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HomeMy WebLinkAbout2021-12-14 - Board of Directors Meeting Agenda Packet (B)AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Tuesday, December 14, 2021, 6:30 PM 1717 E Miraloma Ave, Placentia CA 92870 1.PARTICIPATION INSTRUCTIONS Due to the continuing state of emergency declared by the California Governor related to preventing the spread of Coronavirus (COVID-19), and pursuant to California Government Code Section 54953(e), this meeting will be facilitated in a hybrid format. As such, Directors and members of the public may choose to participate in person or by video/teleconference. Information for accessing this meeting by telephone or internet-based service is provided below. For questions regarding participation, please call the Board Secretary at (714) 701-3020. Computer/Mobile Device: https://us06web.zoom.us/j/82776372270 Telephone: (669) 900-6833 or (346) 248-7799 Meeting ID: 827 7637 2270 Live-stream: https://www.ylwd.com/youtube 2.CALL TO ORDER 3.PLEDGE OF ALLEGIANCE 4.ROLL CALL Phil Hawkins, President J. Wayne Miller, PhD, Vice President Trudi DesRoches, Director Brooke Jones, Director Tom Lindsey, Director 5.SEATING OF DIRECTORS 5.1.Reorganization of the Board of Directors and Appointment of Officers 5.2.Adjourn to Yorba Linda Water District Public Financing Corporation and Financing Authority Regular Meetings 6.ADDITIONS/DELETIONS TO THE AGENDA Items may be added to the agenda upon determination by a two-thirds 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)) 7.INTRODUCTIONS AND PRESENTATIONS 7.1.Proclamation Honoring Arthur G. Kidman, Partner, Kidman Gagen Law LLP 7.2.Elected Official Liaison Reports 7.3.Federal and State Legislative Update 8.PUBLIC COMMENTS Page 1 of 108 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) 9.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. 9.1.Minutes of the Board of Directors Special Meeting Held November 10, 2021 Recommendation: That the Board of Directors approve the minutes as presented. 9.2.Minutes of the Board of Directors Special and Regular Meetings Held November 17, 2021 Recommendation: That the Board of Directors approve the minutes as presented. 9.3.Re-Authorizing Continuation of Virtual/Teleconference Board Meetings Recommendation: That the Board of Directors adopt Resolution No. 2021-XX finding and determining that: (1) a state of emergency related to COVID-19 continues to be in effect; (2) state and local officials continue to recommend measures to promote social distancing in connection with COVID-19; (3) due to the COVID-19 emergency, meeting in person would present imminent risks to the health and safety of attendees; and (4) continued remote meetings are hereby re-authorized for the period of December 14, 2021, through January 13, 2022, pursuant to California Government Code Section 54953(e). 9.4.Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $4,348,955.92. 9.5.Budget to Actual Reports for the Month Ending October 31, 2021 Recommendation: That the Board of Directors receive and file the Budget to Actual Reports for the Month Ending October 31, 2021. 9.6.Cash and Investment Report for the Period Ending October 31, 2021 Recommendation: That the Board of Directors receive and file the Cash and Investment Report for Period Ending October 31, 2021. 9.7.Award of Construction Contract for the BNSF Crossing Water Improvements Recommendation: That the Board of Directors award the Construction Contract for the BNSF Crossing Water Improvements to Big Ben Engineering Inc. for $1,301,740.00, Job Nos. J-2021-02 and J-2021-19. 10.ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board or Committee discussions are needed prior to formal action. 10.1.Legislative Platform for Calendar Year 2022 Recommendation: That the Board of Directors approve the proposed legislative platform for calendar year 2022. Page 2 of 108 10.2.Support of Federal PFAS Legislation that Protects Ratepayers and Water/Wastewater Agencies Recommendation: That the Board of Directors adopt Resolution No. 2021-XX supporting Federal PFAS Legislation that protects ratepayers and water/wastewater agencies. 10.3.Board of Directors' Compensation Recommendation: That the Board of Directors review the Directors' current compensation rate and discuss if it should remain the same for the next calendar year. 11.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. 11.1.Status of Communications Activities 11.2.Status of PFAS Water Treatment Plant 11.3.Board of Directors' Committee, Agency, and Intergovernmental Meeting Assignments 12.REPORTS, INFORMATION ITEMS, AND COMMENTS 12.1.Director's Reports 12.2.Assistant General Manager's Report 12.3.General Counsel's Report 12.4.Future Agenda Items and Staff Tasks 13.COMMITTEE REPORTS 13.1.Interagency Committee with MWDOC and OCWD (Hawkins/DesRoches) - Next meeting will be scheduled when needed. 13.2.Joint Agency Committee with City of Yorba Linda (Hawkins/Lindsey) - Minutes of the meeting held Monday, November 8, 2021, at 4:00 p.m. are included in the agenda packet. Next meeting is scheduled for Monday, January 31, 2022, at 4:00 p.m. 13.3.Joint Agency Committee with City of Placentia (Miller/Lindsey) - Next meeting will be scheduled when needed. 14.BOARD OF DIRECTORS ACTIVITY CALENDAR 14.1.Meetings from December 15, 2021 - January 31, 2022 15.ADJOURNMENT 15.1.The next regular Board meeting is scheduled Tuesday, January 11, 2022. 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 Page 3 of 108 Non-exempt materials related to open session agenda items that are distributed to a majority of the Board of Directors (or Committee Members) less than seventy-two (72) hours prior to the meeting will be available for public inspection in the lobby of the District’s Administrative building located at 1717 E Miraloma Ave, Placentia CA 92870 during regular business hours. When practical, these materials will also be posted on the District’s website at https://ylwd.com/. (GC 54957.5) Accommodations for the Disabled Requests for disability-related 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) 701-3020 at least 24 hours in advance. (GC 54954.2(a)) Page 4 of 108 ITEM NO. 5.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Reorganization of the Board of Directors and Appointment of Officers RECOMMENDATION: That the Board of Directors: (1) nominate and elect a President; (2) nominate and elect a Vice President; and (3) appoint staff to serve as the Secretary, Assistant Secretary, and Treasurer for the next calendar year. SUMMARY: Pursuant to Section 6.1.(A) of the Board of Directors' Policies and Procedures, a President and Vice President of the Board shall be elected annually at the District's reorganization meeting held at the first regular meeting of the Board in December of each year. Additionally, the Board is required to appoint the Municipal Corporation Officers of Secretary, Assistant Secretary, and Treasurer. FISCAL IMPACT: None. BACKGROUND: The powers and duties of the President, Vice President, Secretary, Assistant Secretary, and Treasurer are set forth in the County Water District Law and the Board of Directors' Policies and Procedures. In summary, the President's duties are as follows: Assume the chair of the Presiding Officer immediately after election. Make committee, agency, and intergovernmental meeting assignments, subject to consent of the Board. Conduct the proceedings of the Board. Sign all ordinances, resolutions, and contract documents approved and adopted by the Page 5 of 108 Board as required. Perform other duties imposed by the Board. The Vice President will serve as the Presiding Officer and perform all of the above-listed duties in the absence of the President. The Secretary, or Assistant Secretary in the absence of the Secretary, attests all ordinances and resolutions approved and adopted by the Board, countersigns all contract documents approved or adopted by the Board as required, prepares the minutes of each meeting held by the Board, and performs other duties as imposed by the Board in accordance with governing laws and regulations. The Treasurer installs and maintains a system of auditing and accounting that completely and at all times shows the financial condition of the District, and also performs other duties as imposed by the Board in accordance with governing laws and regulations. A member of the Board cannot serve as the General Manager, Secretary, Assistant Secretary, or Treasurer. However, the same person can be appointed as General Manager and Secretary or Secretary and Treasurer. The General Manager cannot serve as the Treasurer. There is no additional compensation for serving as an appointed office if the individual is an employee of the District. Staff recommends the Board consider appointing Annie Alexander as Secretary, Veronica Ortega as Assistant Secretary, and Delia Lugo as Treasurer. Page 6 of 108 ITEM NO. 7.3. