,A -Built & Record Drawing Plan Sets Optimized Access aril Porta b]Iity Storage m -•F T — . I _ .ae"— tj Aftsrwir � 1 IXiSla3 "how r EasiFila Optimize Access Portability Vertical Plan Storage Cabinet Hanging, Prong-based filing system Cart Add-on module allows for easy Best in Class provides for fast, easy access of full- I transport to the ECC in case of need in Consolidation of Key YLWD Infrastructural Plans size, labeled dra+,ving.5 far staff event of disaster., VJ.tl,e I�i.lri,I dr J 09/10/2019 vi Borba tinc#a-�dVv � . -- Pageof,98 i min YL -WW ' Reservoir Sites —T Deeds 1911 Blanket Eesemen Sewer Easements S & S Well (1) and (2) File EVIG-2-7 Classification(s)- lndt isive 'Dates: 1959-1980 ARCHIVES � Retention Code(s) ENG-012 Retention, Perio (ss),- -PERM ispos�ti�n(sj NEVER r f 09/10/2019 "� �. , r � � . - o;ba a ll n c#a-�d�/ `ms's JW i� Pagf 98 } AO More Than one Hundred Years of History Added protection and stabilization - i Lbrn aa, 2919. -- Sege , 9oQjf4Yriir, 51r,- ' I fhe et12akPa2dn76 of Cha Ydrbi titnr C nota At ,r an ■akW, Y&d tb PrWgtr to th8 bd8t of ya¢r aptlityptba bill nWw �4fgra tha S to tLe -,o91 alatare ao-ne 8rxking the aanr nrrat Car, bf rpt*r Mot AIR Mtn 8n8 15 n0w batag WMSt*b by 'p.g 119At1ubd8 flme ai ■rtlulan wells. - :o ere of trd ■pinign.thee if 70ntar aaet,;d in " PFap tr3i aanBerYet. it ><oa3E ris#e.ls]3g i Lr•`-C lbF aatained from moll" Treasure of Archival Material � Thank yo to the YLD staff aver the past 100+years for having the wisdom Protecting and Storing the and the vision to sage this material tirelin Fire Safe Most Vital and Historical Recons UL 1-Hour Class 350 Fire Rating Yorbe Linda Waler VWTrict lb - r 09/10/2019 � � Borba tinc#aN Y . } �� Page-49f 8� �r 1 r'• 1 YL I j w f i PLAN •rii' +# i w 09/10/2019 vi Borba tinc#a#�/ i� 1; -- Page ?.98 The "Sack Plans" - -1r $ YO A Ji1ft X. .�"_ � •. �J _ R10 .� A FIS 114 Irl a Is J1P Archival Hidden Treasure Tucked away safe and sound but Historic Plan Sets Dutifully Saved hardly accessible and largely unseen Predominantly YLWC-era Stored safely in Plan 5,ak Storage Bags Early 20ti,Century lYorW Linda Waier Olitri# 09/10/2019 Borba IEI n`dla'- V iK 1} � -- Pagef,98 r � From Sacks to Tube Improved Access to Historic Large Format Material 10 r Roof for Peservoir CS-1955 Highland R-WrVoir Roof 5#tutturaIPlans-1955 Simple Tube Storage Historical Gems Access Low-cost, continued stability Original, early 20tn century plans,maps Basically cataloged in Records Database to with greatly improved access and drawings of District infrastructure provide searchability and greater access and service area made accessible for "� """' reference, scanning, reproduction, exhibition . `' r ba ti n c#a-�dV '+ * 1 , Pagf,98 XX/XX/XX fi r pilill a IA ibn 11 JAL, AL 1 J i i a f dw 7 ]rf A 7 t y F t 09/10/2019 vi Borba tinc#a#�/ i� 1 . -- Pag f 98 } L1 D and Developer JoAs-Built �u �_ � L 4 4Q". A' . � 195-7 Decentralized Storage LV Multiple, Diverse Storage Lacations K Challenging Identification and Access Many plans properly identified but difficult to see and access identifying infbrmation Yurba Linda Wow PIPTri[ 09/10/2019 ~� Borba tin /v �� 4 Pagf o 98 177 Plan Identifying and Labeling J-9707 1i=ZIIn�elrlHwr i 17f1�!{�. • -— Yorbi Ranch VAIIvr i J-200430 -9710 \\ 1UWf King • pan ` 1-240630 LJ-8T37 — Rose Mrd C- W 4 y;•moi 4py -� r Packing House Improved Visibility and Access Rolled Drawing Labels Easily-readable Label with lob Number and Name Accompany draMngs regardless of location aYodw Linda %"Irr Diltric 09/10/2019 ��ba inida- y * 7,�_� `` Ae Page-5' f 9 w- IYL i ADDITIONAL SHELVING ROLLING SHEtYJN-GA LEGISLATIVE HISTORY BOARD DOCUMENTS ENGINEERING JOBS FINANCIAL RECORDS PROD UTI N RECORDS OPERATIONSRECORDS CUSTOMER SERVICE REQUESTS e WORK ORDER 0• - Vault - Record Storage T yf= Amo. 1599 V. 00 } r:. AL Includes Permanent and Vital Records- Static Shelving Reaching ing Maximum Capacity Color-coded for quick Two and a Half Ranges Identification In case of disaster response evacuation 0 r�� L:iJ 41 ittr D wtrlt _W zl�t M ft --f C 46 w, Alp 09/10/2019 vi Borba Linda Wa4 42WW " -- Page-010-f,98 Vault - Rolling Shelving pp • 1A t, 4 '4 Maximized Storage Easy, ergonomic shelf movement Secured Storage Nearly 30 increase in storage capacity Geared, manual crank provides easy Closed and compacted shelving provides. Three and a half Ranges movement and access added security and protection Yurb.e Linde WOICr PIPIrkt. _ � �� _ � � ��•�--� � ��- qui 09/10/2019 Borba c#a-�/ i� 1r -- Page-3 Of 98 c •. ti— M ion- ROSANNE 1ESTON GINA KNIGHT ANTHONY MANMNO THANK YOU ! MARCUS MILLEN RICK HIPOLITO ARIEL BALANI CUSTOMER SERVICE & FINANCE STAFF .L ITEM NO. 5.5. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:John DeCriscio, Operations Manager Freddie Ojeda, Operations Superintendent SUBJECT:Overview of District's Computerized Maintenance Management System (CMMS) ATTACHMENTS: 1.PowerPoint Presentation Page 57 of 98 - -•rte Yorba Linda Water District Cityworks Empowering erin GIS Presented by- Freddie Ojeda Operation Superintendent Pa;&+ 98 9/10/19 _' `�2rba t ndv AIV -� �,rte : � - -•rte k7l AdW V I What is Cityworks . Y ' Ctive? 