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HomeMy WebLinkAbout2020-03-10 - Board of Directors Meeting Agenda Packet (B)AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING  Tuesday, March 10, 2020, 6:30 PM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. PLEDGE OF ALLEGIANCE 3. ROLL CALL   Phil Hawkins, President Andrew J. Hall, Vice President Brooke Jones, Director J. Wayne Miller, PhD, 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. Special Recognition of Marc Marcantonio, General Manager  5.2. Elected Official Liaison Reports  5.3. 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.   7.1.Minutes of the Board of Directors Regular Meeting Held February 11, 2020   Recommendation:  That the Board of Directors approve the minutes as  presented.  7.2.Minutes of the Board of Directors Special Meeting Held February 18, 2020   Recommendation:  That the Board of Directors approve the minutes as  presented. Page 1 of 80  7.3.Payments of Bills, Refunds, and Wire Transfers   Recommendation:  That the Board of Directors ratify and authorize  disbursements in the amount of $1,858,019.60.   7.4.Budget to Actual Reports for Month Ending January 31, 2020   Recommendation:  That the Board of Directors receive and file the Budget to  Actual Reports for the month ending January 31, 2020.  7.5.Cash and Investment Report for Period Ending January 31, 2020   Recommendation:  That the Board of Directors receive and file the Cash and  Investment Report for the period ending January 31, 2020.  7.6.Unaudited Financial Statements for Second Quarter of Fiscal Year 2020   Recommendation:  That the Board of Directors receive and file the Unaudited  Financial Statements for Second Quarter of FY20.  7.7.Directors' and General Manager Fees and Expenses Report for Second  Quarter of Fiscal Year 2020   Recommendation:  That the Board of Directors receive and file the Directors'  and General Manager Fees and Expenses Report for Second Quarter of  FY20.  7.8.No­Cost Change Order No. 1 for Camino Verde and Mickel Lane Waterline  Improvement Project   Recommendation:  That the Board of Directors approve Change Order No. 1  for the Camino Verde and Mickel Lane Waterline Improvement Project, J2018­ 03. 8. ACTION CALENDAR  8.1.Contract Award for Revolving Line of Credit   Recommendation:  That the Board of Directors authorize staff to award a  contract for a $20 Million Revolving Line of Credit to Opus Bank and accept  their listed Terms and Conditions. 9. DISCUSSION ITEMS  This portion of the agenda is for matters that cannot reasonably be expected to be concluded by action  of the Board or Committee at the meeting, such as technical presentations, drafts of proposed policies,  or similar items for which staff is seeking advice and counsel. 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. Treatment of Groundwater Supplies to Remove Per­ and Polyfluoroalkyl  Substances (PFAS)  9.2. Status of Operations Activities 10. REPORTS, INFORMATION ITEMS, AND COMMENTS  10.1. Directors' Reports Page 2 of 80  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 (Hawkins/Nederhood)  Meeting scheduled Thursday, March 26, 2020 at 4:00 p.m. has been  cancelled. Next meeting is scheduled Thursday, May 28, 2020 at 4:00 p.m. at  YLWD.  11.2. Joint Agency Committee with City of Yorba Linda (Hawkins/Jones)  Next meeting is scheduled Monday, March 23, 2020 at 4:00 p.m. at YL  City Hall.  11.3. Joint Agency Committee with City of Placentia (Hawkins/Hall)  Next meeting is scheduled Wednesday, April 29, 2020 at 3:00 p.m. at  YLWD. 12. BOARD OF DIRECTORS ACTIVITY CALENDAR  12.1. Meetings from March 11 ­ April 30, 2020 13. ADJOURNMENT  13.1. The next Regular Board Meeting will be held Tuesday, March 24, 2020.   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 80 ITEM NO. 7.1. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Minutes of the Board of Directors Regular Meeting Held February 11, 2020 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1.Draft Meeting Minutes (Regular) Page 4 of 80 Minutes of the YLWD Board of Directors Regular Meeting Held November February 11, 2020 at 6:30 p.m.1 2020-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Tuesday, February 11, 2020, 6:30 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1.CALL TO ORDER The meeting was called to order at 6:30 p.m. 2.PLEDGE OF ALLEGIANCE 3.ROLL CALL DIRECTORS PRESENT STAFF PRESENT Phil Hawkins, President Marc Marcantonio, General Manager Andrew J. Hall, Vice President Brett Barbre, Assistant General Manager Brooke Jones John DeCriscio, Operations Manager J. Wayne Miller, PhD Gina Knight, Human Resources and Risk Manager Al Nederhood Delia Lugo, Finance Manager Pasquale Talarico, Director of Public Affairs Rosanne Weston, Engineering Manager Annie Alexander, Executive Asst/Board Secretary Kaden Young, Sr Management Analyst ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP 4.ADDITIONS/DELETIONS TO THE AGENDA President Hawkins requested to add the following to the agenda as Item 5.3.: Award from Yorba Linda Chamber of Commerce Director Hawkins made a motion, seconded by Director Hall, to add this item to the agenda. Motion carried 5-0-0-0. 5.INTRODUCTIONS AND PRESENTATIONS 5.1.Elected Official Liaison Reports None. Page 5 of 80 Minutes of the YLWD Board of Directors Regular Meeting Held November February 11, 2020 at 6:30 p.m.2 2020-XXX 5.2.Federal and State Legislative Update Staff reported on the status of public outreach activities including scheduled tours of YLWD’s Infrastructure and the District’s Annual Open House on May 16, 2020. Staff then reviewed the status of relevant pending legislation. 5.3.Award from Yorba Linda Chamber of Commerce Director Jones presented a plaque received from the Yorba Linda Chamber of Commerce recognizing the District as “Business of the Month” for February 2020. 6.PUBLIC COMMENTS None. 7.CONSENT CALENDAR Director Miller made a motion, seconded by Director Jones, to approve the Consent Calendar. Motion carried 5-0-0-0. 7.1.Minutes of the Board of Directors Special and Regular Meetings Held January 28, 2020 Recommendation: That the Board of Directors approve the minutes as presented. 7.2.Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $890,097.50. 7.3.Additional Capital Improvements for Hidden Hills Booster Pump Station Recommendation: That the Board of Directors authorize staff to re- prioritize the 5-year Capital Improvement Plan (CIP) to cover an estimated $380,000 in additional expenses for the Hidden Hills Booster Pump Upgrade Project to improve the safety and functionality of the facility. 7.4.Claim for Damages Filed by Shernoff Bidart Echeverria, LLP Recommendation: That the Board of Directors reject the claim filed by Shernoff Bidart Echeverria, LLP and refer it to ACWA-JPIA for further handling. Page 6 of 80 Minutes of the YLWD Board of Directors Regular Meeting Held November February 11, 2020 at 6:30 p.m.3 2020-XXX 8.DISCUSSION ITEMS 8.1.Treatment of Groundwater Supplies to Remove Per- and Polyfluoroalkyl Substances (PFAS) Staff briefed the Board on the status of OCWD’s PFAS Treatment Agreement and a recent infrastructure tour conducted by staff for local representatives of the Division of Drinking Water. Staff also reported on their attendance at City of Fullerton’s Water Forum and their tour of San Gabriel Valley Water Company’s water treatment facilities. The Board and staff then discussed a 19-month schedule for design and construction of the District’s PFAS Treatment Plant, time-saving and financial advantages of sole-sourcing construction of the project, and provisions in the District’s purchasing policy related to emergencies and sole-sourcing. Staff will prepare an accelerated construction schedule, proposed revisions to the purchasing policy (if necessary), and a Professional Services Agreement for Owner’s Advisor Services (if possible), for consideration at a special Board meeting scheduled Tuesday, February 18, 2020 at 5:00 p.m. 8.2.Status of Engineering Activities Staff announced that the District had received an ASCE OC Branch Outstanding Water Project Award for the Fairmont Booster Pump Station Upgrade Project. Staff also reported on their presentation at UC Riverside for the Women Engineering Student Mentorship Program, and status of the on-call professional services contracts and ESCO qualifications submittals. Selection of the ESCO will also be considered at the special Board meeting on February 18, 2020. Staff then reviewed the status of various construction projects. 9.REPORTS, INFORMATION ITEMS, AND COMMENTS 9.1.Directors' Reports The Directors noted their attendance at the listed meetings and events. President Hawkins mentioned that he was working with staff to identify dates for potential workshop meetings over the next few months. Suggested dates were March 5, April 23, May 19, and June 11, 2020. The budget workshop meeting would be held in the evening. 9.2.General Manager's Report General Manager Marcantonio reported that staff would be participating in a presentation for Yorba Linda City Councilmember Carlos Rodriguez Page 7 of 80 Minutes of the YLWD Board of Directors Regular Meeting Held November February 11, 2020 at 6:30 p.m.4 2020-XXX regarding SCAQMD’s Rule 1403. He also reported that staff had met with Mr. Jon Conk, Vice President of Project Dimensions, as requested by the Board. He then asked each of the managers to report on activities within their respective departments. 9.3.General Counsel’s Report General Counsel Gagen briefly commented on potential cost recovery litigation associated with PFAS. 9.4.Future Agenda Items and Staff Tasks Director Nederhood inquired as to the status of a few items he had previously requested from staff. He also requested a report on various categories of historical expenditures in order to evaluate the District’s funding of depreciation. Following brief discussion, Director Nederhood indicated he would bring his request for information back for consideration at a later time. 10.COMMITTEE REPORTS 10.1.Interagency Committee with MWDOC and OCWD (Hawkins/Nederhood) Next meeting is scheduled Thursday, March 26, 2020 at 4:00 p.m. at YLWD. 10.2.Joint Agency Committee with City of Yorba Linda (Hawkins/Jones) Next meeting is scheduled Monday, March 23, 2020 at 4:00 p.m. at YL City Hall. 10.3.Joint Agency Committee with City of Placentia (Jones/Hawkins) Minutes of the meeting held Wednesday, January 15, 2020 at 3:00 p.m. were included in the agenda packet. Next meeting is scheduled Wednesday, April 29, 2020 at 3:00 p.m. at YLWD. Page 8 of 80 Minutes of the YLWD Board of Directors Regular Meeting Held November February 11, 2020 at 6:30 p.m.5 2020-XXX 11.BOARD OF DIRECTORS ACTIVITY CALENDAR 11.1.Meetings from February 12 – March 31, 2020 The Board made no changes to the activity calendar. 12.ADJOURNMENT 12.1.The meeting was adjourned at 8:12 p.m. Annie Alexander Board Secretary Page 9 of 80 ITEM NO. 7.2. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Assistant/Board Secretary SUBJECT:Minutes of the Board of Directors Special Meeting Held February 18, 2020 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1.Draft Meeting Minutes (Special) Page 10 of 80 Minutes of the YLWD Board of Directors Special Meeting Held February 18, 2020 at 5:00 p.m.1 2020-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS SPECIAL MEETING Tuesday, February 18, 2020, 5:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1.CALL TO ORDER The meeting was called to order at 5:00 p.m. 2.PLEDGE OF ALLEGIANCE 3.ROLL CALL DIRECTORS PRESENT STAFF PRESENT Phil Hawkins, President Brett Barbre, Assistant General Manager Andrew J. Hall, Vice President John DeCriscio, Operations Manager Brooke Jones Gina Knight, Human Resources and Risk Manager J. Wayne Miller, PhD Delia Lugo, Finance Manager Rosanne Weston, Engineering Manager DIRECTORS ABSENT Divya Agrawalla, Principal Engineer Al Nederhood Annie Alexander, Executive Asst/Board Secretary Kaden Young, Senior Management Analyst ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP 4.PUBLIC COMMENTS None. 5.ACTION CALENDAR 5.1.Selection of Energy Services Company (ESCO) Staff reviewed the ESCO’s process for conducting an energy audit and presenting scopes of work for proposed projects to the Board. Staff noted that the District was not obligated to move forward with any proposed projects resulting from the audit. Page 11 of 80 Minutes of the YLWD Board of Directors Special Meeting Held February 18, 2020 at 5:00 p.m.2 2020-XXX Director Miller made a motion, seconded by Hall, to authorize staff to move forward with selecting Climatec, an Energy Services Company, to prepare a detailed Technical Energy Audit to identify energy efficient and operational savings-related infrastructure improvements at no cost to the District. Motion carried 4-0-0-1 with Director Nederhood being absent. 5.2.Terms and Conditions for Sewer Service with Binion, 5282 Sunset Lane Director Jones made a motion, seconded by Director Hall, to approve the Terms and Conditions for Sewer Service with Binion, 5282 Sunset Lane, Job 2020-06S. Motion carried 4-0-0-1 with Director Nederhood being absent. 5.3.Professional Services Agreement (PSA) for PFAS Treatment Plant Owner’s Advisor Services Staff responded to questions from the Board regarding the sample PSA included in the agenda packet and setting a not to exceed amount for the contract. Director Hall made a motion, seconded by Director Jones, to authorize the General Manager to execute a Professional Services Agreement (pending review and approval as to form by General Counsel and inclusion of a not to exceed amount) for PFAS Treatment Plant Owner’s Advisor Services with Carollo Engineers, Inc. Motion carried 4-0-0-1 with Director Nederhood being absent. 