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Alison Martin, Public Affairs Manager SUBJECT:Federal and State Legislative Update Attached are the monthly legislative reports from Townsend Public Affairs. ATTACHMENTS: 1.Monthly Report Page 7 of 108 State Capitol Office ▪ 925 L Street • Suite 1404 • Sacramento, CA 95814 • Phone (916) 447-4086 • Fax (916) 444-0383 Southern California Office ▪ 1401 Dove Street • Suite 330 • Newport Beach, CA 92660 • Phone (949) 399-9050 • Fax (949) 476-8215 Central California Office ▪ 744 P Street • Suite 308 • Fresno, CA 93721 • (949) 399-9050 • Fax (949) 476-8215 Federal Office ▪ 600 Pennsylvania SE • Suite 207 • Washington, DC 20003 • Phone (202) 546-8696 • Fax (202) 546-4555 Northern California Office ▪ 300 Frank Ogawa Plaza • Suite 204 • Oakland, CA 94612 • Phone (510) 835-9050 • Fax (510) 835-9030 M E M O R A N D U M To: Yorba Linda Water District From: Townsend Public Affairs Date: December 7, 2021 Subject: State and Federal Legislative Monthly Report State Legislative Update Legislators and their staff spent the month of November preparing for the start of the 2022 legislative session and relocating into their temporary office space as the Capitol building undergoes renovations. However, the Legislature’s temporary relocation, the uncertainty of new legislative districts as the Redistricting Commission rounds its final stretch of map dr afting, and the onset of a new COVID-19 variant is expected to result in a busy start of session in January 2022. There has yet to be an official announcement from the Senate or Assembly leadership regarding a process for how meetings and committee hearing procedures will function in the new year. Preliminary legislative and budget discussions are currently being held over Zoom, but that may change as Legislators and staff settle into their new spaces and assess the urgency of the current COVID-19 climate. LAO Releases 2022-23 State Budget Outlook In November, the Legislative Analyst’s Office (LAO) released its fiscal outlook report for the State’s upcoming fiscal year 2022-2023 budget cycle. The report’s significant takeaway is that the State is projected to have a $31 billion operating surplus in the 2022-2023 fiscal year. Despite the economic impact of the ongoing COVID-19 pandemic, the LAO expressed that State revenues are growing at “historic rates,” which can be attributed to an annual 30 percent rate increase in tax collections in the 12-month period ending in September, representing the fastest rate in roughly 40 years. While the surplus is great news for the State’s fiscal stability, it is important to note that not all off the $31 billion will be under the Legislature’s discretion. The report estimates that in order to meet the State Appropriations (“Gann”) Limit requirements, which limits State expenditures to the annual growth in population and to growth in average personal income, the State would need to divert roughly $14 billion between statutorily available avenues, which could include personal income tax rebates and additional funding for education. The report noted that there is significant uncertainty in these figures, and that the State could have $12 billion in additional appropriations limit requirements in 2022-23. Ultimately, the report reiterated that the Gann Limit would likely be a key issue this year and implored the Legislature to explore ways to meet past and current Page 8 of 108 2 appropriations limit requirements prior to the introduction of the May Revision and budget trailer legislation. To put the upcoming budget projections into context, the 2021-22 budget had a budget surplus of nearly $80 billion, with an estimated $16 billion in excess revenue needed to be split in order to meet Gann Limit requirements. Through deft accounting strategies, which included diverting funds into programs like cash relief payments to Californians under specified income levels, the state was able to recalibrate expenditures to create some space within the spending cap. Looking forward, the Governor has left us with a few hints that clue us in to how his draft budget framework proposal could look when he unveils it on January 10, 2022. This includes public comments he has made in favor of using some of the surplus funds to pay down the state’s $11.3 billion in pension obligations as well as ramping up infrastructure investments to mirror the federal dollars coming down the pipeline. Department of Water Resources - State Water Project Allocation In early December, the Department of Water Resources (DWR) announced that State Water Contractors should expect to receive zero percent of their allocations through the typical water distribution process until there was a clearer picture of the hydrology of the State in 2022. California is currently experiencing significantly dry conditions while the State’s reservoirs are mostly at or near historic lows for this time of year. A zero percent allocation of the requested deliveries from the State Water Project is extremely rare this early in the year, as the lowest allocation delivery was 5 percent in previous droughts. Although the State will be operating on a zero percent allocation going into the new year, DWR expects to revisit the issue should more supply be made available from captured snowpack or rains. Furthermore, this initial allocation and dismal start to the water year points toward an increasing likelihood of the Legislature and the Governor getting more involved in stricter water use regulations. If conditions do not improve, it is possible that the Administration and Legislature will revert to mandatory conservation regulations that the entire State was under during the most recent multi-year drought. Furthermore, indoor water use standards are expected to be discussed at length in 2022, potentially resulting in legislation that sets ambitious indoor water use standards. California Redistricting Commission Releases Draft Maps In November, the California Redistricting Commission released its official preliminary maps, five days before the self-imposed November 15 deadline to ensure meetings were not scheduled during the Thanksgiving holiday. Commissioners voted unanimously to release preliminary congressional, State Senate, and State Assembly maps for public comment. Following the hearings to receive input on the drafts, the Commission will hold a total of 14 line-drawing sessions to refine the maps before voting on the final districts in late December. While these official draft maps reflect changes incorporated from public comment after the period of map “visualizations”, the maps are expected to still change quite a bit. Final maps must be unveiled by December 23 and sent to the Secretary of State by December 27. While the foremost duty of the Commission is to ensure that each district has roughly the same population size, other requirements, such as not diluting the voting power of minority blocks and Page 9 of 108 3 keeping districts geographically intact, have led to some interesting preliminary drawings, particularly on the congressional front as the State prepares to lose a congressional seat. Currently, Republicans hold 11 of California’s 53 U.S. House seats. The draft congressional map creates 39 Democratic-leaning districts, 7 Republican-leaning seats and 6 toss-up districts. On the State Assembly and Senate front, these preliminary maps reflect a total of 28 members of the Assembly and 16 members of the Senate who are paired up in districts, meaning that those whose districts are reconfigured away from their residence will need to relocate into their new district boundaries. Unlike the last time new maps were drawn in 2012 when there were over 30 termed out members of the Assembly, this year there are no Assembly Members leaving due to term limits. Nevertheless, district boundaries are bound to change once public comment is received and incorporated into future drafts. Legislative Leaders Review Recall Reform Ideas State officials continue to examine California’s recall system for potential reform, following the failed attempt to recall Governor Newsom which ultimately cost about $276 million to conduct. Over the course of the Legislature’s adjournment, the Assembly Elections Committee and the Senate Elections and Constitutional Amendments Committee held a joint