3Q r Yr` • Cityworks is an asset management tool that was created for local governments and utility agencies • Cityworks is a total solution to improve our operational effectiveness by tracking , analyzing and scoring YLWD's infrastructure for analysis by engineering 9/10/19 '�o�ba t nca-�{�/a -� � WherT We Started • Cityworks purchased in October 2011 Q • Division Implementations - s -Fire Hydrants 2012 � -Sewer crew 2013 _ -Valve crew 2014 9/10/19 ' b;ba t nc�-W - 3 Page_ f 98 1� .7 J i In September of 2018 , under the direction of the General Manager, we made great advancements in utilizing many of Cityworks capabilities . Our Goals: • Increase efficiency for the District • Uniformity in mapping • Set the example in Southern California for asset management systems 9/10/19 oa Pagf 98 - -•rte ILI Divisions Leak Crew VA • Main line leak • Service line leaks Ada NI � - = • Meter change outs 'a -74 9/10/19 ' b;b a t n 5 • _�=: � Pagf,98 - -•rte Geotab Vehicle System Monitoring R-115 R.47 ❑- Q-1 1 413 5 0-15 0.17 An ,p�wQr 7 _ Fri - J I� 1 P-12 14 1I y ' P-�1 I}-1F 111 4 u3 •� U1 N J-00 0.1 R 012 41i 011J." 15 0.15 X17 •18 :)-11 c 1rM: 1 N hF 7 N N N 1 C pl N 1� N-1 N i4 -15 1� M 17 N-18 11) N-21 1 7i�PF y■H FO X1.7' -M-8 ' M-9 M-14, K4-1 1 F 1 �14 -15 M-15 1-17 M-10 M-10 M�1-24 M.21 2� t� i I I,ed�cLsl,�ah ism I �#� I L•P- I L-E1 �- •11 -13 13 "L-14 -15 I L-1 L-1 L-19 I 13 L �J L-27 L,F2 23 J.1� ? J.i I J.i J. J,2 I J.0 -14• � integration with ItwI ;] Vehicles h own on map —�' R_wl,Wrr�x� - 7- Helps dispatch calls Page 63 of 98 1� J 1 .ice. 1 Customer Service Requests • Tracked by Cityworks • Management has real time data at its disposal • Increased efficiency PAPERLESS a 9/10/19 -"r oYba t nc�-WA/a 7 r•■ - -•rte 74 LI .I NO& Externalizatio Pg-, • Cityworks is now available externally through a secure connection • Mobile application for cellular phones and tablets • Maps at your fingertips i i AW- - # 9/10/19 ' b;b a t n c a-W -� � Pa Vi�a:- �agf,�a - -•rte Nor— Leak Detection Leak Detection Program ,�,�� In 2019 we implemented leak detection* Ease of assigning work, multiple plat sheets at once Eliminated the time it took to map his route on paper " . Ability to assign work order to repair leaks immediate) � �, .-� . a�. �h-�-�. �A�* p Y 9/10/19 '+"�-- Ybr Ta Lina Arate i t `' jv ' } 9 � -Wu age 6G.al�3i k=k-_ DiLAIerts DigAlerts • Photographs of marking a • Takes notes of marked 21 C] EWER VAC-1 areas -JH ., _ 2 FIUN; • Displays water and sewer : 8 lines (Man T �- ( ; aACKH0 2212 41 �.; + 22 Jam; '1 °�"" 1�( 0 - -' ``�LMAAVE 19 ( PS) S,8,NTA ANA CANYON RD IV ER At 9/10/19 _ N'�01 ba t ncN + 10 tab — Pag'�f 98 - -•rte zn Billing System Integration IF Cogsdale to Cityworks Integration & Benefits to Customer Service • Meter change outs • Access account information � • Paperless • Data available 9/10/19 ' b;ba-RIF da-Wa -a Pa 1 9 r•� Y . ' - g� . - -•rte What's next? 'w • Integrating the Asset Management Plan into Cityworks • Maintaining and updating condition scores on a cyclical basis with Cityworks • Engineering will export the scores from Cityworks into the asset plan for future analysis • Internal Cityworks analysis tools will assist with capitol planning and future projects -74 9/10/19 ' b;b a t n ca-�{�/a -a Pa 1 9 r - -•rte Who's next? • Production Dept. • Mechanics • FOG Program • Sewer Camera Software Integration • GIS dashboard • Storeroom • Laserfiche integration -74 9/10/19 � �-� � '�o;ba t nc�a-Wa� —tab � Questions? ti. 9/10/19 ' b;ba t n-da-VA/a : � PagCT f,98 ITEM NO. 7.1. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Minutes of Board of Directors Regular Meeting Held August 13, 2019 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1.Meeting Minutes Page 72 of 98 Minutes of the YLWD Board of Directors Regular Meeting Held August 13, 2019 at 6:30 p.m.1 2019-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Tuesday, August 13, 2019, 2019, 6:30 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1.CALL TO ORDER The meeting was called to order at 6:32 p.m. 2.PLEDGE OF ALLEGIANCE 3.ROLL CALL DIRECTORS PRESENT STAFF PRESENT Brooke Jones, President Brett Barbre, Assistant General Manager Andrew J. Hall John DeCriscio, Operations Manager Al Nederhood Gina Knight, Human Resources and Risk Manager Rosanne Weston, Engineering Manager DIRECTORS ABSENT Annie Alexander, Exec Asst/Board Secretary Phil Hawkins, Vice President Kaden Young, Senior Mgmt Analyst/Asst Board Secretary J. Wayne Miller, PhD Kelly McCann, Senior Accountant ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP 4.ADDITIONS/DELETIONS TO THE AGENDA None. 5.INTRODUCTIONS AND PRESENTATIONS 5.1.Elected Official Liaison Reports None. 5.2.Federal and State Legislative Update None. 6.PUBLIC COMMENTS None. Page 73 of 98 Minutes of the YLWD Board of Directors Regular Meeting Held August 13, 2019 at 6:30 p.m.2 2019-XXX 7.CONSENT CALENDAR Director Nederhood made a motion, seconded by Director Hall, to approve the Consent Calendar. Motion passed 3-0-0-2 with Directors Hawkins and Miller being absent. 7.1.Minutes of the Board of Directors Regular Meeting Held July 9, 2019 Recommendation: That the Board of Directors approve the minutes as presented. 7.2.Minutes of the Board of Directors Regular Meeting Held July 23, 2019 Recommendation: That the Board of Directors approve the minutes as presented. 7.3.Payments of Bills, Refunds, and Wire transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $783,154.56. 