6.DISCUSSION 6.1.Schedule for Fast-Tracking Construction of Water Treatment Plant to Remove Per- and Polyfluoroalkyl Substances (PFAS) Staff presented multiple options for fast-tracking construction of the project. While included as an option, staff advised against sole-sourcing the project. Vice President Hall suggested the Owner’s Advisor present scenarios for early delivery of treated groundwater at a future Board meeting, potentially March 24, 2020. The Board and staff discussed the status of Orange County Water District’s PFAS Treatment Agreement, the implications of revising or making an exception to the District’s Purchasing Policy as related to emergencies and sole-sourcing, and potential financial incentives for encouraging early completion of the project. Page 12 of 80 Minutes of the YLWD Board of Directors Special Meeting Held February 18, 2020 at 5:00 p.m.3 2020-XXX 7.ADJOURNMENT 7.1.The meeting was adjourned at 5:45 p.m. Annie Alexander Board Secretary Page 13 of 80 ITEM NO. 7.3. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Paige Appel, Accounting Assistant II SUBJECT:Payments of Bills, Refunds, and Wire Transfers STAFF RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of $1,858,019.60. 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: At the February 11, 2020 Regular BOD Meeting staff informed the Board, though the meeting scheduled for February 25, 2020 had been cancelled, that there would still be a disbursement payments in order for the District to meet its obligations by the listed due dates. In summary, the items on these disbursement lists include: a wire of $30,855.70 to So. California Gas Co. for January 2020 gas charges at multiple locations; a wire of $38,574.85 to MWDOC for December 2019 water purchases; a wire of $552.00 to Switch for the remote data hosting co-location; a wire of $67,881.37 to So. California Edison for January 2020 electricity charges at multiple locations; a check of $128,677.97 to ACWA/JPIA for March 2020 medical and dental premiums; a check of $201,013.48 to Cedro Construction Inc for waterline improvements at Camino Verde and Mickel Job #2018-03; a check of $105,258.71 to Big Ben Inc. for a pressure station at Highland, Job #2019-37; a check of $50,534.11 to Kidman Gagen Law for legal services; a check of $48,235.27 to City of Anaheim for January 2019 electricity charges for various locations; a check of $167,750.43 to Insituform Technologies, LLC for J2019-39S 2019 Sewer Main CIPP Rehabilitation; and a check of $68,624.80 to Resource Page 14 of 80 Computer Solutions for network and hardware consulting services. The balance of $361,211.91 are routine invoices. The combined Accounts Payable check register total is $1,269,170.60, Payroll No. 3 total is $297,672.53, and Payroll No. 4 is $291,176.47; where the total disbursements for this agenda report is $1,858,019.60. A summary of the disbursements is attached. PRIOR RELEVANT BOARD ACTION: The Board of Directors approves bills, refunds and wire transfers semi-monthly. ATTACHMENTS: 1.CapSheet 03-10-20 2.Check Register 02-25-20 3.Credit Card 02-25-20 4.Check Register 03-10-20 5.Credit Card 03-10-20 Page 15 of 80 Summary of Disbursements March 10, 2020 CHECK NUMBERS: 02/25/20 Computer Checks 75676-75750 $ 658,751.65 03/10/20 Computer Checks 75751-75815 472,555.03 $ 1,131,306.68 WIRES: W021320 So. California Gas Co. $ 30,855.70 W021320A So. California Edison 67,881.37 W021320B Municipal Water District 38,574.85 W021320C Switch Ltd. 552.00 $ 137,863.92 TOTAL OF CHECKS & WIRES $ 1,269,170.60 PAYROLL NO. 3: Direct Deposits $ 185,324.61 Third Party Checks 7315—7319 21,608.69 Payroll Taxes 48,070.42 EFT – CalPERS Payroll #3 42,668.81 $ 297,672.53 PAYROLL NO. 4: Direct Deposits $ 177,422.41 Third Party Checks 7300—7308 24,624.75 Payroll Taxes 47,054.64 EFT – CalPERS Payroll #4 42,074.67 $ 291,176.47 TOTAL OF PAYROLLS $ 588,849.00 ---------------------------------------------------------------------------------------------------------------------- DISBURSEMENT TOTAL: $ 1,858,019.60 ================================================================== APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF March 10, 2020 ==================================================================. Page 16 of 80 Check No.Date Vendor Name Amount Description 75676 02/25/2020 REX ELDER 2,940.72 DAMAGE CLAIM SETTLEMENT 75677 02/25/2020 RAMESH CADAMBI 126.22 CUSTOMER REFUND 75678 02/25/2020 LEE NICK 207.42 CUSTOMER REFUND 75679 02/25/2020 LESLIE CHEGWIDDEN 208.40 CUSTOMER REFUND 75680 02/25/2020 MYRIAM VALER 19.39 CUSTOMER REFUND 75681 02/25/2020 NINA MATHEWS 128.70 CUSTOMER REFUND 75682 02/25/2020 SANDRA Y KANEKO 225.00 CUSTOMER REFUND 75683 02/25/2020 MARTIN MAGALLON 70.87 CUSTOMER REFUND 75684 02/25/2020 SERVANDO PORTILLO 121.08 CUSTOMER REFUND 75685 02/25/2020 SAYER ALOTAIBI 104.78 CUSTOMER REFUND 75686 02/25/2020 BRIAN JOHNSON 1,438.40 CUSTOMER REFUND 75687 02/25/2020 LILIANA PRECIADO 103.77 CUSTOMER REFUND 75688 02/25/2020 AIM PROPERTIES 387.90 CUSTOMER REFUND 75689 02/25/2020 ACWA/JPIA 128,677.97 MEDICAL & DENTAL PREMIUM - MARCH 2020 75690 02/25/2020 Air Treatment Corporation 1,185.25 A/C PARTS 75691 02/25/2020 Al Nederhood 146.86 MILEAGE REIMBURSEMENT 75692 02/25/2020 Aqua-Metric Sales Co. 18,931.93 OPERATIONS WORK MATERIAL 75693 02/25/2020 Aramark 516.39 UNIFORM SERVICES 75694 02/25/2020 AT & T - Calnet3 1,652.05 ATT CALNET 3 75695 02/25/2020 AUTOMOTIVE EQUIPMENT SPECIALISTS INC. 11,962.50 VEHICLE LIFT - MECHANICS SHOP 75696 02/25/2020 A & Y Asphalt Contractors Inc. 16,077.00 PAVING REPAIRS 75697 02/25/2020 BASE HILL INC. (JAN POINT) 4,222.00 WELL 18 SLEEVE RETAINER & JANITORIAL SERVICE 75698 02/25/2020 Bee Busters, Inc 125.00 COLONY ABATEMENT 75699 02/25/2020 Big Ben Inc. 105,258.71 J19-37 HIGHLAND PRESSURE STATION 75700 02/25/2020 B.L. Wallace Distributor, Inc. 1,869.17 METER LIDS & BOXES 75701 02/25/2020 BrightView Tree Care Services Inc. 1,975.00 LANDSCAPE WORK 75702 02/25/2020 Brooke Jones 99.36 MIELAGE REIMBURSE EXPENSE 75703 02/25/2020 CalCard US Bank 3,531.37 CREDIT CARD TRANSACTIONS - FEBRUARY 2020 75704 02/25/2020 CB Technical 1,890.00 CONSULTING WORK - IT DEPARTMENT 75705 02/25/2020 CDW Government, Inc 49.89 COMPUTER EXPENSE 75706 02/25/2020 Cedro Construction Inc 201,013.48 J18-03 CAMINO VERDE & MICKEL WATERLINE 75707 02/25/2020 Cla-Val Co. 1,423.37 CLA-VAL PRODUCTION PARTS 75708 02/25/2020 ARC 182.97 J19-54 PLANWELL/SETUP 75709 02/25/2020 Daniels Tire Service 48.50 TIRE DISPOSAL FEE 75710 02/25/2020 Dell Marketing L.P. 19,792.43 SOFTWARE LICENSE RENEWAL & IT EQUIPMENT 75711 02/25/2020 Employment Development Department 5,070.00 EMPLOYEE BENEFIT CHARGE 75712 02/25/2020 Enthalpy Analytical, Inc. 1,819.00 WATER QUALITY LAB WORK 75713 02/25/2020 ENV Services, Inc. 284.81 FUME HOOD TESTING 75714 02/25/2020 Factory Motor Parts 1,314.32 MECH SHOP SUPPLIES & VEHICLE MAINTENANCE 75715 02/25/2020 Georgina Knight 1,125.30 LCW 2020 CONFERENCE - HR TRAINING & EDUCATIONAL REIMBURSEMENT 75716 02/25/2020 Golden Bell Products 5,978.00 MANHOLE - VECTOR CONTROL 75717 02/25/2020 Grainger 600.87 HIGHLAND ENGINE VALVE 75718 02/25/2020 Haaker Equipment Co. 1,324.38 REPAIR OF UNIT#197 75719 02/25/2020 Infosend Inc. 4,664.34 BILLING & POSTAGE CUSTOMER BILL & CLOUD INSERTION 75720 02/25/2020 Jackson's Auto Supply - Napa 79.60 PART FOR UNIT# 144, 208 75721 02/25/2020 KB Design 897.02 EMBROIDERY WORK FOR EMPLOYEE SHIRTS 75722 02/25/2020 Kidman Gagen Law 50,534.11 LEGAL SERVICES 75723 02/25/2020 Konica Minolta Business 861.51 COPIER LEASE-C258 & C558 75724 02/25/2020 Liebert Cassidy Whitmore 305.50 LEGAL SERVICES 75725 02/25/2020 Marc Marcantonio 76.19 MIELAGE REIMBURSEMENT 75726 02/25/2020 Mario S. Banuelos 625.00 WELDING WORK 75727 02/25/2020 Mc Fadden-Dale Hardware 227.73 MECHANIC SHOP EQUIPMENT & SUPPLIES 75728 02/25/2020 Measurement Control Systems, Inc 197.81 PRESSURE GAUGES 75729 02/25/2020 Michael Payne Consulting 624.36 CONSULTING SERVICE OPERATIONS 75730 02/25/2020 Municipal Water District 670.00 WATER POLICY DINNER 75731 02/25/2020 Nelson and Associates LLC 1,177.51 J18-24S LAKEVIEW LIFT STATION DECOMISSIONING INSURANCE 75732 02/25/2020 Nexus Office Environments 3,332.23 EMERGENCY EQUIPMENT 75733 02/25/2020 Nicholas A. Hollon 2,224.57 EDUCATIONAL REIMBURSEMENT 75734 02/25/2020 Office Solutions 1,466.91 OFFICE SUPPLIES 75735 02/25/2020 Praxair Distribution 224.01 WELDING SUPPLIES 75736 02/25/2020 Quinn Company 11,969.58 PARTS FOR HIGHLAND BOOSTER#1 75737 02/25/2020 Selman Chevrolet Company 808.39 PUMP FOR UNIT#144 For Checks Dated: 02/12/2019 thru 02/25/2020 Yorba Linda Water District Check Register Page 17 of 80 75738 02/25/2020 Shred Confidential, Inc. 108.00 SHRED SERVICE 75739 02/25/2020 Solarwinds Inc. 1,234.00 ANNUAL MAINTENANCE RENEWAL 75740 02/25/2020 South Coast AQMD 16,554.59 AQMD FEE 75741 02/25/2020 Southwest Thermal Technologies, Inc. 9,070.42 PARTS FOR HIGHLAND ENGINE 75742 02/25/2020 Rachel Padilla/Petty Cash 16.82 MILEAGE REIMBURSEMENT JPIA & PASMA - MILLEN, M 75743 02/25/2020 Staples 54.54 OFFICE EXPENSE 75744 02/25/2020 Step Saver Inc 905.10 SALT FOR CL2 SYSTEM 75745 02/25/2020 Tetra Tech, Inc. 1,950.00 J2018-27 HIDDEN HILLS PUMP IMPLEMENTATION PLAN REVIEW 75746 02/25/2020 United Rentals 477.35 EQUIPMENT RENTAL 75747 02/25/2020 United Water Works, Inc. 2,580.70 WATER SERVICE PARTS 75748 02/25/2020 Vivian Lim 450.33 TRAVEL & EXPENSE LCW CONFERENCE 75749 02/25/2020 Wayne Miller 64.34 MILEAGE REIMBURSEMENT 75750 02/25/2020 YO Fire 88.56 VALVE GASKETS W021320B 02/13/2020 Municipal Water District 38,574.85 WATER DELIVERIES - DECEMBER 2019 W021320 02/13/2020 Southern Calif Gas Co. 30,855.70 GAS CHARGES - JANUARY 2020 - VARIOUS LOCATIONS W021320A 02/13/2020 Southern Calif Edison Co. 67,881.37 ELECTRICITY CHARGES - JANUARY 2020 - VARIOUS LOCATIONS W021320C 02/13/2020 Switch Ltd 552.00 REMOTE DATA HOSTING CO-LOCATION 796,615.57 2/6/2020 PAYROLL #3 - EMPLOYEE DIRECT DEPOSIT 185,324.61 2/6/2020 PAYROLL #3 - PAYROLL TAX PAYMENT 48,070.42 2/6/2020 PAYROLL #3 - CALPERS & TASC 42,668.81 7315 2/6/2020 COLONIAL LIFE & ACCIDENT 112.13 7316 2/6/2020 LINCOLN FINANCIAL GROUP 5,515.00 7317 2/6/2020 NATIONWIDE RETIREMENT SOLUTIONS 15,229.72 7318 2/6/2020 CALIFORNIA STATE DISBURSEMENT UNIT 366.92 7319 2/6/2020 CALIFORNIA STATE DISBURSEMENT UNIT 384.92 297,672.53 Payroll Checks #3 Page 18 of 80 Vendor Name Amount Description Home Depot 231.67 J19-50 FENCE FOR WELL #22 Home Depot 790.27 J19-41 FIRE HARDENING - SANTIAGO Lamp Post Pizza 82.97 TRAINING MEETING - FINANCE & IT DEPARTMENT TRUSTED TRANSLATIONS 1,213.23 J19-08 SB998 POLICY TRANSLATION TRUSTED TRANSLATIONS 1,213.23 J19-08 SB998 POLICY TRANSLATION 3,531.37 25-Feb-20 Cal Card Credit Card U S Bank Page 19 of 80 Check No.Date Vendor Name Amount Description 75751 03/10/2020 VECCHIO REAL ESTATE 402.66 CUSTOMER REFUND 75752 03/10/2020 LUCY WHEATON 105.39 CUSTOMER REFUND 75753 03/10/2020 JAMI MONTES 27.31 CUSTOMER REFUND 75754 03/10/2020 CALIFORNIA REAL ESTATE RESOURCES 405.60 CUSTOMER REFUND 75755 03/10/2020 RICHARD CRUZADO 43.38 CUSTOMER REFUND 75756 03/10/2020 AMDJ REALTY 245.32 CUSTOMER REFUND 75757 03/10/2020 REAL ESTATE & NOTARY SERVICES 409.39 CUSTOMER REFUND 75758 03/10/2020 ACWA-Assn Of Ca Water Agencies 950.00 ACWA ADVERTISEMENT FOR SENIOR ENGINEER & ASSISTANT ENGINEER I 75759 03/10/2020 Advanced School Of Driving 13,980.00 CLASS A DRIVER TRAINING - (4) EMPLOYEES 75760 03/10/2020 AIRGAS INC 54.33 WELDING SUPPLIES 75761 03/10/2020 Annie Alexander 48.10 MEETING & OFFICE SUPPLIES 75762 03/10/2020 Aqua-Metric Sales Co. 542.74 OPERATIONS WORK MATERIAL 75763 03/10/2020 Aramark 215.06 UNIFORM SERVICES 75764 03/10/2020 AT & T - Calnet3 4,248.59 ATT CALNET 3 75765 03/10/2020 Bee Busters, Inc 125.00 COLONY ABATEMENT 75766 03/10/2020 CalCard US Bank 30,685.81 CREDIT CARD TRANSACTIONS - MARCH 2020 75767 03/10/2020 City Of Anaheim - Anaheim Public Utilities 48,235.27 ELECTRICITY CHARGES JANUARY 2019 - VARIOUS LOCATION 75768 03/10/2020 City Of Placentia 13,642.22 SEWER FEES COLLECTION - OCTOBER 2019 TO JANUARY 2020 75769 03/10/2020 CLIMATEC, LLC 1,125.00 FACILITIES - AC REPAIRS 75770 03/10/2020 Culligan of Santa Ana 3,685.60 WATER SOFTENER SERVICE 75771 03/10/2020 deRose Promos 1,055.73 YLWD INSULATED BOTTLE & NECK WALLET 75772 03/10/2020 Doane and Hartwig Water Systems, Inc. 2,291.76 PRODUCTION - CL2 SYSTEM PARTS 75773 03/10/2020 Dean Criske Trucking 1,054.91 ROAD MATERIAL 75774 03/10/2020 Eisel Enterprises, Inc. 1,125.99 VALVE REPAIR PARTS 75775 03/10/2020 Enthalpy Analytical, Inc. 840.00 WATER QUALITY LAB WORK 75776 03/10/2020 Factory Motor Parts 1,821.71 VEHICLE MAINTENANCE & PARTS FOR UNIT# 189,208 & HIGHLAND BOOSTER 75777 03/10/2020 FedEx Office 391.90 OFFICE EXPENSE 75778 03/10/2020 Fieldman Rolapp & Associates 26,482.95 J19-32 PROFESSIONAL SERVICES 75779 03/10/2020 Fleet Services, Inc 573.31 REPAIR WORK FOR UNIT#215 75780 03/10/2020 Freddie Ojeda 167.00 REPAIR PART-UNIT#144 75781 03/10/2020 GREGORIO VALENZUELA 187.00 REIMBURSEMENT FOR T-1 CERTIFICATION - VALENZUELA, G 75782 03/10/2020 Haaker Equipment Co. 1,449.62 REPAIR PART-UNIT#144 75783 03/10/2020 Hach Company 540.10 WATER QUALITY TESTING SUPPLIES 75784 03/10/2020 Infosend Inc. 6,245.82 BILLING & POSTAGE & MONTHLY MAINTENANCE JANUARY 2020 75785 03/10/2020 Insituform Technologies, LLC 167,750.43 J19-39S 2019 SEWER MAIN CIPP REHABILITATION 75786 03/10/2020 Jackson's Auto Supply - Napa 481.71 PART FOR UNIT# 144 75787 03/10/2020 KELLY MCCANN 23.78 TRAVEL EXPENSE CSMFO CONFERENCE - MCCANN, K 75788 03/10/2020 Managed Health Network 168.75 EAP - FEBRUARY 2020 75789 03/10/2020 Maria Trujillo 15.00 TRAVEL EXPENSE CSMFO CONFERENCE - TRUJILLO, M 75790 03/10/2020 Mario S. Banuelos 1,500.00 WELDING WORK 75791 03/10/2020 Mc Fadden-Dale Hardware 65.20 VEHICLE MAINTENANCE & PRODUCTION REPAIR PARTS 75792 03/10/2020 Michael Payne Consulting 1,470.50 JANUARY 2020 - CONSULTING SERVICE OPERATIONS 75793 03/10/2020 Minuteman Press 112.68 OFFICE EXPENSE 75794 03/10/2020 Murcal, Inc. 2,166.78 ENGINE PANEL MONITOR 75795 03/10/2020 Neopost Inc 19.36 OFFICE EXPENSE 75796 03/10/2020 Nickey Kard Lock Inc 11,441.25 FUEL 1/16-1/31 & 2/1-2/15 75797 03/10/2020 Nickey Petroleum Co Inc 1,678.16 DIESEL FUEL 75798 03/10/2020 PAIGE APPEL 52.08 TRAVEL EXPENSE