informational hearing to discuss the current practice. Joint committee members compared recall procedures in other states, debated the qualifying factors for a recall election, and heard from various academics on potential alternatives to the existing recall process. The committees continued to hold additional hearings and even indicated an interest in adding local reform recall to the agenda. In addition, the Little Hoover Commission, California’s independent citizens’ oversight agency, kicked off a series of hearings in mid-October focused on the history of California’s recall system, public opinion about the system, and potential changes that can be made to improve the system. The discussions and input received during these special committee hearings are likely to materialize into legislation in the 2022 session. COVID-19 Updates New Variant The new COVID-19 variant “Omicron,” which has demonstrated a massive increase in transmissibility and potential to result in serious illness, is currently being assessed by the California Department of Public Health. State Public Health Officer and Director of the California Department of Public Health (CDPH) Dr. Tomás J. Aragón issued a statement expressing the Department’s close monitoring of the rapidly evolving situation related to the new variant of concern. The State has established a public-private partnership through the California SARS- CoV-2 Whole Genome Sequencing Initiative called “COVIDNet” to provide the state with genomic sequencing to help understand and control the spread of COVID-19. This effort will help detect the variant early in California. OSHA Emergency Temporary Standards In early November, the Occupational Safety and Health Administration (OSHA) issued the Emergency Temporary Standard (ETS) that implements the Biden Administration’s COVID-19 vaccine mandate for large employers: employers with 100 or more employees. The OSHA ETS was to be published November 5, 2021 with employer obligations beginning on December 5, 2021. Page 10 of 108 4 However, the federal ETS has seen legal challenges, with the requirements likely to make their way to the Supreme Court following the issuance of a stay from the United States Fifth Circuit Court of Appeals. In response, federal OSHA announced that it plans to suspend implementation and enforcement of the ETS pending further developments in the federal litigation. With regard to Cal/OSHA’s actions on the matter, the agency’s consideration of adoption of a standard substantially similar to the federal ETS was delayed pending additional information in connection with the federal litigation referenced above. Therefore, the Standards Board removed consideration of the matter from its November 18 meeting agenda. While adoption and enforcement of the federal ETS in substantially similar or more stringent form remains unclear at this time, California employers may wish to begin gathering required information and planning for compliance now. Notably, many of the ETS's requirements require compliance by December 6, which include establishing workplace vaccination policies, determining employee vaccination status, providing specific information to employees about the ETS, and establishing reporting requirements for sickness and/or COVID-related fatalities, among other things. Although it appears unlikely, it is possible that Cal/OSHA will adopt its version of the ETS prior to resolution of the challenges to the federal ETS. It is also possible that later adoption, implementation, and enforcement of the ETS will not alter current compliance deadlines. State Legislators Play Musical Chairs The month of November saw a notable number of legislators announcing their plans to move into different positions, leaving their seats vacant and subject to special election unless consolidated with upcoming general election dates. Below is a brief overview of some of the Legislators that have chosen to pursue other opportunities, and the significance it carries in the overall political function of the Legislature. • Assembly Member Jim Frazier announced he will retire from his position as Assembly Member and Chair of the Governmental Organization Committee to explore opportunities in the field of transportation, effective December 31, 2021. • Assembly Speaker Pro Tem Kevin Mullin announced his plans to run for his district’s Congressional seat, following an announcement of Congresswoman Jackie Speier’s plans to retire. • Senator Sydney Kamlager filed to run for Congresswoman Karen Bass’ seat. • Assembly Member Marc Levine from Marin County is running for insurance commissioner. • Assembly Member Rudy Salas launched a congressional campaign challenging Republican Representative David Valadao. • Assembly Member Ed Chau has been appointed the next Los Angeles County Superior Court judge. • Assembly Member Richard Bloom of Santa Monica is running for L.A. County Board of Supervisors. • Assembly Member Jim Cooper is expected to announce his bid for Sacramento County Sherriff. • Former Assembly Member David Chiu’s San Francisco Assembly seat is scheduled for special election in April, with the primary scheduled for February 2022. This means there will need to be a new Assembly Housing Chair in the near future before the session starts in January. Page 11 of 108 5 Federal Legislative Update November saw the passage of the long-awaited crucial infrastructure funding that created dozens of new opportunities for communities. Funding will be utilized to revitalize roads, bridges, water, and broadband infrastructure. Congress still has much to accomplish before the end of the year and December will continue to be a busy month on the Hill. On the agenda is the awaited passage of the National Defense Authorization Act (NDAA), Government funding for FY22, and Senate consideration of the Build Back Better Act. Infrastructure Investment and Jobs Act On Monday, November 15, the Infrastructure Investment and Jobs Act was signed into law by President Biden. Included in the package are a number of funding opportunities in the form of formula and competitive grants that will be created in the early months of 2022. Highlights of the bill include: • $42.5 billion for a Broadband Equity, Access, and Deployment Program within the Commerce Department that would provide grants to increase connectivity to underserved and high-cost areas. • $1 billion over five years for grants to support the construction, improvement, or acquisition of “middle-mile” projects that connect network infrastructure to limit single points of failure. • $7.3 billion from the main federal-aid highway allocation and authorize an additional $1.4 billion from the HTF from fiscal 2022 through 2026 as part of a new Promoting Resilient Operations for Transformative, Efficient, and Cost-saving Transportation (PROTECT) program. • $2.5 billion over five years for grants for electric vehicle charging stations and alternative fuel infrastructure. • $14.7 billion from fiscal year 2022 through 2026 for the Environmental Protection Agency’s Drinking Water State Revolving Fund program As detailed in previous reports, the law includes the U.S. Senate’s Drinking Water and Wastewater Infrastructure Act which was passed by the Senate in April of 2021. The law reauthorizes $35 billion in existing programs and creates new programs to support drinking water and wastewater infrastructure projects. A majority of this funding is allocated to the existing Drinking Water State Revolving Fund (SRF) and the Clean Water State Revolving Fund (CWSRF), both administered by the U.S. Environmental Protection Agency. Drinking Water State Revolving Funds The law authorizes $14.7 billion from fiscal year 2022 through 2026 for the Environmental Protection Agency’s Drinking Water State Revolving Fund program, which provides capitalization grants to states for loans supporting water infrastructure projects. The measure would require at least 12% of such funding to be used to subsidize loans to disadvantaged communities, increased from 6% under current law, if there are enough applications for loans to those communities. The measure also would permanently extend a requirement, set to expire in fiscal year 2023, that projects funded through the Drinking Water SRF use only U.S.