7.4.Directors’ and General Manager Fees and Expenses Report for Fourth Quarter of Fiscal Year 2019 Recommendation: That the Board of Directors receive and file the Directors’ and General Manager Fees and Expenses Report for Fourth Quarter of Fiscal Year 2019. 7.5.Declaration of Restrictive Covenants with Dong Shi and Min Wu – 20683 Deodar Dr Recommendation: That the Board of Directors authorize the President and General Manager to execute the Declaration of Restrictive Covenants with Dong Shi and Min Wu. 7.6.Terms and Conditions for Water and Sewer Service with Robert K. Peterson, 5641 Lakeview Avenue Recommendation: That the Board of Directors approve the Terms and Conditions for Water Service with Robert K. Peterson, 5641 Lakeview Avenue, Yorba Linda, Job No. 2019-30. Page 74 of 98 Minutes of the YLWD Board of Directors Regular Meeting Held August 13, 2019 at 6:30 p.m.3 2019-XXX 8.DISCUSSION ITEMS 8.1.Status of Engineering Activities Staff reported on the status of various capital improvement projects, funding for treatment of Per- and Polyfluoroalkyl Substances (PFAS), proposed notification and response levels for PFAS, information obtained from site tours of multiple water treatment plants in the Inland Empire, and other activities. 8.2.Planning for Performance of Water/Sewer Rate Study and Future Proposition 218 Process (Hawkins) The Board and staff discussed the time needed to issue a request for proposals and perform the rate study. They also discussed alternate rate structures and handling pass-through expenses. Staff will prepare a questionnaire listing items requiring Board direction prior to the performance of a rate study for review at the next regular meeting. Director Nederhood noted he would need to participate in the August 27, 2019 Board meeting via teleconference. Julia Schultz, resident, commented on alternate rate structures and public outreach efforts regarding future rate adjustments. 9.REPORTS, INFORMATION ITEMS, AND COMMENTS 9.1.Directors' Reports The Directors noted their attendance at the listed meetings and events. 9.2.General Manager's Report Assistant General Manager Brett Barbre asked each of the managers (or their designees) to report on activities within their respective departments. He then briefed the Board on Diane Dalton’s upcoming retirement after 40+ years of service and reviewed sections of the weekly activity report prepared by Public Affairs. 9.3.General Counsel’s Report General Counsel Andrew Gagen briefed the Board regarding the status of pending litigation between IRWD and OCWD. Page 75 of 98 Minutes of the YLWD Board of Directors Regular Meeting Held August 13, 2019 at 6:30 p.m.4 2019-XXX 9.4.Future Agenda Items and Staff Tasks President Jones requested staff provide the Board with information regarding the upcoming ACWA Region 10 Election. 10.COMMITTEE REPORTS 10.1.Interagency Committee with MWDOC and OCWD (Jones/Hawkins) Minutes of meeting held July 25, 2019 at 4:00 p.m. will be provided when available. Next meeting is scheduled September 26, 2019 at 4:00 p.m. 10.2.Joint Agency Committee with City of Yorba Linda (Jones/Hawkins) Next meeting is scheduled September 16, 2019 at 4:00 p.m. at Yorba Linda City Hall. 10.3.Joint Agency Committee with City of Placentia (Jones/Hawkins) Next meeting is yet to be scheduled. 11.BOARD OF DIRECTORS ACTIVITY CALENDAR 11.1.Meetings from August 14 – September 30, 2019 The Board made no changes to the activity calendar. 12.ADJOURNMENT 12.1.The meeting was adjourned at 8:03 p.m. Annie Alexander Board Secretary Page 76 of 98 ITEM NO. 7.2. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Richard Cabadas, Accounting Assistant II SUBJECT:Payment of Bills, Refunds, and Wire Transfers RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of $1,128,311.88. 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. BACKGROUND: The items on this disbursement list includes: A check of $47,155.25 to CalCard US Bank for July 2019 credit card transactions; a check of $77,823.78 to City of Anaheim for July 2019 electricity charges at multiple locations; a check of $519,426.99 to Orange County Water District for Basin equity assessment fees – CPTP FY19; and a wire of $11,412.81 to So. California Gas Co. for July 2019 gas charges at Highland Ave. The balance of $179,935.41 is routine invoices. The Accounts Payable check register total is $835,754.24; Payroll No. 17 total is $292,557.64 and the total of all listed disbursements for this agenda report is $1,128,311.88. A summary of the disbursements is attached. PRIOR RELEVANT BOARD ACTION: The Board of Directors approves bills, refunds and wire transfers semi-monthly. Page 77 of 98 ATTACHMENTS: 1.Cap Sheet 2.Check Register 3.Credit Card Page 78 of 98 Summary of Disbursements September 10, 2019 CHECK NUMBERS: 09/10/2019 Computer Checks 74820-74885 $ 824,341.43 ____________ $ 824,341.43 WIRES: W082919 So. California Gas Co. $ 11,412.81 ____________ $ 11,412.81 TOTAL OF CHECKS & WIRES $ 835,754.24 PAYROLL NO. 17: Direct Deposits $ 178,294.93 Third Party Checks 7239-7247 $ 23,075.47 Payroll Taxes $ 49,417.23 EFT – CALPERS #17 & TASC #17 $ 41,770.01 $ 292,557.64 TOTAL OF PAYROLL $ 292,557.64 ---------------------------------------------------------------------------------------------------------------------- DISBURSEMENT TOTAL: $1,128,311.88 ================================================================== APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF SEPTEMBER 10, 2019 ==================================================================. Page 79 of 98 Check No.Date Vendor Name Amount Description 74834 09/10/2019 Aqua-Metric Sales Co.23,873.36 OPERATIONS WORK MATERIAL 74835 09/10/2019 Aramark 472.27 UNIFORM SERVICE 74846 09/10/2019 ARC 20.00 PW DOCUMENT MGMT 74836 09/10/2019 Association of California Cities - Orange 5,000.00 AFFILIATE MEMBERSHIP DUES - FY20 74837 09/10/2019 ATS Communications 705.00 PROFESSIONAL SERVICES - TELECOMMUNICATION MANAGEMENT - JULY 197483209/10/2019 AUDLEY DEAN 57.74 CUSTOMER REFUND 74839 09/10/2019 Automotive Electronics Services, Inc.3,099.38 MECHANIC SHOP EQUIPMENT 74838 09/10/2019 Autoscribe Corporation 1,442.50 TRANSACTION VISION GATEWAY - JULY 2019 74840 09/10/2019 Azteca Systems Inc 35,000.00 SERVER AMS ELA - ANNUAL LICENSING FEE 74841 09/10/2019 Bee Busters, Inc 175.00 BEE ABATEMENT - COMMERCIAL 74842 09/10/2019 Boot World Inc.1,360.26 SAFETY BOOTS 74843 09/10/2019 CalCard US Bank 47,155.25 CREDIT CARD TRANSACTIONS - JULY 2019 74844 09/10/2019 Carlos Murillo 228.36 SAFETY BOOTS REIMBURSEMENT 74845 09/10/2019 City Of Anaheim 77,823.78 MULTIPLE LOCATIONS - ELECTRICITY CHARGES - JULY 2019 74826 09/10/2019 COLIN POWER 71.08 CUSTOMER REFUND 74848 09/10/2019 Danielle Logsdon 405.00 PMP EXAM FEE - REIMBURSEMENT 74847 09/10/2019 Daniels Tire Service 730.15 VEH. MAINTENANCE - UNIT #193 74849 09/10/2019 Delta Wye Electric, Inc.1,080.00 WELL 19 PLC REPLACEMENT 74851 09/10/2019 Employee Relations, Inc.172.85 PRE-EMP BACKGROUND CHECK 74852 09/10/2019 Fairway Ford Sales, Inc.100.65 VEHICLE MAINTENANCE - UNIT #205 74825 09/10/2019 FAWAZ ALSAMMAK 15.10 CUSTOMER REFUND 74853 09/10/2019 Federal Express 75.99 FREIGHT CHARGES 74854 09/10/2019 Fleet Services, Inc 66.47 SHOP TOOLS 74821 09/10/2019 FRANK LYNCH 63.35 CUSTOMER REFUND 74855 09/10/2019 Golden Bell Products 10,976.00 MANHOLE - VECTOR CONTROL 74856 09/10/2019 Graybar Electric Co 2,966.00 ADVANCE SUPPORT UNITY PRO 74857 09/10/2019 Hach Company 1,512.83 TOOLS - POCKET COLORIMETER 74858 09/10/2019 Infosend Inc.2,672.80 BILLING & POSTAGE - CUSTOMER BILLING 74859 09/10/2019 Jeff Mc Donald 76.94 TRAVEL & EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 74860 09/10/2019 JIM & NANCI IRWIN 8,394.00 FRONTAGE FEE - 19420 ORIENTE & 19452 ORIENTE 74861 09/10/2019 John Decriscio 118.98 TRAVEL & EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 74822 09/10/2019 JOSE SANCHEZ 30.57 CUSTOMER REFUND 74862 09/10/2019 KB Design 4,022.00 YLWD UNIFORMS 74863 09/10/2019 King Limousine Services, Inc.870.00 SHUTTLE SERVICE - INFRASTRUCTURE TOUR 74864 09/10/2019 Managed Health Network 171.00 EAP - AUGUST 2019 74865 09/10/2019 Marc Marcantonio 13.23 TRAVEL& EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 74866 09/10/2019 Matt Ostiz 102.59 TRAVEL& EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 74867 09/10/2019 Mc Fadden-Dale Hardware 219.37 PRODUCTION REPAIR PARTS 74869 09/10/2019 Nicholas A. Hollon 81.34 TRAVEL & EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 74870 09/10/2019 Nickey Kard Lock Inc 5,725.39 FUEL - 08/01/19 - 08/15/19 74871 09/10/2019 Office Solutions 401.75 OFFICE SUPPLIES & TONER 74823 09/10/2019 OHL USA 533.80 CUSTOMER REFUND 74873 09/10/2019 Orange County Business Council 5,000.00 2019 ANNUAL INVESTMENT 74872 09/10/2019 Orange County Water District 519,426.99 BASIN EQUITY ASSESSMENT FEES - CPTP FY19 74824 09/10/2019 PAUL GONZALEZ 200.32 CUSTOMER REFUND 74874 09/10/2019 Pete's Road Service Inc 2,105.60 VEHICLE MAINTENANCE - UNIT #196 74875 09/10/2019 Powerstride Battery 570.10 STATIONARY ENGINE AND VEHICLE MAINTENANCE 74831 09/10/2019 PRERNA KOCHAR 82.41 CUSTOMER REFUND 74876 09/10/2019 Quinn Company 773.20 STATIONARY ENGINE MAINTENANCE 74879 09/10/2019 Rachel Padilla/Petty Cash 91.19 PETTY CASH - O073119 74829 09/10/2019 RDFN VENTURES INC 367.83 CUSTOMER REFUND 74827 09/10/2019 REMON MELEKA 14.72 CUSTOMER REFUND 74820 09/10/2019 SEAN WIMBER 18.65 CUSTOMER REFUND 74877 09/10/2019 Shred Confidential, Inc.151.60 SHRED ON SITE SERVICE 74878 09/10/2019 South Coast AQMD 1,672.26 ANNUAL RENEWAL FEES AND EMMISION FEES W082919 08/29/2019 Southern Calif Gas Co.11,412.81 HIGHLAND AVE - GAS CHARGES - JULY 2019 74880 09/10/2019 Switch Ltd 552.00 DATA HOSTING - COLOCATION 74828 09/10/2019 TAREK BUYS HOUSES LLC 146.26 CUSTOMER REFUND 74833 09/10/2019 TETRA TECH BAS, INC 1,178.20 CUSTOMER REFUND 74881 09/10/2019 Underground Service Alert 144.98 DIG SAFE BOARD FEES 74882 09/10/2019 Underground Service Alert 344.95 DIGALERT - JULY 2019 74883 09/10/2019 United Water Works, Inc.13,947.62 OPERATIONS WORK MATERIAL 74884 09/10/2019 Vincor Construction, Inc.37,164.33 OFFICE IMPROVEMENTS 74868 09/10/2019 VOID 0.00 VOID 74830 09/10/2019 WEI XUAN 61.99 CUSTOMER REFUND Yorba Linda Water District Check Register For Checks Dated: 08/28/2019 thru 09/10/2019 Page 80 of 98 74850 09/10/2019 White Nelson Diehl Evans LLP 2,100.00 PROFESSIONAL SERVICES - 2ND INTERIM BILLING 74885 09/10/2019 Zane Woller 144.10 TRAVEL & EXPENSE - TRI-STATE CONFERENCE - REIMBURSEMENT 835,754.24 8/22/2019 PAYROLL #17 - EMPLOYEE DIRECT DEPOSIT 178,294.93 8/22/2019 PAYROLL #17 - PAYROLL TAX PAYMENT 49,417.23 8/22/2019 PAYROLL #17 - CALPERS 39,703.37 8/22/2019 PAYROLL #17 - TASC 2,066.64 7239 8/22/2019 COLONIAL LIFE 107.10 7240 8/22/2019 LINCOLN FINANCIAL GROUP 4,385.50 7241 