CSMFO CONFERENCE - APPEL, P 75799 03/10/2020 Pete's Road Service Inc 811.97 TIRE SERVICE FOR UNIT# 197 75800 03/10/2020 P.T.I. Sand & Gravel, Inc. 3,013.18 ROAD MATERIAL - ASPHALT & CL2 BASE 75801 03/10/2020 Resource Computer Solutions 68,624.80 NETWORK/HARWARE CONSULTING SERVICES 75802 03/10/2020 Ricardo Cabadas 49.56 TRAVEL EXPENSE CSMFO CONFERENCE - CABADAS, R 75803 03/10/2020 Rose Paving LLC 18,000.99 PAVING REPAIR 75804 03/10/2020 Safety-Kleen Systems Inc 556.56 HAZARDOUS MATERIAL DISPOSAL 75805 03/10/2020 Rachel Padilla/Petty Cash 324.11 OFFICE EXPENSE 75806 03/10/2020 Stradling,Yocca,Carlson&Rauth 4,329.41 LEGAL SERVICES 75807 03/10/2020 TRUSTED TRANSLATIONS 1,141.97 J19-08 SB998 POLICY TRANSLATION 75808 03/10/2020 Underground Service Alert 399.70 NEW TICKET CHARGES & CA STATE FEE 75809 03/10/2020 United Industries 1,722.86 SAFETY EQUIPMENT 75810 03/10/2020 UNUM Life Insurance Co. of America 4,263.64 LIFE, AD&D, STD & LTD-MARCH 2020 75811 03/10/2020 United Water Works, Inc. 12,901.73 WATER SERVICE PARTS 75812 03/10/2020 Valmont Composite Structures 718.64 SEWER PARTS For Checks Dated: 02/26/2020 thru 03/10/2020 Yorba Linda Water District Check Register Page 20 of 80 75813 03/10/2020 YO Fire 4,455.66 OPERATIONS WORK MATERIAL 75814 03/10/2020 YourMembership.com 698.00 ADVERTISEMENT FOR SENIOR ENGINEER & ASSISTANT ENGINEER I 75815 03/10/2020 Zane Woller 192.00 CWEA CERTIFICATION REIMBURSEMENT - WOLLER, Z 472,555.03 2/20/2020 PAYROLL #4 - EMPLOYEE DIRECT DEPOSIT 177,422.41 2/20/2020 PAYROLL #4 - PAYROLL TAX PAYMENT 47,054.64 2/20/2020 PAYROLL #4 - CALPERS & TASC 42,074.67 7329 2/20/2020 COLONIAL LIFE & ACCIDENT 112.13 7330 2/20/2020 LINCOLN FINANCIAL GROUP 5,147.32 7331 2/20/2020 NATIONWIDE RETIREMENT SOLUTIONS 15,022.10 7332 2/20/2020 CALIFORNIA STATE DISBURSEMENT UNIT 366.92 7333 2/20/2020 CALIFORNIA STATE DISBURSEMENT UNIT 384.92 7334 2/20/2020 ALLSTATE 1,380.07 7335 2/20/2020 MIDLAND LIFE INSURANCE 200.00 7336 2/20/2020 RELIANCE DI 66.61 7337 2/20/2020 AMERITAS 1,944.68 291,176.47 Payroll Checks #4 Page 21 of 80 Vendor Name Amount Description Liebert Cassidy Whitmore 350.00 FLSA Training-Cabadas, R. R.E. Michel Company, LLC 318.34 Parts for A/C Repairs - Facilities PayPal CC Payments 54.99 Operations Expense Harrington Industrial 64.65 Cl2 System Parts - Operations AIRGAS INC 65.73 Welding Supplies Fairway Ford Sales, Inc.184.87 Replacement Parts for Unit# 193 Fairway Ford Sales, Inc.305.50 Replacement Parts for Unit# 193 KENNYS DONUTS 15.35 Meeting Supplies LIT CAFE 53.28 Lunch Meeting Debt Management (3) Attendees Harbor Freight Tools 28.52 Tools for Valve Crew Mc Master-Carr Supply Co.65.11 Flexible Sheets Motor Shields - Operations North American Recycling and Crushing, LLC 180.00 Disposal Of Road Material - Operations KING TACO 25.84 Operation Expense CAMPITELLI COOKIES 18.80 Meeting Supplies Home Depot 32.65 Electrical Supplies - Facilities PayPal CC Payments 270.00 Registration MWDOC Policy - Converted to Sponsorship PayPal CC Payments 575.00 Registration UWI Conference - Nederhood, A. AWWA - CA-NV Section 285.00 AWWA Backflow Exam - Maldonado, R. American Airlines 521.81 Travel Expense-ACWA Conference- Marcantonio, M. Placentia Chamber Of Commerce 50.00 Excellence in Placentia Gala - Muttaraid, M. Hilton Hotels 194.11 Travel Expense UWI Spring Conference-Nederhood, A Association of California Cities - Orange County 710.00 Registration ACWA Conference- Marcantonio, M. Government Finance Officers 250.00 GFOA PAFR Submittal Fee -Young, K CalCard US Bank (40.00) Credit-TCP Cert Prep Seminar - Hollon, N. Costco 53.46 Meeting Supplies Home Depot 64.08 Measuring Wheel - Operations Home Depot 68.90 Measuring Wheel - Operations Mc Master-Carr Supply Co.28.06 Traffic Delineator Clips - Operations ORANGE COUNTY CIRCUIT BREAKERS 26.94 Electrical Supplies - Facilities Amazon.com 21.75 Employee Recognition2 R.E. Michel Company, LLC 289.55 DualPort Manmeter Tester - Operations American Airlines 341.20 Travel Expense-LCW Conference- Barbre, B BART OAKLAND AIRPORT 23.00 Travel Expense LCW Law Conference - Knight, G. ONTARIO AIRPORT LOT 7.12 Travel Expense LCW Law Conference - Knight, G. Amazon.com 7.07 Office Supplies PayPal CC Payments 326.23 Water Filtration System - Operations Bed Bath & Beyond 226.27 Facilities Emergency Standby Supplies Costco 43.08 Facilities Emergency Standby Supplies Holiday Inn Express 138.59 Travel Expense CSMFO Conference - Lugo, D. GUJANT SEKHON 60.94 Travel Expense LCW Conference- Barbre, B The Toll Roads of OC 10.11 Travel Expense ISDOC AD HOC-Nederhood, A Southwest Airlines 108.00 Travel Expense LCW Law Conference - Knight, G. Hyatt Regency Hotels 700.10 Travel Expense LCW Law Conference - Knight, G. WALLYPARK 78.22 Travel Expense LCW Conference- Barbre, B WALLYPARK (29.95) Reimbursement Policy Compliance- Barbre, B ST. REGIS HOTEL 1,512.92 Travel Expense LCW Conference- Barbre, B ST. REGIS HOTEL (649.18) Reimbursement Policy Compliance- Barbre, B Home Depot 135.32 PVC Parts for Ice Machines - Facilities ESPERANZA BURGERS 61.16 Operations Expense Amazon.com 16.84 Meeting Supplies R & S Overhead Doors of So-Cal, Inc 520.00 Power Transfer Door Hinges - Operations McDonald's 21.09 Operating Expense - Main Break OT Meals INTERNATIONAL ASSOC OF PRIVACY PROFESSIONALS75.00 US Privacy Law & Practice for Information Privacy Professionals Training - Arambarri, T. Liebert Cassidy Whitmore 950.00 The Rules of Engagement Training - Lim, V. & Knight, G. Liebert Cassidy Whitmore 475.00 Nuts and Bolts of Negotiations Training - Knight, G Byblos Mediterranean Grill 37.22 Lunch Meet-Raftelis (2) Attendees Flappy Jacks 72.70 Breakfast Meeting-(4) Attendees Home Depot 370.66 Quickrete Concrete - Facilities Home Depot 56.01 Building Repair Parts - Facilities Home Depot 48.68 Operating Expense 10-Mar-20 Cal Card Credit Card U S Bank Page 22 of 80 AWWA - CA-NV Section 549.00 Registration CA-NV Spring Conference - Nederhood, A. AWWA - CA-NV Section 549.00 Registration CA-NV Spring Conference - Barbre, B. AWWA - CA-NV Section 549.00 Registration CA-NV Spring Conference - Jones, B. AWWA - CA-NV Section 549.00 Registration CA-NV Spring Conference - DeCriscio, J. Schorr Metals, Inc.34.26 Steel Plates -Welding Repair Association of California Cities - Orange County 725.00 Registration ACWA Conference - Jones, B. Association of California Cities - Orange County 725.00 Registration ACWA Conference - Nederhood, A. CalCard US Bank (50.00) Return-Excellence in Placentia Gala - Muttaraid, M. Home Depot 43.04 Gas Lines for equipment - Operations Home Depot 51.44 Team Building Supplies Smart & Final 393.29 Team Building Supplies DLH CORP 4.30 Travel Expense CSMFO Conference - Lugo, D. DLH CORP 15.00 Travel Expense CSMFO Conference - Lugo, D. BBQ Galore 129.08 Team Building Supplies Orange County Water Assn 30.00 Registration OCWA Luncheon - Nederhood, A. Home Depot 238.61 Material for Fairmont Reservoir - Operations Stater Bros. Markets 31.56 Meeting Supplies PayPal CC Payments 20.00 Registration ISDOC Luncheon - Hawkins, P. Sunstate Equipment Co 12.93 Propane Refill - Operations Cheesecake Factory 125.04 Travel Expense CSMFO Conference (4) Attendees Del Taco 22.62 Operating Expense - Main Break OT Meals GSE 76 8.45 Operating Expense Alea Cafe 21.91 Operating Expense - Main Break OT Meals Amazon.com 162.64 Office Supplies Home Depot 28.12 Pest Control Material - Facilities Amazon.com 18.20 Office Supplies Jackson's Auto Supply - Napa 16.29 Shop Equipment Yorba Linda Chamber 72.00 Network Lunch Event - Muttaraid, M. Hirsch Pipe 2,253.17 Water Heater Bldg 4 - Facilities AWWA - CA-NV Section 100.00 AWWA Cert Renewal - Maldonado, R. Factory Motor Parts 10.54 Parts for Repair of Unit#204 American Airlines 1,178.80 Travel Expense-AWWA Conference- Barbre, B American Airlines (647.00) Reimbursement Policy Compliance- Barbre, B BLISS CAR WASH LLC 13.00 Vehicle Maintenance Home Depot 69.13 Operation Expense Amazon.com 171.82 Multi ConnectCell-SCADA Tool Mc Master-Carr Supply Co.120.07 Production Repair Parts Smart & Final 43.06 Chaffee Fuel - Operations Orvac Electronics 72.35 Vehicles Supplies-Switches Home Depot 66.27 Misc Hardware - Facilities AIRGAS INC 52.53 Parts for Repair of Unit# 174 Alternative Hose Inc.69.61 Parts for Repair of Unit#144 Alternative Hose Inc.43.33 Parts for Repair of Unit# 197 Kristy's Donuts 38.45 Supplies-Safety Meeting Cal Society-Municipal Finance Officers 110.00 CSMFO Annual Membership-Lugo, D. IN-N-OUT RESTAURANTS 47.41 Operating Expense - Main Break OT Meals Brown And Caldwell 200.00 Sr. Engineer Job Advertisement DIGITAL DECK COVERS 30.49 Office Supplies American Society of Civil Engineers (ASCE)175.00 Registration ASCE Awards-Miller, W. Amazon.com 183.00 Mechanic Shop Supplies Verizon Wireless 3,051.55 Verizon Wireless - 12/21/19-01/20/20 ONLINE Information Services, Inc.463.19 Online Utility Exchange & Collection - January 2020 Republic Services #676 581.96 Disposal Service Time Warner Cable 3,084.10 January 2020 Internet & District TV Services - Various Locations AIRPORT WINDSOCK CORP 1,531.58 J19-41 Windsock TRUSTED TRANSLATIONS 295.80 J19-08 - SB 998 Translation Fee 29,359.68 Page 23 of 80 ITEM NO. 7.4. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kelly McCann, Senior Accountant SUBJECT:Budget to Actual Reports for Month Ending January 31, 2020 RECOMMENDATION: That the Board of Directors receive and file the Budget to Actual Reports for the Month Ending January 31, 2020. BACKGROUND: For the month-ending January 31, 2020, staff is presenting Budget to Actual Reports for the District as a whole, as well as the individual water and sewer funds. Cumulative Volumetric Water Revenue, as reported through the month ending January 31, 2020, reflects an average decrease of 1.43% as compared to the prior year for the same reporting period. Total Variable Costs results, as reported through the month ending January 31, 2020, reflect a .30% decrease when compared to prior year for the same reporting period. The decrease in costs is predominantly reflective of the decrease in total water demand, which as reported, is 1.55% below that of prior year. STRATEGIC PLAN INITIATIVES: G2 3B – Regularly assess net position and steps to meet strategic goals. ATTACHMENTS: 1.Financial Reports January 2020 Page 24 of 80 FY20 Annual Budget YTD Actuals thru January 2020 YTD % of Budget Water Revenue (Residential)16,548,758$ 9,281,787$ 56.09% Water Revenue (Commercial & Fire Det.)1,872,073 1,068,011 57.05% Water Revenue (Landscape/Irrigation)3,917,982 2,481,982 63.35% Service Charges 10,988,263 6,361,495 57.89% Other Operating Revenue 902,996 560,645 62.09% Total Operating Revenue 34,230,072 19,753,920 57.71% Revenue (Non-Operating): Interest 698,777 357,484 51.16% Property Taxes 1,820,471 1,105,221 60.71% Other Non-Operating Revenue 608,430 532,293 87.49% Total Non-Operating Revenue 3,127,678 1,994,997 63.79% Total Revenue 37,357,750$ 21,748,917$ 58.22% Expenses (Operating): Variable Water Costs (G.W., Import & Power) Water-Related Costs 12,485,582$ 6,938,867$ 55.58% Fixed Costs 1,179,009 829,230 70.33% Power-Related Costs 1,446,219 1,113,551 77.00% Variable Water Costs Related Expenses Total 15,110,810 8,881,648 58.78% Salary Related Expenses 10,753,255 5,226,396 48.60% Reduction for Capital Project Labor (225,000) (108,221) 48.10% Salary Related Expenses Total 10,528,255 5,118,175 48.61% Supplies & Services Communications 228,183 118,061 51.74% Contractual Services 496,717 237,989 47.91% Data Processing 324,069 149,551 46.15% Dues & Memberships 78,862 70,801 89.78% Fees & Permits 290,271 213,463 73.54% Insurance 304,468 169,904 55.80% Materials 948,195 569,220 60.03% District Activities, Emp Recognition 43,371 20,391 47.02% Maintenance 565,165 316,545 56.01% Non-Capital Equipment 200,778 99,077 49.35% Office Expense 33,950 23,795 70.09% Professional Services 585,971 396,441 67.66% Training 78,301 12,052 15.39% Travel & Conferences 126,278 38,623 30.59% Uncollectible Accounts 4,185 3,602 86.08% Utilities 179,258 118,048 65.85% Vehicle Expenses 335,600 241,572 71.98% Supplies & Services Sub-Total 4,823,620 2,799,135 58.03% Total Operating Expenses 30,462,685 16,798,958 55.15% Expenses (Non-Operating) Other Expense 13,520 169,409 1253.03% Total Non-Operating Expenses 13,520 169,409 1253.03% Total Expenses 30,476,205$ 16,968,367$ 55.68% Net Revenues 6,881,545 4,780,551 69.47% Less: Debt Service (Principal & Interest)2,726,956 1,962,475 71.97% Less: Committed Capital Expenditures (PayGo)3,174,425 310,434 9.78% Less: PARS Contribution - Net Pension/OPEB 1,700,000 - 0.00% Transfer to/(from) Reserves (719,836) 2,507,641 348.36% Net Total -$ 0$ Yorba Linda Water District Water Enterprise FY20 ProForma - Use of Funds January 2020 Page 25 of 80 Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending January 31, 2020 Annual YTD Jan YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual Budget Budget Actual Actual (Under) Over Jan Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Jan 2019)PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)16,548,758$ 9,273,130$ 965,011$ 9,281,787$ 8,657$ 1,033,375$ 9,281,832$ (45)$ 0.00% Water Revenue (Commercial & Fire Det.)1,872,073 1,154,320 116,077 1,068,011 (86,309)120,414 1,120,046 (52,035)-4.65% Water Revenue (Landscape/Irrigation)3,917,982 2,415,828 85,235 2,481,982 66,154 129,927 2,615,821 (133,839)-5.12% Water Revenue (Service Charge)10,988,263 6,409,820 922,439 6,361,495 (48,325)838,712 5,853,052 508,444 8.69% Sewer Charge Revenue 2,421,665 1,412,638 199,519 1,390,102 (22,536)183,756 1,286,390 103,712 8.06% Locke Ranch Assessments 324,173 187,145 6,712 189,931 2,786 5,989 172,776 17,155 0.00% Other Operating Revenue 964,708 568,247 48,322 621,338 53,091 55,778 657,860 (36,522)-5.55% Total Operating Revenue:37,037,622 21,421,128 2,343,315 21,394,646 (26,482)2,367,951 20,987,777 406,869 1.94% Revenue (Non-Operating): Interest 812,306 473,845 117,072 418,685 (55,160)111,331 439,063 (20,378)-4.64% Property Tax 1,820,471 1,017,279 111,413 