-produced iron and steel. Page 12 of 108 6 Lead Reduction The law extends an EPA grant program to support replacement of lead water lines by five years, through fiscal 2026, and increase the annual authorization to $100 million, from $60 million. The measure would authorize $200 million over five years to address lead contamination in school drinking water, including through testing and remediation. Small and Disadvantaged Communities The law will extend the authorization for compliance assistance grants to public water systems in small and disadvantaged communities through fiscal 2026. The law will authorize $70 million in fiscal 2022, increasing to $140 million by fiscal 2026. The measure would authorize $50 million annually through fiscal 2026 for a pilot program to award competitive grants to states to implement improvements to water systems, with priority for states with a high proportion of underserved communities. Leak Detection and Repair The measure would authorize $50 million annually through 2026 for grants for leak detection, repair, and monitoring in small public and nonprofit water systems. An additional $50 million per year would be authorized for larger systems for infrastructure resilience and sustainability. Half the funds would go to systems serving populations from 10,000 to 100,000, and half would go to systems serving 100,000 or more. Clean Water State Revolving Funds The measure would authorize $14.7 billion from fiscal year 2022 through 2026 for the EPA’s Clean Water State Revolving Funds program, which provides capitalization grants to states for loans supporting water quality improvement projects, through fiscal year 2026. Under the law, states have to use at least 10% and as much as 30% of the capitalization grants for “additional subsidization,” such as loan forgiveness. The minimum would apply only if there are sufficient applications for assistance. Water Infrastructure Finance and Innovation Act (WIFIA) The law extends the annual $50 million authorization for the Water Infrastructure Finance and Innovation Act (WIFIA) loan program through fiscal year 2026. The law also would reduce to one, from two, the number of opinion letters from credit rating agencies required in each application for funding. Sewer Overflows The law authorizes $280 million in each of fiscal year 2022 through 2026 for grants to states to support municipal planning and construction of projects to address combined sewer overflows, including systems to notify the public when untreated overflows are released into waterways. At least 25% of the grant funding in each state would have to be allocated to projects in rural or financially distressed communities, if there are enough eligible project applications, with at least 60% of that allocation dedicated to rural areas. Research Grants The law authorizes $75 million per year through fiscal year 2026 for research grants to address water pollution and training at water treatment works. The current $25 million-peryear Page 13 of 108 7 authorization runs through fiscal 2023. At least $50 million per year would be for grants to nonprofits supporting small, rural, and tribal water treatment operations. Emergency Appropriations The measure also would provide $55.4 billion in supplemental emergency appropriations for EPA state and tribal assistance grants, including for capitalization grants through the Clean Water State Revolving Funds and Drinking Water State Revolving Funds. Amounts set aside for specified activities for fiscal year 2022 through 2026 would include: • $15 billion to replace lead service lines. • $5 billion to support disadvantaged communities affected by emerging contaminants. • $5 billion for clean and zero-emission school buses. • $4 billion to address emerging contaminants with a focus on per- and polyfluoroalkyl substances (PFAS). Western Water Infrastructure The measure would provide $8.3 billion for the Bureau of Reclamation’s water and related resources activities, including: • $3.2 billion set aside for the aging infrastructure account for maintenance of bureau-owned water infrastructure. • $1.15 billion for water storage, groundwater storage and conveyance projects • $1 billion for water recycling and reuse projects • $250 million for desalination projects • $1 billion for rural water projects • $500 million for dam safety projects • $300 million for the Colorado River Drought Contingency Plan • $400 million for WaterSMART Water and Energy Efficiency Grants • $100 million for the Cooperative Watershed Management Program • $250 million for Aquatic Ecosystem Restoration Program • $50 million for Colorado River fish species recovery programs. TPA will continue to update the District about newly created programs as the rules become finalized and notification for funding opportunities are released by the appropriate agency. Build Back Better Act On November 19th the House of Representatives passed H.R. 5376, the Build Back Better Act by a vote of 220-213. The bill contains the remaining provisions of President Biden and Congressional Democrats’ economic agenda not included in the bipartisan infrastructure bill – the Infrastructure Investment and Jobs Act – which was signed into law on November 15. This bill provides funding, establishes programs, and otherwise modifies provisions relating to a broad array of areas, including education, labor, child care, health care, taxes, immigration, and the environment. For example, according to a Congressional Research Service summary, the bill provides funding for: • management of the National Forest System; • job placement and career services; • safe drinking water, energy-efficiency, and weatherization projects; Page 14 of 108 8 • electric vehicles and zero-emission, heavy-duty vehicles; • public health infrastructure and supply chain resiliency; • housing, rental, and homeowner assistance programs; • cybersecurity programs; • tribal infrastructure, housing, environmental, and health programs; • wildfire prevention, drought relief, conservation efforts, and climate change research; • small business assistance and development; • transit services and clean energy projects in low-income communities; • funding for high speed rail; and • infrastructure and administration of the Department of Veterans Affairs. Additionally, the bill establishes programs to provide: • free child care for children under the age of six, • free universal preschool services, and • health benefits for eligible individuals who reside in states that have not expanded Medicaid. The bill also includes provisions that: • establish a methane fee for certain petroleum and natural gas facilities; • expand Medicare to cover hearing, and vision care; • provide certain aliens with a legal status (e.g., those who entered the United States as minors); • provide up to 12 weeks of paid family and medical leave; • restructure and increase the tax rates for certain corporations and high-income individuals (e.g., individuals with income over $400,000); and • require the Department of Health and Human Services to negotiate maximum prices for certain brand-name drugs under Medicare. The bill now heads to the Senate where it will almost certainly be modified to meet the demands of moderate Democratic Senators. Senate Majority Leader Chuck Schumer stated earlier this week that it is his intent to bring it up for a vote in the Senate before Christmas. This timing is contingent on reaching an agreement with the Senate’s moderate holdouts. The bill is being considered through the budget reconciliation process, which provides a privileged status to the bill allowing it to circumvent the Senate’s 60-vote supermajority threshold under the filibuster rule. Democrats only have 50 votes in the Senate with Vice President Harris breaking a tie. Because of this they need unanimous agreement among their members to pass the bill. Republicans have shown united opposition to the bill in both the House and Senate. Appropriations The previous Continuing Resolution passed in October by Congress, was set to expire December 3rd. However, on December 2nd, Congress extended the CR through February 18, 2022. This temporary extension extends current funding levels from the previous fiscal year (FY21) until February 18. Besides supplemental funding for Afghanistan-related issues, it does not enact any new spending, nor does it contain any of the earmarks included in House and Senate appropriations bills. In order for those earmarks to become law, Congress must pass the appropriations bills in which they are contained. Page 15 of 108 9 PFAS Action Act Earlier this year the U.S. House of Representatives pass H.R. 2467, the PFAS Action Act with bipartisan support. The bill, if enacted into law would require the following: • Require the U.S. Environmental Protection Agency (EPA) to establish a national drinking water standard for PFOA and PFOS within two years that protects public health, including the health of vulnerable subpopulations. • Designate