8/22/2019 NATIONWIDE RETIREMENT SOLUTIONS 14,333.61 7242 8/22/2019 CALIFORNIA STATE DISBURSEMENT UNIT 366.92 7243 8/22/2019 CALIFORNIA STATE DISBURSEMENT UNIT 384.92 7244 8/22/2019 AMERICAN HERITAGE LIFE 1,376.13 7245 8/22/2019 MIDLAND LIFE INSURANCE 200.00 7246 8/22/2019 RELIANCE DI 66.61 7247 8/22/2019 AMERITAS 1,854.68 292,557.64 Payroll Checks #17 Page 81 of 98 Vendor Name Amount Description CalCard US Bank (2.10) RETURN - Latch assembly BBQ Galore 86.08 Emergency provision supplies Government Finance Officers 150.00 Job AD- Accountant recruitment KB Design 117.34 Shirts for Dir. Hall & President Jones Stater Bros. Markets 225.94 All hands meeting - Dalton Retirement ACWA-Assn Of Ca Water Agencies 35.00 Travel & Expense - ACWA JPIA HR MEET - Knight, G ACWA-Assn Of Ca Water Agencies 35.00 Travel & Expense - ACWA JPIA HR MEET - Segura, J Factory Motor Parts 30.60 Vehicle maintenance - Unit #193 Gem Meats 357.82 All hands meet - Dalton Retirement Home Depot 158.27 Landscape & miscellaneous supplies Amazon.com 155.65 Mechanic shop supplies Amazon.com 116.05 Office equipment Budco, Inc.263.84 Safety equipment Home Depot 76.02 Electrical supplies-sewer crew Home Depot 211.91 Supplies for e-waste box SHELF MASTER 2,781.00 Deposit - Vault shelf units Home Depot 44.82 Fire extinguisher mounts Amazon.com 161.09 Coffee maker & pots Calif Water Environ Assn (CWEA)490.00 CWEA - SARBS Collection seminar Home Depot 40.25 Supplies - building repairs Home Depot 36.85 (15) Hose adapters ONLINE Information Services, Inc.539.47 Online Collections California Debt and Investment Adv Comm 150.00 Travel & Expense - CDIAC Training - Lugo, D California Debt and Investment Adv Comm 150.00 Travel & Expense - CDIAC Training - Lugo, D Orange County Water Assn.-Dues 30.00 Travel & Expense - OCWA Luncheon - Dir. Miller Rite Aid 8.61 Office supplies Southwest Airlines 142.96 Travel & Expense - CDIAC Training - Lugo, D Stater Bros. Markets 21.51 Cleaning supplies - facilities Syba Systems LLC 338.00 Maintenance parts -Well 1 & 18 USA Blue Book 144.99 Hydrant bags - Not in Service Verizon Wireless 3,913.11 Verizon Wireless -5/21-6/20 Chefs Toys 5,662.79 MRE cooking equipment Home Depot 174.70 Water maintenance - storage supplies Marriott Hotels 268.68 Travel & Expense - CDIAC Training - Lugo, D North American Recycling and Crushing, LLC 220.00 Road material disposal Orange County Water Assn.-Dues 45.00 OCWA registration - MM Alphabet Signs 469.00 Outdoor enclosed letter board Factory Motor Parts 31.68 Vehicle maintenance - Unit #199 North American Recycling and Crushing, LLC 220.00 Road material disposal Reel Lumber Service 145.30 Hardware supplies - stand Adobe 52.99 ADOBE Creative cloud subscription Amazon.com 92.25 Computer supplies Amazon.com 32.98 Office supplies AWWA - CA-NV Section 1,430.00 2019 WTR EDU Seminar - 11 attendees 10-Sep-19 Cal Card Credit Card U S Bank Page 82 of 98 42.98 Lunch meeting - (2) attendees 30.83 Sewer staff meeting 10.21 Hardware supplies - stand 24.23 Lunch meet - (3) attendees 7.76 Mechanic shop supplies 41.46 Rubber safety mats & keys 12.87 Vehicle maintenance - Unit #200 21.68 Vehicle maintenance - Unit #202 751.12 Safecote Doc Boxes & acid free 49.93 Cleaning supplies - facilities 23.25 Vehicle maintenance - Unit #189 73.82 Car wash equipment repair parts 249.28 Vehicle maintenance - Unit #175 39.14 Office supplies 69.86 Danger - Out of Service - Tags 346.30 MRE cooking equipment 12.11 MRE cooking equipment 119.90 Team building - Collections crew 34.73 Electrical supplies - facilities 49.24 Mechanic shop supplies 122.42 Team building - Collections crew 21.94 Team building - Collections crew 148.74 Safety equipment 459.00 Sandblast & powder coat AirVac 285.00 Annual membership renewal -Lugo, McCann, Young 500.00 Encroachment permit fee 324.17 Replacement jack - Unit #E194 41.93 Shelfs and straps - Miraloma 545.05 Virtual receptionist service - After Hours 580.12 Vehicle maintenance - Unit #197 1,695.00 Maintenance - Fujitsu scanner 184.77 MRE cooking equipment 70.69 Accounting interview lunch - 5 attendees 180.56 J19-36 - Heli-Hydra parts 26.91 Shop supplies 305.92 Shop supplies 140.95 Vehicle maintenance - Unit #197 46.99 J19-36 - Heli-Hydra parts 345.82 Vehicle maintenance - Unit #215 41.48 Waterline marking tape 119.40 CANVA Graphics Pro 30.00 OCWA Luncheon - President Jones 89.12 Lunch meeting - (5) attendees 199.00 Wildcard certificates 9.98 Meeting supplies 3,201.60 AutoCAD AEC collection license 37.55 Vehicle maintenance - Unit #198 26.92 Plastic wrap for pipes 3,079.71 District intranet, internet and cable service 1,184.50 Travel & Expense - MMC Academy - Alexander, A Craftsman Wood Fired Pizza Graziano's Italian Restaurant Home Depot Jersey Mike's Mc Fadden-Dale Hardware Chefs Toys Factory Motor Parts Factory Motor Parts Hollinger - Metal Edge Home Depot Simplykeys.com Alternative Hose Inc. Amazon.com Amazon.com Amazon.com Bed Bath & Beyond Container Stores Gem Meats Home Depot Mc Fadden-Dale Hardware Smart & Final Stater Bros. Markets Traffic Safety Store Americoat Powder Coating Cal Municipal Treasurers Assn City Of Brea Fleet Services, Inc Home Depot Answer One Communications Fleet Services, Inc Fujitsu Scanner Store Bed Bath & Beyond Craftsman Wood Fired Pizza Home Depot Home Depot Home Depot Inland Kenworth USA Inc United Water Works, Inc. Amazon.com Amazon.com Canva Pty Ltd. Orange County Water Assn.