1,105,221 87,942 117,777 1,065,117 40,104 0.00% Other Non-Operating Revenue 632,909 369,196 154,949 561,177 191,981 123,378 476,255 84,922 17.83% Total Non-Operating Revenue:3,265,685 1,860,320 383,434 2,085,083 224,763 352,486 1,980,436 104,647 5.28% Total Revenue 40,303,307 23,281,448 2,726,749 23,479,729 198,281 2,720,437 22,968,213 511,516 2.23% Expenses (Operating): Variable Water Costs (G.W., Import & Power)15,110,810 9,317,325 772,447 8,881,648 (435,677)657,883 8,879,337 2,311 0.03% Salary Related Expenses 11,664,922 6,193,176 780,440 5,654,350 (538,826)716,504 5,457,826 196,524 3.60% Supplies & Services 5,449,301 2,990,759 473,665 2,981,877 (8,882)341,075 2,445,110 536,767 21.95% Total Operating Expenses 32,225,033 18,501,260 2,026,552 17,517,875 (983,385)1,715,462 16,782,273 735,602 4.38% Expenses (Non-Operating): Interest on Long Term Debt 1,303,967 760,647 107,685 761,626 979 111,601 792,609 (30,983) -3.91% Other Expense 13,520 13,520 38,789 202,267 188,746 977,923 987,153 (784,887) -79.51% Total Non-Operating Expenses:1,317,488 774,167 146,474 963,893 189,725 1,089,524 1,779,762 (815,869) -45.84% Total Expenses 33,542,521 19,275,427 2,173,026 18,481,768 (793,660)2,804,986 18,562,035 (80,267)-0.43% Net Position Before Capital Contributions 6,760,787 4,006,021 553,723 4,997,961 991,941 (84,549)4,406,178 591,782 13.43% Capital Contributions (Non-Cash - - 149,382 149,382 762 4,056 145,326 0.00% Transaction GASB 34 Compliant) Net Position Before Depreciation 6,760,787 4,006,021 553,723 5,147,343 1,141,323 (83,787)4,410,234 737,108 16.71% Depreciation & Amortization 7,720,659 4,503,718 648,758 4,531,365 27,647 608,883 4,292,105 239,260 5.57% Total Net Position ($959,872)($497,697)(95,035) 615,978 $1,113,676 ($692,670)$118,129 $497,849 421.44% (295,000) (172,083) (12,998) (130,368) (130,368) (22,433) (225,127) 94,759 -42.09% (With January 31, 2019 for comparison purposes) Page 26 of 80 Annual YTD Jan YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Jan Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Jan 2019) PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)16,548,758$ $9,273,130 965,011$ 9,281,787$ 8,657$ 1,033,375$ 9,281,832$ (45)$ 0.00% Water Revenue (Commercial & Fire Det.)1,872,073 1,154,320 116,077$ 1,068,011 (86,309) 120,414 1,120,046 (52,035) -4.65% Water Revenue (Landscape/Irrigation)3,917,982 2,415,828 85,235$ 2,481,982 66,154 129,927 2,615,821 (133,839) -5.12% Water Revenue (Service Charge)10,988,263 6,409,820 922,439$ 6,361,495 (48,325) 838,712 5,853,052 508,443 8.69% Other Operating Revenue 902,996 526,748 46,772$ 560,645 33,897 48,515 612,297 (51,652) -8.44% Total Operating Revenue:34,230,072 19,779,846 2,135,534 19,753,920 (25,926) 2,170,943 19,483,048 270,872 1.39% Revenue (Non-Operating): Interest 698,777 407,620 100,226 357,484 (50,136) 88,340 368,272 (10,788) -2.93% Property Tax 1,820,471 1,017,279 111,413 1,105,221 87,941 117,777 1,065,118 40,103 0.00% Other Non-Operating Revenue 608,430 354,918 149,834 532,293 177,375 119,360 451,829 80,463 17.81% Total Non-Operating Revenue:3,127,678 1,779,817 361,473 1,994,997 215,180 325,477 1,885,219 109,778 5.82% Total Revenue 37,357,750 21,559,662 2,497,007 21,748,917 189,255 2,496,420 21,368,267 380,651 1.78% Expenses (Operating): Variable Water Costs (G.W., Import & Power)15,110,810 9,317,325 772,447 8,881,648 (435,678) 657,883 8,879,337 2,311 0.03% Salary Related Expenses 10,528,255 5,573,387 703,032 5,118,175 (455,212) 651,271 4,964,217 153,958 3.10% Supplies & Services: Communications 228,183 125,607 8,565 118,061 (7,546) 5,565 100,300 17,762 17.71% Contractual Services 496,717 246,252 44,064 237,989 (8,263) 28,734 206,180 31,809 15.43% Data Processing 324,069 159,040 20,296 149,551 (9,489) 32,177 193,838 (44,287) -22.85% Dues & Memberships 78,862 66,003 2,450 70,801 4,798 1,371 68,724 2,077 3.02% Fees & Permits 290,271 204,825 39,481 213,463 8,638 63,487 169,887 43,576 25.65% Insurance 304,468 165,106 29,651 169,904 4,798 22,996 159,290 10,615 6.66% Materials 948,195 563,114 98,212 569,220 6,106 68,664 492,244 76,976 15.64% District Activities, Emp Recognition 43,371 25,300 2,285 20,391 (4,909) 1,860 23,176 (2,786) -12.02% Maintenance 565,165 309,680 52,815 316,545 6,866 22,684 198,636 117,910 59.36% Non-Capital Equipment 200,778 92,121 10,237 99,077 6,957 3,911 77,353 21,724 28.08% Office Expense 33,950 19,804 1,113 23,795 3,991 3,035 19,919 3,876 19.46% Professional Services 585,971 382,316 70,386 396,441 14,124 13,584 200,230 196,211 97.99% Training 78,301 18,175 915 12,052 (6,123) 6,700 23,542 (11,490) -48.81% Travel & Conferences 126,278 45,162 3,496 38,623 (6,539) 2,449 40,071 (1,448) -3.61% Uncollectible Accounts 4,185 2,441 379 3,602 1,161 550 2,504 1,097 43.81% Utilities 179,258 112,067 6,245 118,048 5,981 11,111 96,109 21,939 22.83% Vehicle Equipment 335,600 230,767 58,792 241,572 10,806 15,911 153,641 87,932 57.23% Supplies & Services Sub-Total 4,823,620 2,767,778 449,382 2,799,135 31,357 304,789 2,225,644 573,491 25.77% Total Operating Expenses 30,462,685 17,658,491 1,924,861 16,798,958 (859,533) 1,613,943 16,069,198 729,760 4.54% Expenses (Non-Operating): Interest on Long Term Debt 1,303,967 760,647 107,685 761,626 978 111,601 792,609 (30,984) -3.91% Other Expense 13,520 13,520 30,195 169,409 155,889 976,909 977,779 (808,370) 82.67% Total Non-Operating Expenses:1,317,487 774,167 137,880 931,035 156,868 1,088,510 1,770,388 (839,353) -47.41% Total Expenses 31,780,172 18,432,659 2,062,741 17,729,993 (702,666) 2,702,453 17,839,586 (109,593) -0.61% Net Position Before Capital Contributions 5,577,578 3,127,004 434,266 4,018,924 891,920 (206,033) 3,528,681 490,244 13.89% Capital Contributions (Non-Cash Transaction -- - 81,810 81,810 - - 81,810 - GASB 34 Compliant) Net Position Before Depreciation 5,577,578 3,127,004 434,266 4,100,734 973,730 (206,033) 3,528,681 572,054 16.21% Depreciation & Amortization 6,289,903 3,669,110 527,982 3,695,783 26,673 494,403 3,490,653 205,130 5.88% Total Net Position (712,325)$ (542,106)$ (93,716)$ 404,951 947,057$ (700,436)$ 38,028$ 366,923$ 964.88% Capital - Direct Labor (225,000) (131,250)(11,180) (108,221) 23,029 (17,048) (177,324) 69,103 -38.97% Yorba Linda Water District Water Fund For Period Ending Januay 31, 2020 (With January 31, 2019 for comparison purposes) Page 27 of 80 $18,303,218 $18,789,594 $19,223,566 $21,520,844 $21,368,267 $21,748,917 1.78% $15,915,276 $14,390,185 $15,745,267 $17,299,308 $17,839,586 $17,729,993 (-.61%) $- $5,000,000 $10,000,000 $15,000,000 $20,000,000 $25,000,000 Jan. 2015 Jan. 2016 Jan. 2017 Jan. 2018 Jan. 2019 Jan. 2020 Water Revenues & Expenses -January (excludes Depreciation, Special Items, and Contributed Capital ) Total Revenue Total Expenses Page 28 of 80 Annual YTD Jan YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Jan Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Jan 2019)PY Actual $PY Actual % Revenue (Operating): Sewer Charge Revenue 2,421,665$ 1,412,638$ 199,519$ 1,390,102$ (22,536)$ 183,756$ 1,286,390$ 103,712$ 8.06% Locke Ranch Assessments 324,173 187,145 6,712 189,931 2,786 5,989 172,776 17,155 0.00% Other Operating Revenue 61,712 41,499 1,550 60,694 19,195 7,263 45,563 15,131 33.21% Total Operating Revenue:2,807,550 1,641,282 207,781 1,640,727 (554)197,008 1,504,729 135,999 9.04% Revenue (Non-Operating): Interest 113,528 66,225 16,846 61,201 (5,024)22,990 70,791 (9,590)-13.55% Other Non-Operating Revenue 24,480 14,280 5,115 28,884 14,604 4,019 24,426 4,458 18.25% Total Non-Operating Revenue:138,008 80,505 21,961 90,085 9,580 27,009 95,217 (5,132) -5.39% Total Revenue 2,945,558 1,721,786 229,742 1,730,812$ 9,026 224,017 1,599,946 130,867 8.18% Expenses (Operating): Salary Related Expenses 1,136,668 619,789 77,408 536,176 (83,613)65,233 493,609 42,566 8.62% Supplies & Services: Communications 13,412 7,824 645 4,978 (2,846)419 4,783 196 4.09% Contractual Services 30,764 17,946 3,165 15,572 (2,374)1,661 12,496 3,076 24.62% Data Processing 21,382 12,473 1,360 7,445 (5,028)765 11,795 (4,350)-36.88% Dues & Memberships 5,928 3,458 184 5,329 1,871 103 5,173 156 3.02% Fees & Permits 15,509 9,047 2,213 11,096 2,049 923 7,177 3,919 54.61% Insurance 22,917 13,368 2,232 16,772 3,404 1,731 11,920 4,852 40.70% Materials 65,206 13,037 682 6,727 (6,310)6,940 32,621 (25,894)-79.38% District Activities, Emp Recognition 3,264 1,904 172 1,535 (369)140 1,676 (141)-8.43% Maintenance 171,135 44,829 6,586 35,259 (9,570)4,188 47,716 (12,457)-26.11% Non-Capital Equipment 39,542 23,066 566 12,254 (10,812)152 14,204 (1,950)-13.73% Office Expense 2,555 1,490 112 1,768 278 228 1,333 435 32.67% Professional Services 156,229 29,134 2,216 18,358 (10,776)8,685 27,525 (9,167)-33.30% Training 8,569 4,998 183 6,483 1,485 596 2,810 3,673 130.72% Travel & Conferences 14,362 8,378 249 4,141 (4,237)94 3,928 213 5.41% Uncollectible Accounts 315 184 62 356 172 88 255 100 39.19% Utilities 13,493 7,871 470 8,885 1,015 887 7,598 1,287 16.94% Vehicle Equipment 41,100 23,975 3,184 25,784 1,809 8,683 26,457 (673)-2.54% Supplies & Services Sub-Total 625,681 222,980 24,281 182,742 (40,239) 36,286 219,466 (36,724) -16.73% Total Operating Expenses 1,762,349 842,769 101,689 718,917 (123,852) 101,519 713,075 5,843 0.82% Expenses (Non-Operating): Other Expense - - 8,594 32,858 32,858 1,013 9,375 23,484 250.51% Total Non-Operating Expenses:- - 8,594 32,858 32,858 1,013 9,375 23,484 0.00% Total Expenses 1,762,349 842,769 110,283 751,776 (90,993) 102,532 722,449 29,326 4.06% Net Position Before Capital Contributions 1,183,209 879,017 119,459 979,037 100,019 121,485 877,497 101,540 11.57% Capital Contributions (Non-Cash Transaction -- - - 67,572 67,572 762 4,056 63,516 1565.98% GASB 34 Compliant) Net Position Before Depreciation 1,183,209 879,017 119,459 1,046,609 167,591 122,246 881,553 165,056 18.72% Depreciation & Amortization 1,430,756 834,608 120,776 835,581 974 114,480 801,452 34,129 4.26% Total Net Position (247,547) 44,409 (1,317) 211,027 166,618 7,766 80,101 130,927 163.45% Capital - Direct Labor (70,000)(40,833) (1,818) (22,147)18,686 (5,385) (47,803)25,656 -53.67% Yorba Linda Water District Sewer Fund For Period Ending January 31, 2020 (With January 31, 2019 for comparison purposes) Page 29 of 80 $1,084,306 $1,144,296 $1,352,032 $1,408,550 $1,599,948 $1,730,812 8.18% $738,211 $691,997 $828,413 $847,345 $722,449 $751,776 4.06% $- $200,000 $400,000 $600,000 $800,000 $1,000,000 $1,200,000 $1,400,000 $1,600,000 $1,800,000 $2,000,000 Jan. 2015 Jan. 2016 Jan. 2017 Jan. 2018 Jan. 2019 Jan. 2020 Sewer Revenues & Expenses -January (excludes Depreciation, Special Items, and Contributed Capital) Total Revenue Total Expenses Page 30 of 80 $5,292,032 $5,967,169 $5,832,402 $5,853,052 6,361,494 $1,037,796 $1,102,262 $1,180,709 $1,120,046 1,068,011$1,695,448 $2,258,653 $2,622,135 $2,615,821 2,481,982 $7,557,634 $8,102,517 $9,905,805 $9,281,832 $9,281,786 $15,582,910 $17,430,601 $19,541,050 $18,870,751 $19,193,273 1.71% increase compared to FY19 $0 $5,000,000 $10,000,000 $15,000,000 $20,000,000 $25,000,000 FY16 FY17 FY18 FY19 FY20 Water Revenue Comparison by Fiscal Year Water Revenue (Service Charge) Water Revenue (Commercial & Fire Det.) Water Revenue (Landscape/Irrigation) Water Revenue (Residential)Total Page 31 of 80 - 200,000 400,000 600,000 800,000 1,000,000 1,200,000 FY18 FY19 FY20 FY18 FY19 FY20 FY18 FY19 FY20 FY18 FY19 FY20 FY18 FY19 FY20 FY18 FY19 FY20 FY18 FY19 FY20 JULY AUGUST SEPTEMBER OCTOBER NOVEMBER DECEMBER JANUARY 56,992 61,680 49,466 80,884 74,233 63,745 54,463 56,459 45,308 59,881 58,311 66,613 58,343 53,077 49,341 49,277 29,976 29,994 42,840 44,271 41,614 131,653 154,349 136,153 207,053 220,117 183,783 142,649 169,608 150,522 138,015 66,613 179,230 147,368 137,653 128,481 100,928 59,372 52,049 88,221 49,880 42,105 CONSUMPTION BY UNITS CCF Residential Commercial Landscape Page 32 of 80 1,310,853 1,388,016 1,284,700 1,135,165 981,755 1,069,354 494,671 1,460,113 1,505,340 1,358,893 1,340,186 1,143,948 1,518,953 939,601 1,671,801 1,729,514 1,512,043 1,307,477 981,384 1,019,234 657,883 1,660,561 1,492,928 1,435,706 1,361,053 1,100,471 1,058,481 772,447 0 200,000 400,000 600,000 800,000 1,000,000 1,200,000 1,400,000 1,600,000 1,800,000 2,000,000 Jul Aug Sept Oct Nov Dec Jan Variable Costs Analysis FY17 Var Costs FY18 Var Costs FY19 Var Costs FY20 Var Costs Page 33 of 80 ITEM NO. 7.5. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kelly McCann, Senior Accountant SUBJECT:Cash and Investment Report for Period Ending January 31, 2020 RECOMMENDATION: That the Board of Directors receive and file the Cash and Investment Report for Period Ending January 31, 2020. SUMMARY: Government Code Section 530607, et. seq., requires the person delegated to invest funds to make monthly report of investments to the legislative body. BACKGROUND: The Cash & Investment Portfolio Report presents the market value and percent yield for all District investments by institution. The Cash & Investment Summary Report includes budget and actual interest and average term portfolio information as well as market value broken out by reserve categories. The Fair Value Measurement Report categorizes investments with the fair value hierarchy established by generally accepted accounting principles. The Unrestricted Reserves and Days in Cash Graph presents Water Unrestricted Reserve Balances and Days in Cash at a particular point in time for the last four years. The average portfolio yield for the month ending January 31, 2020 is 1.80%. The District's Total Cash and Investment balance at January 31, 2020 resulted in an overall decrease in the investment balance from the previous month is approximately $4,133,298. A larger balance change includes a decrease in the Water Operating Fund by $4,297,222, primarily due to payment of the OCWD bi-annual replenishment assessments. While Sewer Operating Fund had an increase of $74,330 due to a positive net effect between operating revenues and expenses through the reporting month of the fiscal year and Water Capital Page 34 of 80 Project Reserve decreased by $16,680 to cover the cost of pay-go capital purchases. STRATEGIC PLAN INITIATIVES: G2 4C - Manage cash flow to maximize investment income. ATTACHMENTS: 1.Cash and Investment Report January 2020 Page 35 of 80 Market %Date of Percent Value Par of Total Institution Maturity Yield Checking Account: 514,353$ 514,353$ Wells Fargo Bank 514,353$ 514,353$ 1.37%Total 0.00% Money Market Accounts: 83$ 83$ US Bank (Revenue Bonds)1.17% 3,754,605 3,754,605 US Bank (Money Market)1.39% 2,062,640 2,062,640 Public Agency Retirement Svcs. (PARS) 5,817,328$ 5,817,328$ 15.49%Total 1.39% Certificates of Deposits: 248,783 249,000 Comenity Cap Bk Salt Lake City 06/30/21 1.65% 247,554 248,000 EnerBank USA Salt Lake City 08/26/20 1.30% 179,953 180,000 HSBC BK USA, NA MC Clean CTF 08/31/21 1.25% 247,710 248,000 Wells Fargo Bank NA Sioux Falls D 08/31/21 1.60% 249,579 247,000 PrivateBank & Tr Chicago Ill CTF 03/30/22 2.18% 246,833 245,000 Goldman Sachs Bank 06/28/21 2.18% 246,833 245,000 Morgan Stanley Private Bank 06/28/21 2.18% 247,827 245,000 Capital One Bank USA 06/27/22 2.17% 247,827 245,000 Capital One Bank NA 06/27/22 2.17% 248,114 245,000 Ally Bank 06/27/22 2.22% 248,114 245,000 Sallie Mae Bank 06/27/22 2.22% 249,074 245,000 Synchrony 05/17/22 2.41% 249,768 245,000 Morgan Stanley Bank NA 06/13/22 2.50% 3,157,968$ 3,132,000$ 8.41%Total 2.02% Corporate Notes: 504,115$ 500,000 Wells Fargo Co.03/04/21 2.48% 504,570$ 500,000 JP Morgan Chase Co.03/01/21 2.53% 1,008,685$ 1,000,000$ 2.69%Total 2.51% Pooled Investment Accounts: 16,990,850$ 16,990,850$ Local Agency Investment Fund 1.97% 1,388,298 1,384,367 CalTRUST Short Term 1.73% 8,689,160 8,622,572 CalTRUST Medium Term 1.62% 27,068,307$ 26,997,789$ 72.05%1.84% 37,566,642$ 37,461,470$ 100%Total Investments 1.80% 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. 1/31/20 Yorba Linda Water District Cash & Investment Portfolio Report January 31, 2020 ________________________________ Kelly McCann, Senior Accountant Page 36 of 80 Below is a chart summarizing the yields as well as terms and maturities for the month of Janaury 2020: Average # of Month Portfolio Days to of 2019 Yield Maturity January 1.80%77 Below are charts comparing operating fund interest for current and prior fiscal years. Actual Interest 1/31/2019 1/31/2020 Monthly - January 111,331$ 117,072$ Year-to-Date 439,063$ 418,685$ Budget 2018/2019 2019/2020 Interest Budget, January YTD 208,833$ 473,845$ Interest Budget, Annual 358,000$ 812,306$ Interest earned on investments is recorded in the fund that owns the investment. The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds is as follows: The table below displays the District's Cash and Investment balance of $37.57 million which is allocated between the established reserve funds, Wells Fargo Checking Account, and restricted funds held at U.S. Bank for the Bond payment and PARS for the pension/OPEB payments. The number of Days in Cash are 348 for the Un-Restricted Water Reserve balance and 1,154 for the Un-Restricted Sewer Reserve balances, as of January 31, 2020. FY20 Reserve Cash and Requirements Investments December 2020 % Alloc January 2020 % Alloc "Target Available for Fund Description Balance 12/31/2019 Balance 1/31/2020 Levels"CY Obligations Water Operating Reserve 14,808,014$ 37.93%10,539,301$ 30.12%12,427,055$ (1,887,754)$ Water Emergency Reserve 7,207,585 18.46%7,223,683 20.65%7,115,108 108,575 Water Capital Project Reserve 7,059,617 18.08%7,073,167 20.22%7,314,221 (241,054) Rate Stabilization Reserve 4,157,005 10.65%4,173,236 11.93%4,093,400 79,836 Un-Restricted Water Reserve Balance 33,232,221 29,009,388 30,949,784 (1,940,396) Conservation Reserve 104,047 0.27%104,533 0.30%- 104,533 Employee Liability Reserve 304,011 0.78%305,431 0.87%400,000 (94,569) Restricted Reserve Balance 408,058 409,964 400,000 9,964 Sewer Operating Reserve 1,826,719 4.68%1,982,792 5.67%1,335,465 647,327 Sewer Emergency Reserve 1,934,626 4.95%1,936,179 5.53%1,914,347 21,832 Sewer Capital Project Reserve 1,643,423 4.21%1,651,243 4.72%1,909,045 (257,802) Un-Restricted Sewer Reserve Balance 5,404,769 5,570,214 5,158,857 411,357 Total Reserve Balances 39,045,049$ 100.00%34,989,565$ 100.00%36,508,641$ (1,519,076)$ Water Operating 359,267 330,758 Sewer Operating 265,338 183,595 624,605 514,353 Rev. Bond 2012A & 2017A-Principal & Interest 83 83 Public Agency Retirement Svc. -PARS (Restricted)2,030,204 2,062,640 Total Cash and Investments 41,699,940$ 37,566,642$ Cash & Investment Summary Report Cash & Investment Summary Comparison Between Current and Previous Month Wells Fargo Bank Checking US Bank Held (Restricted) Page 37 of 80 Checking Account:514,353$ 1.37% Money Market Accounts:5,817,328$ 15.49% Certificates of Deposit:3,157,968$ 8.41% Corporate Notes:1,008,685$ 2.69% Pooled Investment Accounts:27,068,307$ 72.05% Total 37,566,642$ 100.00% Checking Account: 1.37% Money Market Accounts: 15.49% Certificates of Deposit: 8.41% Corporate Notes: 2.69% Pooled Investment Accounts: 72.05% INVESTMENT BALANCES (AS OF 1 -31-2020) Checking Account:Money Market Accounts:Certificates of Deposit:Corporate Notes:Pooled Investment Accounts: Page 38 of 80 Yorba Linda Water District Fair Value Measurement Report January 31, 2020 Quoted Observable Unobservable Prices Inputs Inputs Investments Level 1 Level 2 Level 3 Total CalTRUST Investment Pool -$ 10,077,457$ -$ 10,077,457$ Local Agency Investment Fund - 16,990,850 - 16,990,850 Corporate Notes 1,008,685 1,008,685 Negotiable Certificates of Deposit - 3,157,968 - 3,157,968 Total Investments -$ 31,234,961$ -$ 31,234,961$ Page 39 of 80 Transaction Date Transaction Description Water Operating Pension Water Operating OPEB Sewer Operating Pension Sewer Operating OPEB Account Total Beginning Balance as of 7/1/19 1,235,837.20 526,669.64 135,806.94 62,230.97 1,960,544.75 7/31/2019 Investment Gain/(Loss)6,734.69 2,716.09 339.13 320.93 1,970,655.59 7/31/2019 Management Fees (272.06)(109.72)(13.70)(12.97) 1,970,247.14 7/31/2019 Investment Gain/(Loss) - Adjustment (361.18)361.18 1,970,247.14 7/31/2019 Management Fees - Adjustment 14.59 (14.59)1,970,247.14 8/31/2009 Investment Gain/(Loss)(5,050.10)(2,151.57)(553.40)(254.23) 1,962,237.84 8/31/2019 Management Fees (258.81)(110.27)(28.36)(13.03) 1,961,827.37 9/30/2019 Investment Gain/(Loss)9,114.79 3,884.40 1,001.64 458.98 1,976,287.18 9/30/2019 Management Fees (257.63)(109.80)(28.31)(12.97)1,975,878.47 10/31/2019 Investment Gain/(Loss)14,236.16 6,066.94 1,564.44 716.87 1,998,462.88 10/31/2019 Management Fees (259.48)(110.58)(28.51)(13.07) 1,998,051.24 11/30/2019 Investment Gain/(Loss)20,875.28 8,896.31 2,294.02 1,051.18 2,031,168.03 11/30/2019 Management Fees (607.78)(259.01)(66.79)(30.61) 2,030,203.84 12/31/2019 Investment Gain/(Loss)21,409.30 9,123.89 2,352.71 1,078.07 2,064,167.81 12/31/2019 Management Fees (962.97)(410.40)(105.82)(48.49) 2,062,640.13 Account Balance by Account Type 1,300,192.00 554,095.92 142,880.58 65,471.63 2,062,640.13$ 63%27%7%3%100% Pension OPEB Total Initial Contribution as of 12/28/2017 247,599.00$ - 247,599.00 Additional Contribution 6/26/19 1,105,248.00$ 587,339.00 1,692,587.00 Total Contributions =1,940,186.00 Total Gain (or Loss) from Inception 94,049.58$ 33,469.47 127,519.05 Total Management Fees from Inception (3,824.00)$ (1,240.92) (5,064.92) Balance as of 11-30-19 = 1,443,072.58$ 619,567.55$ 2,062,640.13$ PARS (Public Agency Retirement Services) Funding Reconciliation Page 40 of 80 $30,343,543 $26,585,928 $27,722,843 $28,495,928 $29,009,388 413 376 378 365 348 60 110 160 210 260 310 360 410 460 $20,000 $5,020,000 $10,020,000 $15,020,000 $20,020,000 $25,020,000 $30,020,000 $35,020,000 Jan. 2016 Jan. 2017 Jan. 2018 Jan. 2019 Jan. 2020 Unrestricted Reserves & Days in Cash (Water) Unrestricted Reserves (Water)Days in Cash (Water) Page 41 of 80 ITEM NO. 7.6. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kelly McCann, Senior Accountant SUBJECT:Unaudited Financial Statements for Second Quarter of Fiscal Year 2020 RECOMMENDATION: That the Board of Directors receive and file the Unaudited Financial Statements for Second Quarter of FY20. SUMMARY: Presented are the Unaudited Financial Statements for the Period Ending December 31, 2019 for the District. DISCUSSION: For the period, ending December 31, 2019, staff is presenting “unaudited” statements in the CAFR format. We have included a Statement of Net Position, a Debt Service Ratio Calculation, Consolidated Budget to Actual Statement, as well as the individual Water and Sewer Budget to Actual Statements. As reported in the Balance Sheet of the Statement of Net Position, the District’s Net Position reflects a negative result when compared to that of the same reporting period of the prior fiscal year by approximately $540,000. Cumulative Volumetric Water Revenue, as reported through the Period Ending December 31, 2019, reflects an average decrease in customer consumption of approximately .58% as compared to prior year for the same reporting period. Total Variable Water Costs results reflect 1.37% decrease when compared to prior year for the same reporting period. The decrease in costs is reflective of lower demands from the Page 42 of 80 water system and the District's increased ability to support demand. With the issuance of the Refunding Revenue Bonds, Series 2017A the District covenanted “…to fix, prescribe and collect rates and charges for Water Service which will be at least sufficient to yield during each Fiscal Year, Net Revenues equal to 125% of the Debit Service for such Fiscal Year.” To confirm the covenant is upheld, staff calculates the Debt Service Ratio quarterly and is received and filed by the Board of Directors. Accordingly, the “unaudited” Debt Service Ratio Calculation of the Water Enterprise for the Period Ending December 31, 2019 is being reported at 311%. This demonstrates the District’s strong financial health. STRATEGIC PLAN INITIATIVE: G2 3B – Regularly assess net position and steps to meet strategic goals. ATTACHMENTS: 1.Financial Reports and Graphs for 2nd Qtr 2020 Page 43 of 80 ASSETS December 2019 December 2018 CURRENT ASSETS: Cash and cash equivalents 37,544,320$ 36,257,216$ Investment 4,163,563 2,069,572 Accounts receivable - water and sewer services 2,506,152 2,743,671 Accrued interest receivable 17,973 9,697 Prepaid expenses & other deposits 871,715 802,987 Inventory 314,741 261,421 TOTAL CURRENT ASSETS 45,418,464 42,144,564 NONCURRENT ASSETS: Bond issuance costs 338,312 363,143 Deferred Pension Plan 2,335,328 2,749,826 Deferred OPEB Plan 462,680 399,599 Capital assets: Non-depreciable 2,958,465 13,430,076 Depreciable, net of accumulated depreciation 184,835,210 180,038,305 TOTAL NONCURRENT ASSETS 190,929,995 196,980,949 TOTAL ASSETS 236,348,459 239,125,513 LIABILITIES CURRENT LIABILITIES: Accounts payable 1,664,175 1,872,501 Accrued expenses 3,999,646 3,620,677 Accrued OPEB - - Accrued interest payable 378,197 393,864 Refunding Revenue Bond(s) - current portion 1,230,000 1,175,000 Compensated absences 414,024 435,396 Customer and construction deposits 784,978 552,216 Deferred revenue 224,409 268,842 TOTAL CURRENT LIABILITIES 8,695,429 8,318,496 LONG-TERM LIABILITIES (LESS CURRENT PORTION): Deferred annexation revenue 12,865,409 13,360,454 Compensated absences 1,242,072 1,306,189 Net Pension Liability 8,449,114 8,575,054 Net OPEB Liability 2,046,040 2,273,415 Deferred Pension Plan 430,507 639,586 Deferred OPEB Plan 43,597 44,966 Deferred Inflow - Gain on Bond 95,528 100,623 Refunding Revenue Bond(s) 36,333,092 37,819,068 Certificate of Participation - - TOTAL LONG TERM LIABILITIES (LESS CURRENT PORTION)61,505,359 64,119,355 TOTAL LIABILITIES 70,200,788 72,437,851 NET ASSETS:166,147,671$ 166,687,662$ YORBA LINDA WATER DISTRICT UNAUDITED COMBINING SCHEDULE OF NET ASSETS December 31, 2019 (With December 31, 2018 Actuals for comparison only) Page 44 of 80 December 2019 December 2018 OPERATING REVENUES: Water sales 17,104,511$ 16,748,322$ Sewer revenues 1,373,801 1,269,420 Other operating revenues 573,016 602,082 TOTAL OPERATING REVENUES 19,051,328 18,619,824 OPERATING EXPENSES Variable water costs 8,109,201 8,221,453 Personnel services 4,873,911 4,741,322 Supplies and services 2,508,213 2,104,038 Depreciation and amortization 3,882,607 3,683,223 TOTAL OPERATING EXPENSES 19,373,932 18,750,036 OPERATING INCOME/(LOSS)(322,604) (130,212) NONOPERATING REVENUES (EXPENSES): Property taxes 993,808 947,340 Investment income 301,613 327,733 Interest expense (653,941) (681,008) Other nonoperating revenues 406,228 352,876 Other nonoperating expenses (163,479) (9,230) TOTAL NONOPERATING REVENUES/EXPENSES 884,229 937,711 NET INCOME/(LOSS) BEFORE CAPITAL CONTRIBUTIONS, SPECIAL/EXTRAORDINARY ITEM(S)561,625 807,499 SPECIAL ITEM(S) - CONSERVATION CREDIT - - SPECIAL ITEM(S) - RATE CREDIT - - CAPITAL CONTRIBUTIONS 149,382 3,298 CHANGES IN NET ASSETS 711,007 810,797 NET ASSETS - BEGINNING OF YEAR 165,436,664 165,876,865 NET ASSETS - FOR PERIOD END DECEMBER 31, 2019 166,147,671$ 166,687,662$ YORBA LINDA WATER DISTRICT UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES AND CHANGES IN NET ASSETS December 31, 2019 (With December 30, 2018 Actuals for comparison only) Page 45 of 80 YTD Debt Prior YTD PY Debt Actual Service Actual Service FY20 Calculation FY19 Calculation Revenue (Operating): Water Revenue (Residential)8,316,775$ 8,316,775$ 8,248,457$ 8,248,457$ Water Revenue (Commercial & Fire Det.)951,934 951,934 999,632 999,632 Water Revenue (Landscape/Irrigation)2,396,747 2,396,747 2,485,894 2,485,894 Water Revenue (Service Charge)5,439,055 5,439,055 5,014,339 5,014,339 Other Operating Revenue 513,872 513,872 563,782 563,782 Total Operating Revenue:17,618,383 17,618,383 17,312,104 17,312,104 Revenue (Non-Operating): Interest 257,258 257,258 279,932 279,932 Property Tax 993,808 993,808 947,340 947,340 Other Non-Operating Revenue 382,459 382,459 332,469 332,469 Total Non-Operating Revenue:1,633,525 1,633,525 1,559,742 1,559,742 Total Revenue 19,251,908 19,251,908 18,871,845 18,871,845 Expenses (Operating): Variable Water Costs (G.W., Import & Power)8,109,201 8,109,201 8,221,453 8,221,453 Salary Related Expenses 4,415,143 4,415,143 4,312,945 4,312,945 Supplies & Services 2,349,749 2,349,749 1,920,854 1,920,854 Depreciation 3,167,800 - 2,996,250 - Total Operating Expenses 18,041,893 14,874,093 17,451,502 14,455,252 Expenses (Non-Operating): Interest on Long Term Debt 653,941 - 681,008 - Other Expense 139,214 139,214 869 869 Total Non-Operating Expenses:793,155 139,214 681,877 869 Total Expenses 18,835,048 15,013,307 18,133,379 14,456,121 Net Position Before Capital Contributions/Special Items 416,860 4,238,601 738,466 4,415,725 Special Item - Conservation Credit - - - - Transfers (To)/From - - - - Capital Contributions (Non-Cash Transaction -81,810 - - - GASB 34 Compliant) Net Position 498,670$ 4,238,601$ 738,466$ 4,415,725$ DEBT SERVICE RATIO CALCULATION: Net Revenues 4,238,601$ 4,415,725$ Debt Service 1,363,478$ 1,369,128$ %311% 323% Yorba Linda Water District Unaudited Water Enterprise Debt Service Ratio Calculation For Period Ending December 31, 2019 (With December 31, 2018 for comparison purposes) Page 46 of 80 Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending December 31, 2019 Annual YTD Dec YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual Budget Budget Actual Actual (Under) Over Dec Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Dec 2019)PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)16,548,758$ 8,326,541$ 80,845$ 8,316,775$ (9,766)$ 351,165$ 8,248,457$ 68,318$ 0.83% Water Revenue (Commercial & Fire Det.)1,872,073 1,047,238 124,191 951,934 (95,304)121,407 999,632 (47,698)-4.77% Water Revenue (Landscape/Irrigation)3,917,982 2,191,719 219,982 2,396,747 205,028 220,065 2,485,894 (89,147)-3.59% Water Revenue (Service Charge)10,988,263 5,494,132 919,349 5,439,055 (55,077)837,458 5,014,339 424,717 8.47% Sewer Charge Revenue 2,421,665 1,210,833 189,948 1,190,584 (20,249)168,416 1,102,634 87,950 7.98% Locke Ranch Assessments 324,173 54,024 116,498 183,218 129,194 116,310 166,786 16,432 0.00% Other Operating Revenue 964,708 492,354 84,685 573,016 80,662 64,986 602,082 (29,066)-4.83% Total Operating Revenue:37,037,622 18,816,841 1,735,498 19,051,329 234,488 1,879,807 18,619,824 431,505 2.32% Revenue (Non-Operating): Interest 812,306 406,153 40,050 301,613 (104,540)50,694 327,733 (26,120)-7.97% Property Tax 1,820,471 920,976 647,202 993,808 72,832 598,376 947,340 46,468 0.00% Other Non-Operating Revenue 632,909 316,455 79,221 406,228 89,773 145,715 352,876 53,351 15.12% Total Non-Operating Revenue:3,265,685 1,643,584 766,473 1,701,649 58,065 794,785 1,627,949 73,700 4.53% Total Revenue 40,303,307 20,460,425 2,501,971 20,752,978 292,552 2,674,592 20,247,773 505,204 2.50% Expenses (Operating): Variable Water Costs (G.W., Import & Power)15,110,810 8,452,987 1,058,481 8,109,201 (343,786)1,019,234 8,221,453 (112,252)-1.37% Salary Related Expenses 11,664,922 5,188,374 846,136 4,873,911 (314,463)747,899 4,741,322 132,589 2.80% Supplies & Services 5,419,301 2,570,150 450,252 2,508,213 (61,937)336,549 2,104,035 404,178 19.21% Total Operating Expenses 32,195,033 16,211,511 2,354,869 15,491,325 (720,186)2,103,682 15,066,810 424,515 2.82% Expenses (Non-Operating): Interest on Long Term Debt 1,303,967 651,984 107,685 653,941 1,957 111,601 681,008 (27,067) -3.97% Other Expense 13,520 13,520 634 163,479 149,959 9,068 9,230 154,248 1671.09% Total Non-Operating Expenses:1,317,488 665,504 108,319 817,420 151,916 120,669 690,239 127,181 18.43% Total Expenses 33,512,521 16,877,015 2,463,188 16,308,745 (568,271)2,224,352 15,757,048 551,696 3.50% Net Position Before Capital Contributions 6,790,787 3,583,410 38,783 4,444,233 860,823 450,240 4,490,725 (46,493) -1.04% Capital Contributions (Non-Cash - - 5,894 149,382 149,382 - 3,294 146,088 0.00% Transaction GASB 34 Compliant) Net Position Before Depreciation 6,790,787 3,583,410 44,677 4,593,615 1,010,205 450,240 4,494,019 99,595 2.22% Depreciation & Amortization 7,720,659 3,860,330 648,988 3,882,607 22,277 614,750 3,683,222 199,385 5.41% Total Net Position ($929,872)($276,920)(604,311) 711,007 $987,928 ($164,510)$810,797 ($99,790)-12.31% (295,000) (147,500) (20,980)(117,370) (117,370) (28,260) (202,694) 85,324 -42.09% (With December 31, 2018 for comparison purposes) Page 47 of 80 Annual YTD Dec YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Dec Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Dec 2019) PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)16,548,758$ $8,326,541 80,845$ 8,316,775$ (9,766)$ 351,165$ 8,248,457$ 68,318$ 0.83% Water Revenue (Commercial & Fire Det.)1,872,073 1,047,238 124,191 951,934 (95,304) 121,407 999,632 (47,698) -4.77% Water Revenue (Landscape/Irrigation)3,917,982 2,191,719 219,982 2,396,747 205,028 220,065 2,485,894 (89,147) -3.59% Water Revenue (Service Charge)10,988,263 5,494,132 919,349 5,439,055 (55,077) 837,458 5,014,339 424,716 8.47% Other Operating Revenue 902,996 451,498 71,667 513,872 62,374 63,101 563,782 (49,910) -8.85% Total Operating Revenue:34,230,072 17,511,127 1,416,034 17,618,383 107,255 1,593,196 17,312,104 306,279 1.77% Revenue (Non-Operating): Interest 698,777 349,389 34,338 257,258 (92,131) 46,371 279,932 (22,674) -8.10% Property Tax 1,820,471 920,976 647,202 993,808 72,832 598,376 947,340 46,468 0.00% Other Non-Operating Revenue 608,430 304,215 78,138 382,459 78,244 135,280 332,469 49,990 15.04% Total Non-Operating Revenue:3,127,678 1,574,580 759,678 1,633,525 58,945 780,027 1,559,742 73,783 4.73% Total Revenue 37,357,750 19,085,707 2,175,712 19,251,908 166,201 2,373,223 18,871,845 380,063 2.01% Expenses (Operating): Variable Water Costs (G.W., Import & Power)15,110,810 8,452,987 1,058,481 8,109,201 (343,787) 1,019,234 8,221,453 (112,252) -1.37% Salary Related Expenses 10,528,255 4,668,646 772,027 4,415,146 (253,500) 675,939 4,312,945 102,201 2.37% Supplies & Services: Communications 228,183 114,092 5,426 109,495 (4,597) 19,671 94,735 14,761 15.58% Contractual Services 496,717 200,859 31,643 193,925 (6,934) 26,835 177,446 16,479 9.29% Data Processing 324,069 162,035 19,184 129,254 (32,780) 50,072 161,661 (32,407) -20.05% Dues & Memberships 78,862 59,431 11,075 68,351 8,920 3,915 67,353 998 1.48% Fees & Permits 290,271 158,636 84,538 173,982 15,347 24,025 106,400 67,582 63.52% Insurance 304,468 139,734 22,752 140,253 519 23,322 136,293 3,960 2.91% Materials 948,195 474,098 68,885 471,008 (3,090) 40,402 423,580 47,428 11.20% District Activities, Emp Recognition 43,371 21,686 6,909 18,106 (3,580) 6,590 21,317 (3,212) -15.07% Maintenance 565,165 262,583 53,228 263,730 1,148 43,283 175,952 87,779 49.89% Non-Capital Equipment 170,778 85,389 16,925 88,840 3,451 8,177 73,442 15,398 20.97% Office Expense 33,950 16,975 2,960 22,681 5,706 3,924 16,884 5,797 34.33% Professional Services 585,971 318,486 48,069 326,054 7,569 16,982 186,646 139,408 74.69% Training 78,301 21,650 3,444 11,138 (10,512) 1,703 16,842 (5,704) -33.87% Travel & Conferences 126,278 40,639 10,560 35,127 (5,512) 7,722 37,622 (2,495) -6.63% Uncollectible Accounts 4,185 2,092 (64) 3,223 1,130 1,515 1,954 1,268 64.89% Utilities 179,258 97,129 20,844 111,802 14,673 13,167 84,998 26,804 31.53% Vehicle Equipment 335,600 182,800 16,533 182,780 (20) 22,854 137,729 45,051 32.71% Supplies & Services Sub-Total 4,793,620 2,358,310 422,912 2,349,749 (8,561) 314,159 1,920,854 428,895 22.33% Total Operating Expenses 30,432,685 15,479,944 2,253,420 14,874,096 (605,848) 2,009,332 14,455,252 418,843 2.90% Expenses (Non-Operating): Interest on Long Term Debt 1,303,967 651,984 107,685 653,941 1,957 111,601 681,008 (27,068) -3.97% Other Expense 13,520 13,520 634 139,214 125,694 9,069 869 138,345 -15920.02% Total Non-Operating Expenses:1,317,487 665,504 108,319 793,155 127,651 120,670 681,877 111,278 16.32% Total Expenses 31,750,172 16,145,447 2,361,739 15,667,250 (478,197) 2,130,002 15,137,130 530,121 3.50% Net Position Before Capital Contributions 5,607,578 2,940,260 (186,027) 3,584,657 644,397 243,221 3,734,716 (150,058) -4.02% Capital Contributions (Non-Cash Transaction -- - - 81,810 81,810 - - 81,810 - GASB 34 Compliant) Net Position Before Depreciation 5,607,578 2,940,260 (186,027) 3,666,467 726,207 243,221 3,734,716 (68,248) -1.83% Depreciation & Amortization 6,289,903 3,144,952 528,212 3,167,800 22,849 500,254 2,996,249 171,551 5.73% Total Net Position (682,325)$ (204,691)$ (714,239)$ 498,667 703,359$ (257,033)$ 738,466$ (239,799)$ -32.47% Capital - Direct Labor (225,000) (112,500)(17,775) (97,042) 15,458 (22,037) (160,276) 63,234 -39.45% Yorba Linda Water District Water Fund For Period Ending December 31, 2019 (With December 30, 2018 for comparison purposes) Page 48 of 80 $16,440,725 $16,378,634 $17,275,095 $18,915,210 $18,871,845 $19,251,908 2.01% $13,899,765 $12,899,509 $14,220,028 $15,079,894 $15,137,129 $15,667,250 3.50% $- $5,000,000 $10,000,000 $15,000,000 $20,000,000 $25,000,000 Dec. 2014 Dec. 2015 Dec. 2016 Dec. 2017 Dec. 2018 Dec. 2019 Water Revenues & Expenses -2nd Qtr 2020 (excludes Depreciation, Special Items, and Contributed Capital ) Total Revenue Total Expenses Page 49 of 80 Annual YTD Dec YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Dec Actual Actual (thru vs vs FY20 FY20 FY20 FY20 YTD Budget FY19 Dec 2019)PY Actual $PY Actual % Revenue (Operating): Sewer Charge Revenue 2,421,665$ 1,210,833$ 189,948$ 1,190,583$ (20,249)$ 168,416$ 1,102,634$ 87,949$ 7.98% Locke Ranch Assessments 324,173 54,024 116,498 183,218 129,194 116,310 166,786 16,432 0.00% Other Operating Revenue 61,712 40,856 13,018 59,144 18,288 1,885 38,300 20,844 54.42% Total Operating Revenue:2,807,550 1,305,713 319,464 1,432,945 127,233 286,611 1,307,720 125,225 9.58% Revenue (Non-Operating): Interest 113,528 56,764 5,712 44,355 (12,409)4,323 47,801 (3,446)-7.21% Other Non-Operating Revenue 24,480 12,240 1,083 23,769 11,529 10,435 20,407 3,362 16.47% Total Non-Operating Revenue:138,008 69,004 6,795 68,124 (880)14,758 68,208 (84) -0.12% Total Revenue 2,945,558 1,374,717 326,259 1,501,069$ 126,353 301,369 1,375,928 125,141 9.10% Expenses (Operating): Salary Related Expenses 1,136,668 519,728 74,111 458,768 (60,960)71,960 428,377 30,391 7.09% Supplies & Services: Communications 13,412 6,706 408 4,334 (2,372)827 4,364 (30)-0.69% Contractual Services 30,764 15,382 2,159 12,407 (2,976)1,575 10,834 1,572 14.51% Data Processing 21,382 10,691 1,027 6,085 (4,606)1,562 11,031 (4,946)-44.84% Dues & Memberships 5,928 2,964 834 5,145 2,181 295 5,070 75 1.48% Fees & Permits 15,509 7,755 1,432 8,883 1,129 666 6,254 2,630 42.05% Insurance 22,917 11,459 1,713 14,540 3,082 1,755 10,189 4,351 42.71% Materials 65,206 17,603 949 6,045 (11,558)369 25,681 (19,636)-76.46% District Activities, Emp Recognition 3,264 1,632 520 1,363 (269)496 1,536 (173)-11.29% Maintenance 171,135 41,568 9,895 28,672 (12,896)563 43,528 (14,856)-34.13% Non-Capital Equipment 39,542 19,771 966 11,688 (8,083)3,087 14,052 (2,364)-16.82% Office Expense 2,555 1,278 222 1,656 379 295 1,104 553 50.07% Professional Services 156,229 36,115 2,167 16,142 (19,973)3,729 18,840 (2,698)-14.32% Training 8,569 4,284 472 6,300 2,016 587 2,214 4,086 184.57% Travel & Conferences 14,362 7,181 1,267 3,892 (3,289)1,649 3,835 57 1.49% Uncollectible Accounts 315 157 (13) 294 136 181 167 126 75.33% Utilities 13,493 6,746 1,569 8,415 1,669 991 6,711 1,704 25.39% Vehicle Equipment 41,100 20,550 1,751 22,601 2,051 3,763 17,772 4,829 27.17% Supplies & Services Sub-Total 625,681 211,840 27,338 158,462 (53,378) 22,390 183,181 (24,719) -13.49% Total Operating Expenses 1,762,349 731,568 101,449 617,230 (114,338) 94,350 611,558 5,672 0.93% Expenses (Non-Operating): Other Expense - - 24,265 24,265 - 8,361 15,904 190.22% Total Non-Operating Expenses:- - - 24,265 24,265 - 8,361 15,904 0.00% Total Expenses 1,762,349 731,568 101,449 641,495 (90,073) 94,350 619,919 21,576 3.48% Net Position Before Capital Contributions 1,183,209 643,149 224,809 859,574 216,426 207,018 756,009 103,565 13.70% Capital Contributions (Non-Cash Transaction -- - 5,894 67,572 67,572 - 3,294 64,278 1951.37% GASB 34 Compliant) Net Position Before Depreciation 1,183,209 643,149 230,703 927,146 283,998 207,018 759,303 167,843 22.10% Depreciation & Amortization 1,430,756 715,378 120,776 714,806 (572)114,495 686,972 27,834 4.05% Total Net Position (247,547) (72,229) 109,928 212,340 284,570 92,523 72,331 140,009 193.57% Capital - Direct Labor (70,000)(35,000) (3,205) (20,329)14,671 (6,224) (42,418)22,089 -52.07% Yorba Linda Water District Sewer Fund For Period Ending December 31, 2019 (With December 31, 2018 for comparison purposes) Page 50 of 80 $937,268 $979,507 $1,178,599 $1,197,028 $1,375,928 $1,501,069 9.10% $644,252 $610,220 $673,540 $726,392 $619,919…$641,495 3.48% $- $200,000 $400,000 $600,000 $800,000 $1,000,000 $1,200,000 $1,400,000 $1,600,000 Dec. 2014 Dec. 2015 Dec. 2016 Dec. 2017 Dec. 2018 Dec. 2019 Sewer Revenues & Expenses -2nd Qtr 2020 (excludes Depreciation, Special Items, and Contributed Capital) Total Revenue Total Expenses Page 51 of 80 ITEM NO. 7.7. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Paige Appel, Accounting Assistant II SUBJECT:Directors' and General Manager Fees and Expenses Report for Second Quarter of Fiscal Year 2020 RECOMMENDATION: That the Board of Directors receive and file the Directors' and General Manager Fees and Expenses Report for Second Quarter of FY20. ATTACHMENTS: 1.Travel & Expense Report for Q2 2020 2.BOD & GM Summary for Q2 2020 3.BOD & GM Summary for FYTD 2020 Page 52 of 80 Role Name GL Date Trip Date Trip Name Trip Location CONF. FEE LODGE MEAL MISC TRAVEL Grand Total Directors Hawkins 10/25/2019 10/24/2019 ISDOC Luncheon Fountain Valley 17.00$ 17.00$ 10/31/2019 10/4-10/24 WACO & ISDOC Meeting Fountain Valley 48.72$ 48.72$ Hawkins Total 17.00$ 48.72$ 65.72$ Miller 10/23/2019 9/24/2019 PFAS/CR6 Meeting Cabazon 77.14$ 77.14$ 10/25/2019 10/16-10/17 ACWA Regulatory Summit Sacramento 232.00$ 232.00$ 10/25/2019 12/2-12/5 ACWA Fall Conference San Diego 725.00$ 725.00$ 11/27/2019 10/16-10/17 ACWA Regulatory Summit Sacramento 195.71$ 47.15$ 211.75$ 454.61$ 12/26/2019 11/20/2019 OCWA Luncheon Irvine 30.00$ 30.00$ 12/31/2019 12/2-12/5 ACWA Fall Conference San Diego 707.34$ 220.88$ 928.22$ Miller Total 957.00$ 903.05$ 77.15$ 509.77$ 2,446.97$ Nederhood 10/25/2019 12/11-12/13 CRWUA Conference Las Vegas (94.10)$ 18.00$ (76.10)$ 10/31/2019 10/1-10/30 ISDOC, MWDOC, OC SAN DISTRICT, LAFCO Various Locations 122.96$ 122.96$ 10/31/2019 9/26-9/27 CSDA Conference Anaheim 27.60$ 27.60$ 11/28/2019 12/11-12/13 CRWUA Conference Las Vegas 48.00$ 237.96$ 285.96$ 11/30/2019 11/1-11/20 WACO, ISDOC, OCWD, GWRS Various Locations 113.56$ 113.56$ 12/26/2019 12/6/2019 WACO Fountain Valley 25.75$ 25.75$ Nederhood Total (94.10)$ 48.00$ 545.83$ 499.73$ Jones 10/25/2019 10/16/2019 ACWA Regulatory Summit Sacramento 290.00$ 272.96$ 562.96$ 10/25/2019 10/16/2019 OCWA Luncheon Irvine 30.00$ 30.00$ 10/25/2019 10/24/2019 ISDOC Luncheon Fountain Valley 17.00$ 17.00$ 10/31/2019 10/2-10/24 OCWD, MWDOC, WACO Meeting Various Locations 149.41$ 149.41$ 11/28/2019 2/19-2/21 UWI Conference Palm Springs 575.00$ 194.11$ 30.00$ 799.11$ 11/28/2019 10/16/2019 ACWA Summit Sacramento (240.00)$ (240.00)$ 12/26/2019 11/08-11/20 OCWD, OCWA, GWRS, MWDOC, WACO Meeting Various Locations 124.35$ 124.35$ 12/26/2019 12/2-12/6 ACWA JPIA Conference San Diego 1,068.12$ 1,068.12$ 12/26/2019 12/6-12/9 ACWA JPIA Conference San Diego 117.16$ 117.16$ 12/31/2019 12/13-12/18 WACO, OCWD, MWDOC, SAWPA Various Locations 121.16$ 121.16$ Jones Total 655.00$ 1,262.23$ 47.00$ 785.04$ 2,749.27$ Directors Total 1,612.00$ 2,071.18$ 189.15$ 1,889.36$ 5,761.69$ General Manager Marcantonio 10/23/2019 10/16-10/17 ACWA Regulatory Summit Sacramento 28.71$ 28.71$ 10/25/2019 12/11-12/13 CRWUA Conference Las Vegas 8.51$ 8.51$ 10/25/2019 9/25/2019 SDLA Governance Foundations Anaheim 18.00$ 18.00$ 10/25/2019 9/26/2019 CSDA Conference Anaheim 18.00$ 18.00$ 10/25/2019 10/16/2019 OCWA Luncheon Irvine 30.00$ 30.00$ 11/27/2019 10/9-10/24 OCWD & ISDOC Meeting Fountain Valley 41.47$ 41.47$ 11/28/2019 10/16-10/17 ACWA Regulatory Summit Sacramento 195.71$ 28.00$ 40.00$ 263.71$ 11/28/2019 12/11-12/13 CRWUA Conference Las Vegas 143.98$ 143.98$ 11/28/2019 10/24/2019 ISDOC Luncheon Fountain Valley 17.00$ 17.00$ 34.00$ 11/30/2019 11/20/2019 OCWD Meeting Fountain Valley 38.40$ 38.40$ 12/26/2019 12/11-12/13 CRWUA Conference Las Vegas 99.71$ 296.38$ 396.09$ 12/26/2019 12/2-12/6 ACWA Fall Conference San Diego 35.00$ 123.54$ 158.54$ 12/26/2019 12/3-12/6 ACWA Fall Conference San Diego 1,091.25$ 99.91$ 5.00$ 1,196.16$ Marcantonio Total 58.71$ 1,312.47$ 244.62$ 35.00$ 724.77$ 2,375.57$ General Manager Total 58.71$ 1,312.47$ 244.62$ 35.00$ 724.77$ 2,375.57$ Grand Total 1,670.71$ 3,383.65$ 433.77$ 35.00$ 2,614.13$ 8,137.26$ DIRECTOR'S & GENERAL MANAGER'S RECAP OF TRAVEL/CONFERENCE EXPENSES SECOND QUARTER OF FY 20 OCTOBER - DECEMBER 2019 Page 53 of 80 HAWKINS MILLER HALL NEDERHOOD JONES SUB-TOTAL MARCANTONIO TOTAL REGULAR MEETINGS ATTENDED 3 4 4 5 3 19 19 SPECIAL MEETINGS ATTENDED 1 0 0 0 0 1 5 COMMITTEE MEETINGS ATTENDED 3 0 0 0 3 6 5 OTHER MEETINGS ATTENDED 7 26 1 15 18 67 45 TOTAL MEETINGS ATTENDED QTD 14 30 5 20 24 93 93 DIRECTOR FEES QTD $2,100 $4,500 $750 $3,000 $3,600 $13,950 $13,950 MEETING FEES BUDGET QTD $4,500 $4,500 $4,500 $4,500 $4,500 $22,500 $22,500 TRAVEL & CONF. EXPENSES QTD $66 $2,447 $0 $500 $2,749 $5,762 $5,762 TRAVEL & CONF. BUDGET QTD $1,887.50 $1,887.50 $1,887.50 $1,887.50 $1,887.50 $9,438 $9,438 DIR.FEES AND EXPENSES QTD $2,166 $6,947 $750 $3,500 $6,349 $19,712 $19,712 FEES AND EXPENSES BUDGET QTD $6,388 $6,388 $6,388 $6,388 $6,388 $31,938 $31,938 GEN MGR EXPENSES QTD $2,376 $2,376 GEN MGR TRAVEL/CONF. BUDGET QTD $5,948 $5,948 TOTAL FEES & EXPENSES QTD $2,166 $6,947 $750 $3,500 $6,349 $19,712 $2,376 $22,088 TOTAL FEES & EXPENSES BUDGET QTD $6,388 $6,388 $6,388 $6,388 $6,388 $31,938 $5,948 $37,885 FY 20 2ND QUARTER REPORT FROM 10-01-2019 TO 12-31-2019 DIRECTORS AND GENERAL MANAGER FEES AND EXPENSES YORBA LINDA WATER DISTRICT Page 54 of 80 HAWKINS MILLER HALL NEDERHOOD JONES SUB-TOTAL MARCANTONIO TOTAL REGULAR MEETINGS ATTENDED 6 7 8 9 8 38 COMMITTEE MEETINGS ATTENDED 2 1 1 1 1 6 SPECIAL MEETINGS ATTENDED 4 1 0 0 6 11 OTHER MEETINGS ATTENDED 13 40 1 24 34 112 TOTAL MEETINGS ATTENDED QTD 25 49 10 34 49 167 167 DIRECTOR FEES QTD $3,750 $7,350 $1,500 $5,100 $7,350 $25,050 $25,050 MEETING FEES BUDGET QTD $9,000 $9,000 $9,000 $9,000 $9,000 $45,000 $45,000 TRAVEL & CONF. EXPENSES QTD $66 $2,531 $0 $1,306 $6,764 $10,667 $10,667 TRAVEL & CONF. BUDGET QTD $3,775 $3,775 $3,775 $3,775 $3,775 $18,875 $18,875 DIR.FEES AND EXPENSES QTD $3,816 $9,881 $1,500 $6,406 $14,114 $35,717 $35,717 FEES AND EXPENSES BUDGET QTD $12,775 $12,775 $12,775 $12,775 $12,775 $63,875 $63,875 GEN MGR EXPENSES QTD $6,435 $6,435 GEN MGR TRAVEL/CONF. BUDGET QTD $11,895 $11,895 TOTAL FEES & EXPENSES QTD $3,816 $9,881 $1,500 $6,406 $14,114 $35,717 $6,435 $42,152 TOTAL FEES & EXPENSES BUDGET QTD $12,775 $12,775 $12,775 $12,775 $12,775 $63,875 $11,895 $75,770 YEAR-TO-DATE REPORT FROM 07-01-2019 TO 12-31-2019 DIRECTORS AND GENERAL MANAGER FEES AND EXPENSES YORBA LINDA WATER DISTRICT FY 20 Page 55 of 80 ITEM NO. 7.8. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Rosanne Weston, Engineering Manager Danielle Logsdon, Senior Engineer SUBJECT:No-Cost Change Order No. 1 for Camino Verde and Mickel Lane Waterline Improvement Project RECOMMENDATION: That the Board of Directors approve Change Order No. 1 for the Camino Verde and Mickel Lane Waterline Improvement Project, J2018-03. SUMMARY: This is a no cost change order to add time to the contract. The contract schedule was originally for 180 calendar days and this change order will add 70 days to the contract. FISCAL IMPACT: Budgeted: $600,000 Cost Estimate: $600,000 Funding Source: Pay-Go Account No: Job No: 2018-03 BACKGROUND: The Notice to Proceed was issued on August 12, 2019 and the contractor was authorized to complete the first phase of the project. The first phase included installing waterline improvements within Palm Avenue prior to the City of Yorba Linda paving the street. At the District's request, the contractor waited to complete the other waterline project improvements until such time that YLWD staff secured agreements from all of the 14 impacted property owners prior to accessing their properties. The proposed contract completion date is April 16, 2020. Page 56 of 80 PRIOR RELEVANT BOARD ACTION: This project was awarded by the Board on June 25, 2019. STRATEGIC PLAN INITIATIVE: G1 4A - Address infrastructure needs by updating/implementing the Asset Management Plan; G1 6B - Maintain distribution system and its capability to provide 100% groundwater and/or import water to the entire service area. ATTACHMENTS: 1.Change Order Page 57 of 80 YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 1 DATE 2/27/2020 Page 1 of 1 CONTRACT NAME: Camino Verde and Mickel Waterline Improvement Project CONTRACT AMT.: $576,178.90 DAYS: 180 CONTRACTOR: Cedro Construction, Inc THIS CHANGE: $0 DAYS: 70 PROJECT NUMBER: 2018-03 (0%) OWNER: Yorba Linda Water District REVISED CONTRACT AMT: $576,178.90 DAYS: 250 This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment an d materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon bet ween the Contractor and Yorba Linda Water District otherwise referred to as Owner. DESCRIPTION OF CHANGES +INCREASE / OR – DECREASE IN CONTRACT AMOUNT ($) CONTRACT TIME +EXTENSION / OR - REDUCTION (DAYS) This is a no cost change order to add time to the contract. The contract was originally for 180 $0 70 days and the Notice to Proceed was issued August 12, 2019 to allow for some waterline improvements to be installed within Palm Avenue before the City of Yorba Linda rehabilitated the pavement and issued a moratorium. The contractor waited to proceed with the remainder of the improvements until YLWD staff was able to secure Property Owner agreements from 14 impacted residents. The contractor proceeded with improvements in December. NET CHANGE $0 70 REVISED CONTRACT AMOUNT AND TIME $576,178.90 250 The amount of the contract will be increased <decreased> by the sum of $0 and the contract time shall be increased <decreased> by 70 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specifi ed for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all la bor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Cha nge Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead, profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execut ion of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above-referenced changes. RECOMMENDED: /ENGINEER DATE: Danielle Logsdon Senior Engineer, YLWD ACCEPTED: /CONTRACTOR DATE: Michael Verner, Vice President Cedro Construction, Inc APPROVED: /OWNER DATE: Rosanne Weston Engineering Manager, YLWD Page 58 of 80 ITEM NO. 8.1. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kaden Young, Senior Management Analyst SUBJECT:Contract Award for Revolving Line of Credit RECOMMENDATION: That the Board of Directors authorize staff to award a contract for a $20 Million Revolving Line of Credit to Opus Bank and accept their listed Terms and Conditions. BACKGROUND: At the January 28, 2020 Regular Board Meeting, the Board authorized District staff and consultants to pursue the acquisition of a $20 million revolving line of credit for CIP needs and PFAS treatment plant construction costs. Request for Proposal, which was issued to twenty-three firms, included the following terms and conditions: - Fixed Rate and Variable Rate Options - 3-year and 5-year terms - Parity and Subordinate Lien pricing By the February 28, 2020 deadline, the District received five responses meeting the requested terms and conditions of the RFP. After evaluating the responses, the 3-year subordinate lien option gave the District the most flexibility considering the District’s future financing plans. Bank of America provided the most competitive variable rate bid option, where as Opus Bank provided the most competitive fixed rate bid. Opus Bank responded with the following terms and conditions: - Subordinate lien to the District’s outstanding debt - 1.10x rate covenant and Additional Bonds Test Page 59 of 80 - Final maturity of April 2023 - Prepayment at any time without penalty - Bank counsel fee of $10,000 - Un-utilized fee of 0.20% with upfront loan fee of 0.20% = $40,000 - Estimated total un-utilized cost of approximately $57,000 over the term of the RLOC - Fixed Rate option = 1.84% - Interest payable semi-annually; estimated interest cost of approximately $608,000 over the term of the RLOC - at fixed rate of 1.84% throughout the term; subject to change based on fluctuations in draw schedules Opus Bank provides the District with the most flexibility. Staff recommends that the Board of Directors authorize staff to award bid to Opus Bank and accept their listed terms and conditions. The next steps are to pursue negotiation of loan documents with Opus Bank’s counsel and Stradling as Bond Counsel. ATTACHMENTS: 1.Presentation on Revolving Line of Credit Page 60 of 80 Revolving Line of Credit Yorba Linda Water District Board Meeting March 10, 2020 Page 61 of 80 Introduction •In January, the Board authorized District staff and consultants to pursue the acquisition of a $20 million revolving line of credit for CIP needs and PFAS treatment plant construction costs •Request for Proposal included the following terms and conditions: ▫Fixed Rate and Variable Rate Options ▫3-year and 5-year terms ▫Parity and Subordinate Lien pricing •The District successfully distributed the Request for Proposal to twenty-three firms on February 14th with responses due by February 28th 2 Page 62 of 80 •By the 28th deadline, the District received five responses meeting the requested terms and conditions of the RFP: •After evaluating the responses, the 3-year subordinate lien option gave the District the most flexibility considering the District’s future financing plans RFP Responses 3 Firms who Responded to the RFP Fixed Rate Option Variable Rate Option Bank of America N/A Bank of the West J.P. Morgan N/A Opus Wells Fargo Bank N.A.N/A Page 63 of 80 Variable Rate Option •Bank of America provided the most competitive variable rate bid option with the following terms and conditions: ▫Subordinate lien to the District’s outstanding debt 1.10x rate covenant and Additional Bonds Test ▫Final maturity of April 2023 ▫Prepayment at any time without penalty (on the weekly reset date) ▫Bank counsel fee of $25,000 ▫Unutilized fee of 0.20% if loan utilization is less than 60% Estimated total unutilized cost of approximately $42,000 over the term of the RLOC ▫Variable rate option of 100% SIFMA + 0.48% = 1.63% as of February 27, 2020 (payable monthly) Estimated total interest cost of approximately $546,000 over the term of the RLOC; subject to change based on fluctuations in interest rate and draw schedules 4 Page 64 of 80 Fixed Rate Option •Opus Bank provided the most competitive fixed rate bid with the following terms and conditions: ▫Subordinate lien to the District’s outstanding debt 1.10x rate covenant and Additional Bonds Test ▫Final maturity of April 2023 ▫Prepayment at any time without penalty ▫Bank counsel fee of $10,000 ▫Unutilized fee of 0.20% with upfront loan fee of 0.20% = $40,000 Estimated total unutilized cost of approximately $57,000 over the term of the RLOC ▫Fixed Rate option = 1.84% Interest payable semi-annually; estimated interest cost of approximately $608,000 over the term of the RLOC -at fixed rate of 1.84% throughout the term; subject to change based on fluctuations in draw schedules 5 Page 65 of 80 Recommendation •Opus Bank provides the District with the most flexibility •Award bid to Opus Bank and accept terms and conditions •Pursue negotiation of loan documents with Opus Bank’s counsel and Stradling as Bond Counsel 6 Page 66 of 80 Questions and Discussion 7 Page 67 of 80 ITEM NO. 9.2. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:John DeCriscio, Operations Manager SUBJECT:Status of Operations Activities Staff will provide the attached presentation during the meeting. ATTACHMENTS: 1.Presentation on Unidirectional Flushing Page 68 of 80 y YorbaLinda Water District Status of Operations Activities ( Flushing Program ) Presented on March 10, 2020 Presented by: John DeCriscio Operations Manager 14 �' —17ba Cnc#a.YN _ Pa 8f 0 .r , C C-7r LN Unidirectional Flushing Project Update : • Approximately 6.3 miles of pipeline flushed • Flushing velocity 5 (fps) minimum • Average 10-20 minutes per flush • Gallons Flushed to date 14,250 A. 1 -`4rba- Pagf 800 C r � - r RatesL Flow • nd Velocities mirrmw LMI-- Target Flow Rate Based on Velocity Velocity(FPS) 1 2 3 4 5 6 7 8 9 10 4 39 78 117 157 196 235 274 313 352 391 6 88 176 264 352 440 528 617 705 793 881 t 8 157 313 470 626 783 939 1096 1253 1409 1566 Green-Target Velocity V 10 245 489 734 979 1223 1468 1713 1957 2202 2447 12 352 705 1057 1409 1762 2114 2466 2818 3171 3523 E 14 480 959 1439 1918 2398 2877 3357 3836 4316 4795 0 16 626 1253 1879 2505 3132 3758 4384 5011 5637 6263 18 793 1585 2378 3171 3963 4756 5549 6342 7134 7927 20 979 1957 2936 3915 4893 5872 6850 7829 8808 9786 Find Velocity Based on Diameter and Flow Rate Flow GPM) _ 100 150 200 250 300 350 400 450 500 550 600 650 700 750 800 850 900 950 1000 1100 1200 1300 1400 1500 1600 4 2.6 3.8 5.1 6.4 7.7 8.9 10.2 11.5 12.8 14.1 15.3 16.6 17.9 19.2 20.4 21.7 23.0 24.3 25.5 28.1 30.7 33.2 35.8 38.3 40.9 in W 6 1.1 1.7 2.3 2.8 3.4 4.0 4.5 5.1 5.7 6.2 6.8 7.4 7.9 8.5 9.1 9.7 10.2 10.8 11.4 12.5 13.6 14.8 15.9 17.0 18.2 8 0.6 1.0 1.3 1.6 1.9 2.2 2.6 2.9 3.2 3.5 3.8 4.2 4.5 4.8 5.1 5.4 5.7 6.1 6.4 7.0 7.7 8.3 8.9 9.6 10.2 10 0.4 0.6 0.8 1.0 1.2 1.4 1.6 1.8 2.0 2.2 2.5 2.7 2.9 3.1 3.3 3.5 3.7 3.9 4.1 4.5 4.9 5.3 5.7 6.1 6.5 w 12 0.3 0.4 0.6 0.7 0.9 1.0 1.1 1.3 1.4 1.6 1.7 1.8 2.0 2.1 2.3 2.4 2.6 2.7 2.8 3.1 3.4 3.7 4.0 4.3 4.5 E 010- 15 0.2 0.3 0.4 0.5 0.5 0.6 0.7 0.8 0.9 1.0 1.1 1.2 1.3 1.4 1.5 1.5 1.6 1.7 1.8 2.0 2.2 2.4 2.5 2.7 2.9 18 0.1 0.2 0.3 0.3 0.4 0.4 0.5 0.6 0.6 0.7 0.8 0.8 0.9 0.9 1.0 1.1 1.1 1.2 1.3 1.4 1.5 1.6 1.8 1.9 2.0 Pag10 8f 0 r SetupMW Flush ETA YOrba Linda Water District VI ATER QUALITr SYSTEM FLUSHIN+ IN PRC)CHESS (714] 701-3000 _. YLWO _[[ bIT I'L W kms` S .. 1 3 Ab_ = _y Page 7205 80 .14 a, ., rung 1111 �x4i4wbY�,�•�•'•.f Y�.: . ..n :Nqmw 41b_ SKS. i y� • „t *;��� • '`tri` �' Page 73 of IS c Q s la" { 4 � 1 y i t r 7 1 yyy ~ ` 7 w '71 ItA C-71 l Results Before After vAL 4w F • �' It CO {{ { s y Jw _ } tap Paged-rl` 10 Questions? Al � Pag,e'l�of 80 ITEM NO. 10.1. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Asst/Board Secretary SUBJECT:Directors' Reports The Directors will report on their attendance at the following events: 1.ACWA Water Quality Committee Meeting - February 12, 2020 (Miller) 2.MWDOC Water Policy Forum - February 12, 2020 (Jones/Nederhood) 3.YL Planning Commission - February 12, 2020 (Hawkins - As Needed) 4.WACO Planning Committee - February 18, 2020 5.CalgonCarbon PFAS Webinar - February 18, 2020 (Jones/Miller) 6.SAWPA Commission - February 18, 2020 7.SAWPA Emerging Constituents Task Force - February 18, 2020 (Miller) 8.YL City Council - February 18, 2020 (Hall) 9.MWDOC Board - February 19, 2020 (Nederhood/Miller) 10.OCWA Luncheon - February 19, 2020 (Nederhood/Miller) 11.OCWD Board - February 19, 2020 12.UWI Conference - February 19-21, 2020 (Jones/Nederhood) 13.YLWD Heli-Hydrant Demo and Tour - February 25, 2020 (Jones) 14.OCSD Board Meeting - February 26, 2020 (Jones) Page 77 of 80 15.YL Planning Commission - February 26, 2020 (Hawkins - As Needed) 16.ASCE OC Branch Outstanding Water Project Awards - February 27, 2020 (Miller) 17.ISDOC Executive Committee - March 3, 2020 (Nederhood) 18.SAWPA Commission - March 3, 2020 19.YL City Council - March 3, 2020 (Miller) 20.MWDOC Board - March 4, 2020 (Nederhood) 21.Backup Power Incentives Seminar - March 4, 2020 (Jones/Nederhood) 22.OCSD Operations Committee - March 4, 2020 (Jones) 23.OCWD Board - March 4, 2020 (Jones) 24.WACO - March 6, 2020 Page 78 of 80 ITEM NO. 12.1. AGENDA REPORT MEETING DATE:March 10, 2020 TO:Board of Directors FROM:Marc Marcantonio, General Manager STAFF CONTACTS:Annie Alexander, Executive Asst/Board Secretary SUBJECT:Meetings from March 11 - April 30, 2020 ATTACHMENTS: 1.Board of Directors' Activities Calendar Page 79 of 80 Board of Directors Activity Calendar Event Date Time Attendees March OC LAFCO Wed, Mar 11 8:15 AM ACWA SGIP Funding Webinar Wed, Mar 11 11:00 AM Jones YL Planning Commission Wed, Mar 11 6:30 PM Hawkins (As Needed) WACO Planning Committee Tue, Mar 17 7:30 AM SAWPA Commission Tue, Mar 17 9:30 AM YL City Council Tue, Mar 17 6:30 PM Nederhood MWDOC Board Wed, Mar 18 8:30 AM Nederhood/Miller OCWA Luncheon Wed, Mar 18 11:30 AM Hawkins/Jones/Nederhood OCWD Board Wed, Mar 18 5:30 PM Jones Joint Committee Meeting with City of Yorba Linda Mon, Mar 23 4:00 PM Hawkins/Jones Board of Directors Regular Meeting Tue, Mar 24 6:30 PM OCSD Board Wed, Mar 25 6:00 PM Jones YL Planning Commission Wed, Mar 25 6:30 PM Hawkins (As Needed) NEWMOA PFAS Conference Tue, Mar 31 8:00 AM Miller April NEWMOA PFAS Conference Wed, Apr 1 8:00 AM Miller MWDOC Board Wed, Apr 1 8:30 AM Nederhood/Miller OCSD Operations Committee Wed, Apr 1 5:00 PM Jones OCWD Board Wed, Apr 1 5:30 PM Jones MWDOC Elected Officials Forum Thu, Apr 2 6:00 PM WACO Fri, Apr 3 7:30 AM ISDOC Executive Committee Tue, Apr 7 7:30 AM Nederhood CA-NV AWWA Spring Conference Tue, Apr 7 8:00 AM Jones/Nederhood SAWPA Commission Tue, Apr 7 9:30 AM YL City Council Tue, Apr 7 6:30 PM Jones CA-NV AWWA Spring Conference Wed, Apr 8 8:00 AM Jones/Nederhood OC LAFCO Wed, Apr 8 8:15 AM CA-NV AWWA Spring Conference Thu, Apr 9 8:00 AM Jones/Nederhood TENTATIVE - Board of Directors Workshop Meeting Thu, Apr 9 5:30 PM Board of Directors Regular Meeting Tue, Apr 14 6:30 PM MWDOC Board Wed, Apr 15 8:30 AM Nederhood/Miller OCWA Luncheon Wed, Apr 15 11:30 AM OCWD Board Wed, Apr 15 5:30 PM Jones YL Planning Commission Wed, Apr 15 6:30 PM Hawkins (As Needed) TENTATIVE - Board of Directors Workshop Meeting Thu, Apr 16 5:30 PM WACO Planning Committee Tue, Apr 21 7:30 AM SAWPA Commission Tue, Apr 21 9:30 AM YL City Council Tue, Apr 21 6:30 PM Hawkins MWDOC/OCWD Joint Planning Committee Wed, Apr 22 8:30 AM OCSD Board Wed, Apr 22 6:00 PM Jones Board of Directors Regular Meeting Tue, Apr 28 6:30 PM Joint Committee Meeting with City of Placentia Wed, Apr 29 3:00 PM Jones YL Planning Commission Wed, Apr 29 6:30 PM Hawkins (As Needed) ISDOC Thu, Apr 30 11:30 AM As of March 4, 2020 Page 80 of 80 BACKUP MATERIALS DISTRIBUTED LESS THAN 72 HOURS PRIOR TO THE MEETING From:John Wayne Miller To:Marc Marcantonio; Brett R. Barbre; Rosanne Weston; Divya Agrawalla; John DeCriscio Cc:Annie Alexander; Andrew B. Gagen Subject:ACWA water quality meeting Date:Friday, February 14, 2020 1:36:53 AM Attachments:ACWA Water Quality Committee Feb 2020 Meeting_Draft 02-11-2020.pdf OEHHA ACWA Presentation 2-12-20.pdf BCC bod I attended the WQ Committee of ACWA from 1 to 4 on Feb 12th. Key to YLWD interest was the discussion of PFAS and PGH. Be aware the DDW has asked for PHGs on several new PFAS and asked for advice whether there should be individual standards like now or group standards. A couple of points. OEHHA created a new term 'reference' when the level was too low to be measured and to be the PHG but those values were used in settling the NL and RL. A discussion on animal vs health data was interesting in that OEHHA says the data with animals is often better than human data since they can test the influence of a single compound ... and people tend to eat a lot of different foods and do things that skew the data .. OEHHA is working on a tool to identify paths to affordable, accessible safe drinking water. As to legs...no DC action and there was an active discussion on the new CU/PB rule. Annie please add to the minutes .. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Water Quality Committee Meeting Networking Lunch • 12:30 PM – 1:00 PM February 12, 2020 • 1:00 PM – 4:00 PM ACWA’s NEW Building, Park Tower 980 9th Street, Park Tower Conference Center, 2nd Floor Sacramento CA, 95814 Chair: Edgar Dymally Vice Chair: Sarah Palmer Staff Liaison: Adam Borchard Please register at: https://www.surveymonkey.com/r/QuarterlyCommForumFeb2020 DRAFT Revised – 2/11/2020 12:30 – 1:00 PM Networking Lunch with Agriculture Committee Water Quality members are welcome to attend the Agriculture Committee meeting prior to lunch. Water Quality Committee I. Chair’s Welcome & Introductions (10 min) Edgar Dymally II. ACWA Committee Orientation (15 min) ACWA Staff III. ACWA 5-year Strategic Plan & 1-year Action Plans (10 min) ACWA Staff IV. Newsom Administration’s Draft Water Resilience Portfolio (10 min) ACWA Staff V. ACWA Federal Affairs Update (10 min) ACWA Staff Safe Drinking Water Subcommittee I. Subcommittee Introduction (5 min) Edgar Dymally and Steve Bigley II. Updates from the Office of Environmental Health Hazard Assessment (OEHHA) and Discussion (25 min) A. PFOA and PFOS PHGs B. Trihalomethane PHGS C. Haloacetic Acids PHGs D. Human Right to Water Draft Mapping Tool and Report E. Other Allan Hirsch, OEHHA III. Regulatory Updates (30 min) A. PFAS B. Lead and Copper C. ELAP D. Other Committee members and ACWA Staff Clean Water Subcommittee I. Subcommittee Introduction (5 min) Edgar Dymally and Jeremy Jungreis II. Regulatory Updates (15 min) A. Wetlands B. Toxicity Policy C. Other Committee members and ACWA Staff ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Aquatic Resources Subcommittee Water Quality Committee I. Committee Organization & Work Plan (20 min) Edgar Dymally II. Conference and Events Programs (10 min) Edgar Dymally Next Meeting: Tuesday, May 5, 3:00 – 4:45 PM, ACWA Spring Conference, Monterey, CA I. Subcommittee Introduction (5 min) Edgar Dymally and David Manning II. Regulatory Updates (10 min) Committee members and ACWA Staff ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 OEHHA Update on Drinking Water Activities Allan Hirsch Office of Environmental Health Hazard Assessment ACWA Water Quality Committee February 12, 2020 ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Public Health Goals (PHGs) •Trihalomethanes: •Final PHGs posted on February 7, 2020! •Chloroform 0.4 ppb •Bromoform 0.5 ppb •Bromodichloromethane 0.06 ppb •Dibromochloromethane 0.1 ppb •All four PHGs are based on 1 in 1 million cancer risk. •Responses to two rounds of public comments and peer review comments posted. •Peer review comments also posted. •State Water Board retains full range of options for updating MCL(s), including retaining a single MCL number for total THMs. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Public Health Goals (PHGs) •Haloacetic acids: •First public review draft posted January 31, 2020. •Monochloroacetic acid, 53 ppb for systemic toxicity •Dichloroacetic acid, 0.2 ppb for liver cancer •Trichloroacetic acid, 0.1 ppb for liver cancer •Monobromoacetic acid, 25 ppb for muscular degeneration •Dibromoacetic acid, 0.03 ppb for liver and lung cancer •Public workshop –March 26, 2020 in Sacramento. •Public comment period ends April 1, 2020. •University of California to arrange for external scientific peer review. •Will make revisions as appropriate based on public and peer-review comments. •Additional 30-day public comment period. •Release final PHG document with responses to public and peer-review comments. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Public Health Goals (PHGs) •Perfluorooctanoic acid (PFOA) and Perfluorooctane Sulfonate (PFOS) •Water board in August 2019 asked OEHHA to develop PHGs. •State Water Board’s Notification Levels of 5.1 ppt for PFOA and 6.5 ppt for PFOS based on OEHHA recommendations. •OEHHA reference levels of 0.1 ppt for PFOA and 0.4 ppt for PFOS based on 1 in 1 million cancer risk. •Data call-in for scientific information on PFOA and PFOS opened October 24, 2019 and closed January 15, 2020. •November 15 webinar to foster discussion on data for evaluating PFOA, PFOS. •PHG process requires two public comment periods, one public workshop and external scientific peer review. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Notification Levels for Other PFAS •State Water Board on February 6, 2020 asked OEHHA to develop recommended NLs for seven PFAS compounds: •Perfluorohexane sulfonic acid (PFHxS) •Perfluorobutane sulfonic acid (PFBS) •Perfluorohexanoic acid (PFHxA) •Perfluoroheptanoic acid (PFHpA) •Perfluorononanoic acid (PFNA) •Perfluorodecanoic acid (PFDA) •4,8-dioxia-3H-perfluorononanoic acid (ADONA) •Request based on sampling results in response to 2019 DDW order. •OEHHA also asked to consider whether some PFAS should be grouped together for regulatory purposes. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Human Right to Water Tool •Public review draft released in August 2019 •Part of the implementation of AB 685 (Statutes of 2012), which established a policy of every Californian having the right to safe, clean accessible and affordable drinking water. •Intended to help the State Water Board, community water systems and the public identify systems that may need assistance in the areas of water quality, accessibility and affordability. •Continuing to review comments and identify appropriate revisions to the draft tool. ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Overview •13 indicators: relevance, data quality, coverage, and public availability •Unit of analysis: Community Water System •Time period: 2008-2016 •Statewide application 7 ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020 Conclusion The framework and tool: •Summarize 3 components and 13 indicators. •Offers holistic view that can help show interrelationships. •Provides a view of big-picture trends across water systems and regions, statewide. •Helps capture how those trends might change over time. 8 ITEM NO. 10.1. MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: March 10, 2020