PFOA and PFOS chemicals as hazardous substances within one year and requires EPA to determine whether to list other PFAS within five years. • Designate PFOA and PFOS as hazardous air pollutants within 180 days and requires EPA to determine whether to list other PFAS within five years. • Require EPA to place discharge limits on industrial releases of PFAS and provides $200 million annually for wastewater treatment. • Prohibit unsafe incineration of PFAS wastes and places a moratorium on the introduction of new PFAS into commerce. • Require comprehensive PFAS health testing. • Create a voluntary label for PFAS in cookware. On November 15, 2021 California Attorney General Rob Bonta joined 19 other state attorneys general asking the Senate to pass the PFAS Action Act. The letter to Senate leaders was signed by the attorneys general of New York, Connecticut, Delaware, Illinois, Iowa, Maine, Maryland, Massachusetts, Michigan, Minnesota, North Carolina, Oregon, Pennsylvania, Rhode Island, Virginia, Washington, Wisconsin, and the District of Columbia. The bipartisan Infrastructure Investment and Jobs Act that was passed in November also includes dedicated funding for the remediation of emerging contaminants such as PFAS administered through the state drinking water revolving funds. As such, the PFAS Action Act’s passage in the Senate not guaranteed, as some Senators are likely to question the need so soon after passing legislation to address emerging contaminants. Page 16 of 108 ITEM NO. 9.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Minutes of the Board of Directors Special Meeting Held November 10, 2021 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1.Draft Meeting Minutes Page 17 of 108 Minutes of the YLWD Board of Directors Special Meeting Held November 10, 2021 at 4:00 p.m. 1 2021-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS SPECIAL MEETING Wednesday, November 10, 2021, 4:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. PARTICIPATION INSTRUCTIONS Were included on the agenda. 2. CALL TO ORDER The meeting was called to order at 4:00 p.m. 3. PLEDGE OF ALLEGIANCE 4. ROLL CALL DIRECTORS PRESENT STAFF PRESENT Phil Hawkins, President Annie Alexander, Board Secretary J. Wayne Miller, PhD, Vice President Trudi DesRoches Brooke Jones Tom Lindsey ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP 5. PUBLIC COMMENTS None. 6. CLOSED SESSION The Board entered Closed Session at 4:01 p.m. 6.1.Public Employee Performance Evaluation Pursuant to Section 54957 of the California Government Code Title: General Manager Page 18 of 108 Minutes of the YLWD Board of Directors Special Meeting Held November 10, 2021 at 4:00 p.m. 2 2021-XXX The Board returned to Open Session at 5:36 p.m. General Counsel Gagen announced that the Board took no reportable action during Closed Session. 7. ADJOURNMENT 7.1.The meeting was adjourned at 5:37 p.m. Annie Alexander Board Secretary Page 19 of 108 ITEM NO. 9.2. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Minutes of the Board of Directors Special and Regular Meetings Held November 17, 2021 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1.Draft Meeting Minutes (Special) 2.Draft Meeting Minutes (Regular) Page 20 of 108 Minutes of the YLWD Board of Directors Special Meeting Held November 17, 2021 at 5:30 p.m. 1 2021-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS SPECIAL MEETING Wednesday, November 17, 2021, 5:30 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. PARTICIPATION INSTRUCTIONS Were included on the agenda. 2. CALL TO ORDER The meeting was called to order at 5:30 p.m. 3. ROLL CALL DIRECTORS PRESENT STAFF PRESENT Phil Hawkins, President Doug Davert, Asst General Manager J. Wayne Miller, PhD, Vice President John DeCriscio, Operations Manager Trudi DesRoches Annie Alexander, Board Secretary Brooke Jones Veronica Ortega, Executive Assistant Tom Lindsey ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP 4. PUBLIC COMMENTS None. 5. CLOSED SESSION The Board entered Closed Session at 5:30 p.m. 5.1.Conference with Legal Counsel – Existing Litigation Pursuant to Paragraph (1) of Subdivision (d) of Section 54956.9 of the California Government Code Name of Case: Irvine Ranch Water District v. Orange County Water District, et al. (Los Angeles County Superior Court – Case No. BS168278) Page 21 of 108 Minutes of the YLWD Board of Directors Special Meeting Held November 17, 2021 at 5:30 p.m. 2 2021-XXX 5.2.Conference with Legal Counsel – Anticipated Litigation Significant Exposure to Litigation Pursuant to Paragraph (2) of Subdivision (d) of Section 54956.9 of the California Government Code Number of Potential Cases: One 5.3.Conference with Legal Counsel – Anticipated Litigation Significant Exposure to Litigation Pursuant to Paragraph (2) of Subdivision (d) of Section 54956.9 of the California Government Code Number of Potential Cases: One Assistant General Manager Davert and Operations Manager DeCriscio left Closed Session at 5:46 p.m. 5.4.Public Employee Performance Evaluation Pursuant to Section 54957 of the California Government Code Title: General Manager The Board returned to Open Session at 6:35 p.m. General Counsel Gagen announced that the Board took no reportable action during Closed Session. 6. ADJOURNMENT 6.1.The meeting was adjourned at 6:36 p.m. Annie Alexander Board Secretary Page 22 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 1 2021-XXX MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Wednesday, November 17, 2021, 6:30 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. PARTICIPATION INSTRUCTIONS Were included on the agenda. 2. CALL TO ORDER The meeting was called to order at 6:36 p.m. 3. PLEDGE OF ALLEGIANCE President Hawkins led the pledge. 4. ROLL CALL DIRECTORS PRESENT STAFF PRESENT Phil Hawkins, President Doug Davert, Assistant General Manager J. Wayne Miller, PhD, Vice President John DeCriscio, Operations Manager Trudi DesRoches Gina Knight, Human Resources and Risk Manager Brooke Jones Delia Lugo, Finance Manager Tom Lindsey Rosanne Weston, Engineering Manager Alison Martin, Public Affairs Manager Annie Alexander, Board Secretary Veronica Ortega, Executive Assistant ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP Eric O’Donnell, Senior Associate, Townsend Public Affairs (Via Teleconference) 5. ADDITIONS/DELETIONS TO THE AGENDA None. 6. INTRODUCTIONS AND PRESENTATIONS 6.1.Elected Official Liaison Reports Page 23 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 2 2021-XXX Yorba Linda Councilmember Gene Hernandez commented on recent activities related to the full reopening of restaurants and the continuation of outdoor dining as an option. He also commented on the construction progress of a few new restaurant establishments. 6.2.Federal and State Legislative Update Staff reported on the status of the PFAS Action Act (HR 2467) and the State Drought Emergency. Staff recommends drafting a letter to US Senators of California requesting explicit exemptions from liability for PFAS related cleanup. The District will continue to request a voluntary 15% reduction in water consumption as directed by Governor Newsom on November 9, 2021. Eric O’Donnell from Townsend Public Affairs briefed the Board regarding the District’s chances of receiving financing for water quality infrastructure projects from the Clean Water State Revolving Fund (SRF). The Board requested staff work with Townsend Public Affairs to apply for future grant opportunities. 7. PUBLIC COMMENTS None. 8. CONSENT CALENDAR Director Lindsey requested to remove Item No. 8.6. and Director Miller requested to remove Item Nos. 8.11 and 8.16. from the Consent Calendar for separate action. Director Jones made a motion, seconded by Director Miller, to approve the remainder of the Consent Calendar. Motion carried 5-0-0-0 on a roll call vote. 8.1.Minutes of the Board of Directors Special and Regular Meetings Held October 13, 2021 Recommendation: That the Board of Directors approve the minutes as presented. 8.2.Minutes of the Board of Directors Special Meeting Held October 21, 2021 Recommendation: That the Board of Directors approve the minutes as presented. 8.3.Minutes of the Board of Directors Special Meeting Held November 5, 2021 Recommendation: That the Board of Directors approve the minutes as presented. Page 24 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 3 2021-XXX 8.4.Re-Authorizing Continuation of Virtual/Teleconference Board Meetings Recommendation: That the Board of Directors adopt Resolution No. 2021- XX finding and determining that: (1) a state of emergency related to COVID- 19 continues to be in effect; (2) state and local officials continue to recommend measures to promote social distancing in connection with COVID-19; (3) due to the COVID-19 emergency, meeting in person would present imminent risks to the health and safety of attendees; and (4) continued remote meetings are hereby re-authorized for the period of November 17, 2021, through December 17, 2021, pursuant to California Government Code Section 54953(e). 