-Dues Rodrigo's Restaurant SSL Guru VONS DLT Solutions, LLC. Factory Motor Parts Home Depot Time Warner Cable Miller Management Consulting Lyft 18.79 Travel & Expense -Tri-State Conference- DeCriscio, J Page 83 of 98 M Resort Spa Casino 841.05 Travel & Expense -Tri-State Conference- DeCriscio, J Orange County Water Assn.-Dues 70.00 OCWA Membership - Dir. Nederhood Placentia Disposal #676 564.18 Placentia Disposal South Point Hotel 907.90 Travel & Expense -Tri-State Conference - 6 rooms Big B's Texas BBQ 27.89 Travel & Expense -Tri-State Conference - Vargas, B Kates Korner 5.36 Travel & Expense -Tri-State Conference- Vargas, B Primarily Prime Rib 98.08 Travel & Expense -Tri-State Conference- (3) attendees South Point Hotel 15.59 Travel & Expense - Tri-State Seminar - Marcantonio, M South Point Hotel 15.42 Travel & Expense - Tri-State Seminar - Marcantonio, M South Point Hotel 16.42 Travel & Expense - Tri-State Seminar - McDonald, J South Point Hotel 14.94 Travel & Expense - Tri-State Seminar - Hollon, N South Point Hotel 18.67 Travel & Expense -Tri-State Conference- DeCriscio, J South Point Hotel 20.15 Travel & Expense -Tri-State Conference- Vargas, B Terrible Herbst 44.91 Travel & Expense -Tri-State Conference- DeCriscio, J ALLEN Instruments & Supplies 495.00 AIS Support Baja Miguels 25.60 Travel & Expense -Tri-State Conference - Vargas, B Costco 209.83 Breakroom supplies Factory Motor Parts 211.24 Vehicle maintenance - Unit #200 Fullerton Paint & Flooring 48.20 Paint for Air Vac Giordano's 23.50 Travel & Expense -Tri-State Conference- Vargas, B HD Work Gear 85.45 Industrial umbrella - OPS Home Depot 154.17 Tools & hardware supplies Home Depot 62.43 Painting & cleaning supplies Light Bulbs Etc 223.26 16 pk lightbulbs - Facilities McDonald's 7.89 Travel & Expense - Tri-State Seminar - McDonald, J NEOGOV, Inc.3,472.88 NEOGOV Insight software license Powerstride Battery 342.40 Batteries for Station engines South Point Hotel 107.10 Travel & Expense - Tri-State Seminar - Marcantonio, M South Point Hotel 17.59 Travel & Expense -Tri-State Conference- DeCriscio, J Studio B Buffet 27.05 Travel & Expense -Tri-State Conference- DeCriscio, J CalCard US Bank (1,278.40) REFUND - ARMA Int'l cancellation ACWA-Assn Of Ca Water Agencies 725.00 Travel & Expense - ACWA Fall Conference - Marcantonio Caesars Las Vegas 149.66 Travel & Expense - CRWUA Conference - Dir. Nederhood Caesars Las Vegas 149.66 Travel & Expense - CRWUA Conference - Marcantonio, M Colorado River Water User Association 505.00 Travel & Expense - CRWUA Conference - Marcantonio, M CSDA 625.00 CSDA Annual Conference - Dir. Nederhood CSDA 850.00 Travel & Expense - CSDA Annual Conference - Marcantonio, M Don Wolf & Associates Inc.315.50 Maintenance parts - gas analyzer Home Depot 63.57 Maintenance parts M Resort Spa Casino 17.06 Travel & Expense -Tri-State Conference- DeCriscio, J Municipal Water District 180.00 MWDOC Water policy - President Jones & Talarico, P Myers Tire Supply 23.87 Mechanice shop supplies Placentia Chamber Of Commerce 135.00 Placentia State of City - (3) attendees Government Finance Officers 85.00 GFOA training - GASB 87 - Lugo, D Colorado River Water User Association 505.00 Travel & Expense - CRWUA Conference - President Jones 47,155.25 Page 84 of 98 ITEM NO. 8.1. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Kaden Young, Senior Management Analyst SUBJECT:Scope of Work for Water and Sewer Rate Study RECOMMENDATION: That the Board of Directors approve the proposed Scope of Work and direct staff to prepare a Professional Services Agreement with Raftelis Financial Consultants, Inc. (Raftelis) for preparation and development of a new Water and Sewer Rate Study. SUMMARY: The rate study objectives are: 1.develop financial plans for the water and sewer enterprises to ensure financial sufficiency, meet operation and maintenance costs, and ensure sufficient funding for capital repair and replacement needs; 2.the analysis contained in the rate study makes assumptions regarding customer water usage as a direct result of Governor Brown’s Executive Order B-37-16, “Making Water Conservation a California Way of Life” and Senate Bill 606 with Assembly Bill 1668 and ensures that the District is financially prepared for a period of reduced sales; 3.conduct a cost-of-service analysis for the water and sewer services; and 4.develop fair and equitable 4-year water and sewer rates to enhance revenue stability for recovering fixed costs while in compliance with Proposition 218 requirements. The scope of work is: 1.Raftelis Financial Consultants, Inc. (consultant) will conduct an in-person kick-off meeting with District staff to discuss project priorities, data needs, and the project schedule. Consultant will also need to prepare a data request list that will be discussed during the meeting. 2.Develop a 10-year financial plan model for the potable water and wastewater services that determines the revenue requirements based on projected revenues, operating and Page 85 of 98 maintenance expenditures including capital improvements, debt service coverage, and adequate reserve funding. The analysis should incorporate the District’s debt service and reserve funding policies as well as any other policy considerations that the District determines are priorities. 3.Prepare a cost of service analysis that fairly and equitably allocates costs to customer classes while adequately funding revenue requirements including operations and maintenance, capital improvements, and debt service. The analysis must ensure that rates, fees and charges are defensible and comply with the requirements of Proposition 218 and other regulations. 4.Provide a comparative analysis that illustrates how the District’s rates compare in cost to neighboring utilities. 5.Utilize the District’s existing uniform rate structure with an “emergency” set of rates that would be triggered by emergency situations such as drought declarations or loss of water resource(s). 6.Determine additional set of rates for capital improvement and/or water treatment. 7.Determine what aspects of expenses are covered by monthly base fees versus water usage charges. 8.Calculate potential pass through costs and where to implement (base/commodity). 9.Prepare draft and final reports that summarize the results and recommendations of the study and serve as a document of record in compliance with Proposition 218. Draft and final deliverables shall be made available in Word, Excel, and PDF file formats. Word and Excel formats shall be editable by District staff. 10.Conduct rate workshops with staff and Board of Directors. 11.Develop the Proposition 218 notice of public hearing and present the study to District Board of Directors and the public at the hearing. 12.Conduct a minimum of two community meetings to inform the public of any rate changes prior to the Proposition 218 hearing. However, prior to finalizing the scope of work, the following must be provided to Raftelis: 1.5 and 10 year CIP schedules, including debt funding amount 2.Status of PFAS treatment, debt fund or pay-go (OCWD agreement) 3.Sewer: Community Facilities District? If decision takes longer than anticipated, YLWD may consider moving forward with water rate study only and defer the sewer rate study for a later time. FISCAL IMPACT: To be determined once Consultant reviews and accepts scope of work proposal. BACKGROUND: The current water and sewer rate study report (rate study), was prepared and finalized on August 25, 2015 by Raftelis Financial Consultants, Inc. The water and sewer industries have changed drastically within the five-year (2015-2020) term of the current rate study. With new legislation being implemented and more pending at the State level, the Board of Directors asked staff to move forward with Raftelis to prepare a new water and sewer rate study. Page 86 of 98 PRIOR RELEVANT BOARD ACTION: The Board of Directors provided staff with recommendations for the new water/sewer rate study at the August 28, 2019 regular Board of Directors meeting. STRATEGIC PLAN INITIATIVE: G2: Fiscal Responsibility; I3: Equitable Rates Page 87 of 98 ITEM NO. 8.2. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Association of California Water Agencies (ACWA) Region 10 Election of Officers and Board Members for 2020-2021 Term RECOMMENDATION: That the Board of Directors consider voting for the Nominating Committee's recommended slate or individual candidates in the ACWA Region 10 Board Election. SUMMARY: ACWA's ten regions were established to provide geographic balance and representation by its membership throughout the state. Region 10 encompasses both Orange and San Diego counties and its board members are elected to represent the issues, concerns and needs of this region. The District is entitled to cast one vote for each of the Region 10 positions (chair, vice chair, and up to five board members). FISCAL IMPACT: None. BACKGROUND: The Region 10 chair and vice chair will serve on ACWA's Board of Directors for the next two- year term of office beginning January 1, 2020. The newly elected chair will communicate the region board's committee recommendations to the ACWA President for the 2020-21 term. Either the chair or vice chair will serve on the ACWA Finance Committee. Additionally, the Region 10 chair and vice chair must be from different counties. The 2020-21 term will consist of a chair and 2 board members from San Diego County and a vice chair and 3 board members from Orange County. At least one of the chair or vice chair positions must be an elected/appointed director from a member agency. Page 88 of 98 The Region 10 ballot is attached and includes the Region 10 Nominating Committee's recommended slate or an option to vote for individual candidates for chair, vice chair and up to five members of the Board. The completed ballot will need to be returned to ACWA by September 30, 2019. PRIOR RELEVANT BOARD ACTION: The District has participated in previous ACWA Region 10 elections. ATTACHMENTS: 1.Ballot and Candidate Information Page 89 of 98 2020-2021TERMOFFICIAL Please return completed ballot by September 30, 2019 E-mail: regionelections@acwa.com Mail: ACWA 910 K Street, Suite 100 Sacramento, CA 95814 General Voting Instructions: 1 You may either vote for the slate recommended by the Region 10 Nominating Committee or vote for individual region board members (please note UXOHV UHJXODWLRQVIRUVSHFLƓF TXDOLƓFDWLRQV 0DUNWKH appropriate box to indicate your decision. 