8.5.Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $4,560,237.65. 8.7.Cash and Investment Report for the Period Ending September 30, 2021 Recommendation: That the Board of Directors receive and file the Cash and Investment Report for the Period Ending September 30, 2021. 8.8.Unaudited Financial Statements for the First Quarter of FY 2021-22 Recommendation: That the Board of Directors receive and file the Unaudited Financial Statements for the First Quarter of Fiscal Year 2021- 22. 8.9.Directors' and General Manager Fees and Expenses Report for the First Quarter of Fiscal Year 2021-22 Recommendation: That the Board of Directors receive and file the Directors' and General Manager Fees and Expenses Report for the First Quarter of Fiscal Year 2021-22. 8.10.Fiscal Year 2021-22 Capital Improvement Plan (CIP) Status Report for the Period Ending September 30, 2021 Recommendation: That the Board of Directors receive and file the Fiscal Year 2021-22 Capital Improvement Plan (CIP) Status Report for the Period Ending September 30, 2021. Page 25 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 4 2021-XXX 8.12.Declaration of Restrictive Covenants with Daniel Sangwon Oh and Christina Seun Oh Recommendation: That the Board of Directors authorize the President and General Manager to execute a Declaration of Restrictive Covenants with Daniel Sangwon Oh and Christina Seun Oh of 18449 Tytris Way, Yorba Linda. 8.13.Declaration of Restrictive Covenants with Carlos E. Serna and Saskia V. Serna Recommendation: That the Board of Directors authorize the President and General Manager to execute the Declaration of Restrictive Covenants with Carlos E. Serna and Saskia V. Serna of 4720 Avenida De Las Estrellas, Yorba Linda. 8.14.Declarations of Restrictive Covenants with Anthony Barber Recommendation: That the Board of Directors authorize the President and General Manager to execute two Declarations of Restrictive Covenants with Anthony Barber of 17966 Anna Marie Road, Yorba Linda. 8.15.Memorandum of Understanding with the County of Orange for use of Mass Notification System (AlertOC) Recommendation: That the Board of Directors authorize the General Manager to execute and manage a Memorandum of Understanding with the County of Orange to allow their use of the County's Countywide Mass Notification System under the terms and conditions of the County's Countywide Notification System Operating Guidelines and vendor-provided agreements, commencing on July 1, 2021, through December 30, 2024. 8.17.Ratification of Emergency Expenditure for Well 22 Energy Dissipator Project Recommendation: That the Board of Directors make a finding based on evidence presented by staff that the General Manager's expenditure for construction of the Well 22 Energy Dissipator Project was necessary and constituted an emergency as set forth in Section 10.0 of the District's Purchasing Policy. 8.18.Adjustments to Employee Benefits Program Recommendation: That the Board of Directors approve adjustments to the employee benefits program for dental and vision care, and life insurance. Page 26 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 5 2021-XXX ITEMS REMOVED FROM THE CONSENT CALENDAR FOR SEPARATE ACTION 8.6.Budget to Actual Reports for the Month Ending September 30, 2021 Director Lindsey asked about the increase in sewer related expenses. Staff explained this was due to a higher allocation percentage. Last fiscal year, 93% of the District’s overall expenses were allocated for water related services and 7% were allocated for sewer related services. Following analysis, it was determined that the District’s sewer related activities were increasing and thus 85% of the District’s overall expenses are being allocated for water related services and 15% for sewer related services this fiscal year. Vice President Miller inquired about the District’s days of cash on hand. Staff reviewed some of the District’s recent and upcoming major expenditures and commented on the need to draw from the line of credit to reimburse the District for capital related expenses. Staff agreed to provide the Board with an updated report on days of cash once October’s financials were finalized. Director Lindsey made a motion, seconded by Director Jones, to receive and file the Budget to Actual Reports for the Month Ending September 30, 2021. Motion carried 5-0-0-0 on a roll call vote. 8.11.PFAS Water Treatment Plant Project Backup Generator for Headquarters and Budget Contingency Reserve Vice President Miller asked if this expenditure had been included in a previous authorization approved by the Board. Staff explained that the required electrical system improvements for the backup generator were omitted from the construction documents and that this expenditure from the contingency reserve would not cause the project to be over budget. Vice President Miller indicated he was in favor of staff’s recommendation for Item Nos. 8.11 and 8.16. The Board elected to vote on these two items at the same time. 8.16.Purchase of Sound Attenuated Trailer Mounted 4” Pump Package Director Miller made a motion, seconded by Director Lindsey, to: (1) receive and file notification of the District’s use of the PFAS Water Treatment Plant Project budget contingency reserve to include electrical system improvements related to the backup generator for District Headquarters; and (2) to authorize the General Manager to utilize funds from the Sewer Capital Reserve to purchase a Sound Attenuated Trailer Mounted 4” Pump Package from Charles King Company (lowest bidder) for $74,213.00 Motion carried 5-0-0-0 on a roll call vote. Page 27 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 6 2021-XXX 9. ACTION CALENDAR 9.1 Support of Water Infrastructure Funding Act of 2022 Staff briefly reviewed the purpose of the Act and project categories to be funded. Director Jones made a motion, seconded by Director Miller, to adopt Resolution No. 2021-XX Supporting the Water Infrastructure Funding Act of 2022. Motion carried 5-0-0-0 on a roll call vote. 9.2 Election for Association of California Water Agencies (ACWA) President and Vice President for 2022-2023 Term Staff reviewed the election process and recommended the Board appoint a voting delegate and alternate voting delegate. Director Lindsey made a motion, seconded by Director Miller, to appoint Director Jones as the voting delegate, and President Hawkins as the alternate voting delegate, to cast the District’s ballot for ACWA President and Vice President during the Fall Conference on Wednesday, December 1, 2021. Motion carried 5-0-0-0 on a roll call vote. 10. DISCUSSION ITEMS 10.1 Draft Legislative Platform Eric O’Donnell with Townsend Public Affairs explained the purpose of a legislative platform in guiding the Board of Directors and District staff on how to advocate for the District on statewide and federal levels. He also reviewed the guiding principles of the legislative platform including the promotion of fiscal stability, preservation of local control, and support of regulatory streamlining. Mr. O’Donnell then outlined the process for utilizing and updating the platform and responded to related questions from the Board. Staff noted that the District is not required to take a position on every act and indicated that points brought up during discussion of this matter would be incorporated into the draft and presented for Board consideration at the next regular meeting. 10.2.Status of Engineering Activities and PFAS Water Treatment Plant Staff reviewed the various stages of active projects in the planning/design phase, in the bid/award phase, and under construction. Staff also touched on the status of the Bastanchury Road Water Line Replacement project and the PFAS water treatment plant. Page 28 of 108 Minutes of the YLWD Board of Directors Regular Meeting Held November 17, 2021 at 6:30 p.m. 7 2021-XXX 11. REPORTS, INFORMATION ITEMS, AND COMMENTS 11.1 Director’s Reports A list of meetings and events attended was included in the agenda packet. Vice President Miller commented on a scheduled meeting with the Director of Southern California Edison on alternate energy supply. 11.2.General Manager’s Report Assistant General Manager Davert reported on COVID related information, status of customer delinquencies and collections, and soft collection calls. 