2 Complete your agency information. The authorized representative is determined by your agency in accordance with your agency’s policies and procedures. Region 10 Rules & Regulations: The chair and vice chair shall be from different counties. The 2020-2021 Term shall consist of a Chair and 2 Board Members from San Diego County and a Vice Chair and 3 Board Members from Orange County. At least one of the chair or vice chair positions must be an elected/ appointed director from a member agency. AGENCY NAME AUTHORIZED REPRESENTATIVE DATE 1 2 Nominating Committee’s Recommended Slate I concur with the Region 10 Nominating Committee’s recommended slate below. CHAIR: DeAna Verbeke, Board Member, +HOL[:DWHU'LVWULFW 6DQ'LHJR&RXQW\ VICE CHAIR: Cathy Green'LUHFWRU2UDQJH&RXQW\:DWHU'LVWULFW 2UDQJH&RXQW\ BOARD MEMBERS: • Jim Atkinson'LUHFWRU0HVD:DWHU'LVWULFW 2UDQJH&RXQW\ • Betty Evans'LUHFWRU9LFH3UHVLGHQW9DOOHFLWRV:DWHU'LVWULFW 6DQ'LHJR&RXQW\ • Charles T. Gibson%RDUG0HPEHU6DQWD0DUJDULWD:DWHU'LVWULFW 2UDQJH&RXQW\ • Shauna Lorance'HSDUWPHQW'LUHFWRU&LW\RI6DQ'LHJR3XEOLF8WLOLWLHV 6DQ'LHJR&RXQW\ • George Murdoch'LUHFWRU(DVW2UDQJH&RXQW\:DWHU'LVWULFW 2UDQJH&RXQW\ OR Individual Board Candidate Nominations 6HH5XOHV 5HJXODWLRQVEHIRUHVHOHFWLQJ I do not concur with the Region 10 Nominating Committee’s recommended slate. I will vote for individual candidates below as indicated. CANDIDATES FOR CHAIR: (CHOOSE ONE) Shauna Lorance'HSW'LUHFWRU&LW\RI6DQ'LHJR3XEOLF8WLOLWLHV 6DQ'LHJR&RXQW\ DeAna Verbeke%RDUG0HPEHU+HOL[:DWHU'LVWULFW 6DQ'LHJR&RXQW\ CANDIDATES FOR VICE CHAIR: (CHOOSE ONE) Cathy Green'LUHFWRU2UDQJH&RXQW\:DWHU'LVWULFW 2UDQJH&RXQW\ CANDIDATES FOR BOARD MEMBERS: (MAX OF 5 CHOICES) Jim Atkinson, Director, 0HVD:DWHU'LVWULFW 2UDQJH&RXQW\ Betty Evans'LUHFWRU9LFH3UHVLGHQW9DOOHFLWRV:DWHU'LVWULFW 6DQ'LHJR&RXQW\ Charles T. Gibson%RDUG0HPEHU6DQWD0DUJDULWD:DWHU'LVWULFW 2UDQJH&RXQW\ Cathy Green'LUHFWRU2UDQJH&RXQW\:DWHU'LVWULFW 2UDQJH&RXQW\ Hayden Hamilton'LUHFWRU5DLQERZ0XQLFLSDO:DWHU'LVWULFW 6DQ'LHJR&RXQW\ Shauna Lorance'HSW'LUHFWRU&LW\RI6DQ'LHJR3XEOLF8WLOLWLHV 6DQ'LHJR&RXQW\ Mark Monin9LFH3UHVLGHQW(O7RUR:DWHU'LVWULFW 2UDQJH&RXQW\ George Murdoch'LUHFWRU(DVW2UDQJH&RXQW\:DWHU'LVWULFW 2UDQJH&RXQW\ Peer Swan%RDUG'LUHFWRU,UYLQH5DQFK:DWHU'LVWULFW 2UDQJH&RXQW\ Richard L. Vasquez, Vice President, Board of Directors, Division 2, Vista Irrigation 'LVWULFW 6DQ'LHJR&RXQW\ DeAna Verbeke%RDUG0HPEHU+HOL[:DWHU'LVWULFW 6DQ'LHJR&RXQW\ REGION 10 Board Ballot CLEAR FORM Page 90 of 98 Page 91 of 98 Page 92 of 98 Page 93 of 98 Page 94 of 98 Page 95 of 98 ITEM NO. 10.1. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Directors' Reports The Directors will report on their attendance at the following events: 1.OCSD Board - August 28, 2019 (Hawkins) 2.ISDOC Executive Committee - September 3, 2019 (Nederhood) 3.SAWPA Commission - September 3, 2019 (Jones - As Needed) 4.MWDOC Board - September 4, 2019 (Miller/Nederhood) 5.OCWD Board - September 4, 2019 (Jones) 6.MWDOC Water Policy Forum - September 5, 2019 (Jones/Miller/Nederhood) 7.WACO - September 6, 2019 (Jones/Nederhood) Page 96 of 98 ITEM NO. 12.1. AGENDA REPORT MEETING DATE:September 10, 2019 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Meetings from September 11 - October 31, 2019 ATTACHMENTS: 1.Board of Directors' Activities Calendar Page 97 of 98 Board of Directors Activity Calendar Event Date Time Attendance_by_ September OC LAFCO Wed, Sep 11 8:15 AM Nederhood (As Needed) YL Planning Commission Wed, Sep 11 6:30 PM Hawkins (As Needed) YL Mayor's Prayer Breakfast Thu, Sep 12 6:45 AM Jones/Miller/Nederhood Joint Committee Meeting with City of Yorba Linda Mon, Sep 16 4:00 PM Jones/Hawkins WACO Planning Committee Tue, Sep 17 7:30 AM Jones/Nederhood SAWPA Commission Tue, Sep 17 9:30 AM Jones (As Needed) YL City Council Tue, Sep 17 6:30 PM Hall MWDOC Board Wed, Sep 18 8:30 AM Miller/Nederhood OCWA Luncheon Wed, Sep 18 11:30 AM OCWD Board Wed, Sep 18 5:30 PM Jones Board of Directors Regular Meeting Tue, Sep 24 6:30 PM Placentia State of the City Wed, Sep 25 11:30 AM Jones/Nederhood OCSD Board Wed, Sep 25 6:00 PM Hawkins YL Planning Commission Wed, Sep 25 6:30 PM Hawkins (As Needed) CSDA Annual Conference Thu, Sep 26 8:00 AM Nederhood Interagency Committee Meeting with MWDOC and OCWD Thu, Sep 26 4:00 PM Jones/Hawkins CSDA Annual Conference Fri, Sep 27 8:00 AM Nederhood October ISDOC Executive Committee Tue, Oct 1 7:30 AM Nederhood SAWPA Commission Tue, Oct 1 9:30 AM Jones (As Needed) YL City Council Tue, Oct 1 6:30 PM Miller MWDOC Board Wed, Oct 2 8:30 AM Miller/Nederhood OCWD Board Wed, Oct 2 5:30 PM Jones WACO Fri, Oct 4 7:30 AM Board of Directors Regular Meeting Tue, Oct 8 6:30 PM OC LAFCO Wed, Oct 9 8:15 AM Nederhood (As Needed) YL Planning Commission Wed, Oct 9 6:30 PM Hawkins (As Needed) WACO Planning Committee Tue, Oct 15 7:30 AM Jones/Nederhood SAWPA Commission Tue, Oct 15 9:30 AM Jones (As Needed) YL City Council Tue, Oct 15 6:30 PM Nederhood MWDOC Board Wed, Oct 16 8:30 AM Miller/Nederhood OCWA Luncheon Wed, Oct 16 11:30 AM OCWD Board Wed, Oct 16 5:30 PM Jones ACWA Regulatory Summit Thu, Oct 17 8:00 AM Miller - Tentative CA-NV AWWA Fall Confernece Mon, Oct 21 8:00 AM CA-NV AWWA Conference Tue, Oct 22 8:00 AM Board of Directors Regular Meeting Tue, Oct 22 6:30 PM CA-NV AWWA Conference Wed, Oct 23 8:00 AM MWDOC/OCWD Joint Planning Committee Wed, Oct 23 8:30 AM OCSD Board Wed, Oct 23 6:00 PM Hawkins YL Planning Commission Wed, Oct 23 6:30 PM Hawkins (As Needed) CA-NV AWWA Conference Thu, Oct 24 8:00 AM ISDOC Thu, Oct 24 11:30 AM As of September 4, 2019 Page 98 of 98