11.3.General Counsel’s Report None. 11.4.Future Agenda Items and Staff Tasks None. 12. COMMITTEE REPORTS 12.1.Interagency Committee with MWDOC and OCWD (Hawkins/DesRoches) – Next meeting will be scheduled when needed. 12.2.Joint Agency Committee with City of Yorba Linda (Hawkins/Lindsey) – Minutes of the meeting held Monday, November 8, 2021, at 4:00 p.m. will be provided when available. Next meeting is scheduled for Monday, January 31, 2022 at 4:00 p.m. 12.3.Joint Agency Committee with City of Placentia (Miller/Lindsey) – Next meeting will be scheduled when needed. 13. BOARD OF DIRECTORS ACTIVITY CALENDAR 13.1.Meetings from November 18 – December 31, 2021 14. ADJOURNMENT 14.1.Director Jones made a motion, seconded by Director Miller, to adjourn the meeting at 7:44 p.m. Motion passed 5-0-0-0 on a roll call vote. Annie Alexander Board Secretary Page 29 of 108 ITEM NO. 9.3. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Re-Authorizing Continuation of Virtual/Teleconference Board Meetings RECOMMENDATION: That the Board of Directors adopt Resolution No. 2021-XX finding and determining that: (1) a state of emergency related to COVID-19 continues to be in effect; (2) state and local officials continue to recommend measures to promote social distancing in connection with COVID-19; (3) due to the COVID-19 emergency, meeting in person would present imminent risks to the health and safety of attendees; and (4) continued remote meetings are hereby re-authorized for the period of December 14, 2021, through January 13, 2022, pursuant to California Government Code Section 54953(e). SUMMARY: Governor Newsom signed into law AB 361 which amends the Brown Act to allow the Board to continue to meet remotely during declared emergencies proclaimed by the Governor due to COVID-19 under certain conditions: (1) state or local officials have imposed or recommended measures to promote social distancing; or (2) the Board determines or has determined as a result of the emergency, meeting in person would present imminent risks to the health or safety of attendees. BACKGROUND: In order to continue holding Board meetings remotely and by virtual/teleconference as has been previously occurring, the Board will need to reconsider and make a determination that as a result of the ongoing COVID-19 emergency, meeting in person would present imminent risks to the health and safety of the attendees. The Orange County Health Care Agency, which is responsible for health orders in Orange County, has provided recommendations for social distancing and masking for indoor events. Additionally, the COVID-19 virus, especially the Delta variant, continues to spread throughout the Orange County community. The Center for Disease Control and Prevention indicates that the Delta variant is highly contagious and continues to recommend wearing masks in public and in indoor settings. For these reasons, staff recommends that the District continue to hold Board meetings remotely by Page 30 of 108 virtual/teleconference for the next 30 days. AB 361 also adds new procedures and clarifies the requirements for conducting remote meetings, including the following: 1. Public agencies may not require public comments to be submitted in advance. 2. In the event of a technical disruption, the public agency cannot take any further action on the agenda until the technical issue is resolved. 3. Beginning 30 days after the first meeting, the legislative body must reconsider the continuing need for virtual meetings every 30 days. The legislative body must find each time that it has reconsidered the circumstances of the state of emergency, and the state of emergency continues to directly impact the ability of the members to meet safely in person or state and local officials continue to impose or recommend measures to promote social distancing. If a majority of the members of a legislative body do not adopt these findings, then traditional Brown Act provisions for teleconferencing will apply. Should the Board vote to re-authorize implementation of the provisions of AB 361, these requirements will apply: 1. Notices and agenda requirements remain the same under the Brown Act. 2. No physical location is required for public attendance or public comment. However, the public must be able to access and participate in the meeting through a call-in or an internet-based service, and instructions for how to participate must appear on the posted notices or agenda. 3. Teleconference meetings must protect the statutory and constitutional rights of the parties and the public. 4. If there is any disruption of the call-in or internet-based service, the agency must suspend the meeting until the problem is fixed. 5. Legislative bodies may allow public comments to be submitted prior to a meeting, but must also allow the public to participate in real-time through call-in or internet-based service. 6. If an internet-based service requires registration through a third party, individuals can be required to register with the third party to participate in the meeting. 7. When providing a public comment period, whether after each item or during a general comment period, a legislative body must allow reasonable time for members of the public to comment and must also include reasonable time for members to register with a third party host, if applicable. ATTACHMENTS: 1.Resolution No. 2021-XX - Continuation of Virtual Meetings Page 31 of 108 Resolution No. 2021-XX Re-Authorizing Virtual Board Meetings Pursuant to AB 361 1 RESOLUTION NO. 2021-XX RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT RELYING ON THE CALIFORNIA GOVERNOR’S PROCLAMATION OF A STATE OF EMERGENCY ON MARCH 4, 2020, AND RE-AUTHORIZING VIRTUAL BOARD MEETINGS PURSUANT TO ASSEMBLY BILL 361 WHEREAS,the Yorba Linda Water District (“District”) is committed to preserving public access and participation in meetings of the Board of Directors. WHEREAS,all meetings of the District’s legislative bodies are open and public, as required by the Ralph M. Brown Act (California Government Code Sections 54950-54963), so that any member of the public may attend and participate in the District’s meetings. WHEREAS, starting in March 2020, in response to the spread of COVID-19 in the State of California, the Governor issued a number of executive orders aimed at containing the COVID-19 virus. WHEREAS,among other things, these orders waived certain requirements of the Brown Act to allow legislative bodies to meet virtually. WHEREAS,pursuant to the Governor’s executive orders, the District has been holding virtual meetings during the pandemic in the interest of protecting the health and safety of the public, Board members, and District staff. WHEREAS,the Governor’s executive orders related to the suspension of certain provisions of the Brown Act expired on September 30, 2021. WHEREAS,on September 16, 2021, the Governor signed Assembly Bill 361, Government Code Section 54953(e), which allows legislative bodies to meet virtually provided there is a state of emergency declared by the Governor, and either: (1) state or local officials have imposed or recommended measures to promote social distancing; or (2) the legislative body determines by majority vote that meeting in person would present imminent risks to the health and safety of attendees. WHEREAS,such conditions continue to exist in the District, specifically, a state of emergency has been proclaimed related to COVID-19 by the Governor of California as of March 4, 2020, local officials continue to recommend measures to promote social distancing, and because of the ongoing threat of COVID-19, meeting in person would present imminent risks to the health and safety of attendees. WHEREAS,the Board of Directors previously adopted Resolution No. 2021-40 on October 21, 2021, finding that the requisite conditions exist for the legislative body of the District to conduct remote teleconference meetings without compliance with Government Code Section 54953 (b)(3). Page 32 of 108 Resolution No. 2021-XX Re-Authorizing Virtual Board Meetings Pursuant to AB 361 2 WHEREAS,as a condition of extending the use of the provisions found in Government Code 54953(e), the Board of Directors must reconsider the circumstances of the state of emergency, and the Board has done so. NOW THEREFORE BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District as follows: SECTION 1.Remote Teleconference Meetings: Consistent with the provisions of Government Code Section 54953(e), the Board of Directors finds and determines that: (1) a state of emergency related to COVID-19 continues to be in effect; (2) state and/or local officials continue to recommend measures to promote social distancing in connection with COVID-19; and (3) due to the health and safety of attendees, and, based on the foregoing facts, findings, and determinations, the Board re-authorizes staff to conduct remote teleconference meetings of the Board of Directors, including Committee meetings, per the provisions of Government Code Section 54953(e). SECTION 2.Effective Date of Resolution: This Resolution shall take effect upon adoption and shall be effective for 30 days unless earlier extended by a majority vote of the Board of Directors. PASSED AND ADOPTED this 14th day of December 2021 by the following called vote: AYES: NOES: ABSTAIN: ABSENT: Phil Hawkins, President Yorba Linda Water District ATTEST: Annie Alexander, Board Secretary Yorba Linda Water District Reviewed as to form by General Counsel: Andrew B. Gagen, Esq. Kidman Gagen Law LLP Page 33 of 108 ITEM NO. 9.4. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Keri Hollon, Accounting Assistant II SUBJECT:Payments of Bills, Refunds, and Wire Transfers RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of $4,348,955.92. BACKGROUND: Pursuant to Section 31302 of the California Water Code, staff is submitting a list of disbursements to the Board of Directors for approval. The items on this disbursement list include a wire of $2,167,312.52 to MWDOC for September 2021 water purchases; a wire of $32,828.91 to So. California Edison Co. for October 2021 electricity charges at multiple locations; a wire of $199.50 to Bank of America for October 2021 interest accrual payment; a wire of $3,023.74 to So. California Gas Co. for October 2021 gas charges at multiple locations; a wire of $614.00 to Switch for the remote data hosting co-location; a check of $149,002.42 to ACWA/JPIA for December 2021 medical and dental premiums; a check of $68,652.58 to Aqua-Metric Sales for the meter replacement program (J-2019-52); a check of $82,000.00 to Certapro Painters for headquarters painting maintenance; a check for $73,578.55 to Cogsdale Service Corporation for CSM and GP Software renewal for 2022; a check of $336,738.19 to T.E. Roberts Inc. for the Lakeview sewer extension (J-2020-26); and a check of $71,540.46 to T.E. Roberts Inc for Well #22 Dissipator (J-2009-22). Additionally: a wire of $11,906.00 to Fouad Yacoub for customer refund due to overpayment, a wire of $3,669.15 to Bank of America for November 2021 interest accrual payment, a check of $80,382.60 to Aqua-Metric Sales for J19-52 meter replacement program; a check of $67,226.58 to A & Y Asphalt Contractors for paving repairs at various locations. The balance of $471,428.23 are routine invoices. The Accounts Payable check register total is $3,620,103.43; Payroll No. 23 total is $393,124.82 and Payroll No. 24 total is $335,727.67; where disbursements for this agenda report total is $4,348,955.92. A summary of the disbursements is attached. Page 34 of 108 ATTACHMENTS: 1.Cap Sheet for December 14, 2021 2.Check Register for November 23, 2021 3.Check Register for December 14, 2021 4.Credit Card for December 14, 2021 Page 35 of 108 CHECK NUMBERS: 11/23/2021 Computer Checks 79019-79098 1,038,608.21$ 12/14/2021 Computer Checks 79099-79197 361,941.40 1,400,549.61$ WIRES: W110421 Bank of America 199.50$ W110921 Southern Calif Edison Co 32,828.91 W111021 Switch 614.00 W111521 MWDOC 2,167,312.52 W111621 Southern Calif Gas Co 3,023.74 W111721 Fouad Yacoub 11,906.00 W113021 Bank of America 3,669.15 2,219,553.82$ 3,620,103.43$ PAYROLL NO. 23: Direct Deposits 250,360.47$ Payroll Taxes 73,375.00 EFT -- CalPERS 44,944.50 Third Party Checks 7648-7652 24,444.85 393,124.82$ PAYROLL NO. 24: Direct Deposits 206,634.24$ Payroll Taxes 58,072.33 EFT -- CalPERS 45,126.44 Third Party Checks 7653-7661 25,894.66 335,727.67$ 728,852.49$ 4,348,955.92$ ================================================================ MEETING OF DECEMBER 14, 2021 APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD ================================================================ DISBURSEMENT TOTAL Summary of Disbursements December 14, 2021 ------------------------------------------------------------------------------------------------------------------ TOTAL OF PAYROLLS TOTAL OF CHECKS & WIRES Page 36 of 108 Check No.Date Vendor Name Amount Description 79019 11/23/2021 EDNA KELLEY 106.51 CUSTOMER REFUND 79020 11/23/2021 VILLENA PLACENTIA 26 GROUP LLC 1,784.98 CUSTOMER REFUND 79021 11/23/2021 PHU HO 114.13 CUSTOMER REFUND 79022 11/23/2021 SIGNPOST HOMES INC 343.84 CUSTOMER REFUND 79023 11/23/2021 SKC INVESTMENTS LLC 419.43 CUSTOMER REFUND 79024 11/23/2021 EXPO CONVENTION CONTRACTORS 172.20 CUSTOMER REFUND 79025 11/23/2021 LINDA LIU 160.24 CUSTOMER REFUND 79026 11/23/2021 BEST DRILLING & PUMP, INC 1,965.50 CUSTOMER REFUND 79027 11/23/2021 ACWA/JPIA 149,002.42 MEDICAL & DENTAL PREMIUM DECEMBER 2021 79028 11/23/2021 AIRGAS INC 140.25 WELDING SUPPLIES 79029 11/23/2021 Amazon Capital Services 255.34 IT PHONE SUPPLIES & BATTERIES 79030 11/23/2021 Aqua-Metric Sales Co.68,652.58 OPERATIONS WORK MATERIAL 79031 11/23/2021 Aramark 943.49 UNIFORM SERVICE 79032 11/23/2021 AT & T - Calnet3 1,472.03 ATT CALNET 79033 11/23/2021 Backflow Apparatus & Valve Co., Inc 615.98 PRODUCTION PARTS FOR BACKFLOWS 79034 11/23/2021 BrightView Tree Care Services Inc.4,294.48 LANDSCAPE SERVICE 79035 11/23/2021 CertaPro Painters of Huntigton Beach 82,000.00 PAINTING OF YLWD HEADQUARTERS 79036 11/23/2021 City Of Placentia 11,162.37 SEWER COLLECTIONS - OCTOBER 2021 79037 11/23/2021 Griswold Industries dba Cla-Val Co.1,205.33 CLA VALVE PARTS 79038 11/23/2021 CliftonLarsonAllen LLP 630.00 J21-10 FY2020-2021 AUDIT SERVICES 79039 11/23/2021 Cogsdale Services Corporation 73,578.55 CSM & GP SOFTWARE RENEWAL 1/2022-12/2022 79040 11/23/2021 Culligan of Santa Ana 636.55 EQUIPMENT PE SOFTENER 79041 11/23/2021 C. Wells Pipeline 2,022.75 OPERATIONS WORK MATERIAL 79042 11/23/2021 Diversified Communications Services, Inc.1,415.09 J21-38 SECURITY CAMERA UPGRADE 79043 11/23/2021 DXP Enterprises, Inc.3,677.58 PRODUCTION CL2 PARTS 79044 11/23/2021 Elite Equipment Inc 670.51 REPAIR FOR GENERATOR & BREAKER 79045 11/23/2021 Enthalpy Analytical, Inc.4,325.00 WATER QUALITY TESTING 79046 11/23/2021 Factory Motor Parts 725.17 PARTS FOR UNIT #175 & 155 79047 11/23/2021 Fairway Ford Sales, Inc.147.90 PARTS FOR UNIT #204 79048 11/23/2021 FedEx Office 21.99 SHIPPING EXPENSE 79049 11/23/2021 EyeMed 1,428.65 EYEMED PREMIUM - NOVEMBER 2021 79050 11/23/2021 Grainger 120.85 SCADA MATERIALS 79051 11/23/2021 Graybar Electric Co 622.04 SCADA MATERIALS 79052 11/23/2021 Grossman & Speer Associates, Inc 3,000.00 J21-39 BRYANT RANCH ENGINEER SERVICE OCTOBER 2021 79053 11/23/2021 Haaker Equipment Co.1,982.85 PARTS FOR UNIT #197 & SEWER VACTOR TRUCK 79054 11/23/2021 Hach Company 689.91 WATER QUALITY WORK MATERIALS 79055 11/23/2021 Harrington Industrial 62.07 PRODUCTION REPAIR PARTS 79056 11/23/2021 Hashtag Pinpoint 4,000.00 STRATEGIC COMMUNICATIONS OCTOBER 2021 79057 11/23/2021 Heat Transfer Solutions, Inc 6,838.05 J21-42 BOILER REPLACEMENT LABOR 79058 11/23/2021 Hill Brothers Chemical Co 332.12 CHEMICALS FOR CL2 SYSTEM 79059 11/23/2021 Infosend Inc.7,031.35 BILLING & POSTAGE CUSTOMER BILL 79060 11/23/2021 Jackson's Auto Supply - Napa 46.02 FILTERS FOR VEHICLES 79061 11/23/2021 Jacqueline Segura 106.41 RETIREMENT LUNCH SUPPLIES REIMBURSEMENT 79062 11/23/2021 Kidman Gagen Law 31,262.80 LEGAL SERVICES - OCTOBER 2021 79063 11/23/2021 Kimball Midwest 876.32 MECHANIC SHOP SUPPLIES 79064 11/23/2021 Managed Health Network 177.75 EAP - NOVEMBER 2021 79065 11/23/2021 Mario S. Banuelos 2,070.00 HIGHLAND FLOW METER & GATE REPAIR WELDING SERVICE 79066 11/23/2021 Mc Fadden-Dale Hardware 862.56 PRODUCTION & OPERATION TOOLS 79067 11/23/2021 Mc Master-Carr Supply Co.1,035.30 PRODUCTION EQUIPMENT 79068 11/23/2021 Minuteman Press 244.66 EXCESS WATER USAGE DOOR HANGERS 79069 11/23/2021 NatPay Online Business Solutions 27.54 DOCULIVERY - OCTOBER 2021 79070 11/23/2021 Nexus Office Environments 9,550.00 FACILITIES CLEANING SERVICE 79071 11/23/2021 Nickey Kard Lock Inc 6,197.44 FUEL 10/16/21-10/31/21 79072 11/23/2021 Nickey Petroleum Co Inc 2,313.32 DIESEL FUEL FOR SEWER VEHICLES 79073 11/23/2021 Office Solutions 25.95 OFFICE SUPPLIES 79075 11/23/2021 PLACENTIA POLICE DEPARTMENT FALSE ALARM 162.00 MIRALOMA ALARM PERMIT FEE 79076 11/23/2021 Linde Gas & Equipment Inc.184.52 WELDING SUPPLIES For Checks Dated: 11/18/2021 thru 11/23/2021 Yorba Linda Water District Check Register Page 37 of 108 79077 11/23/2021 Pride Construction Engineering Services 8,100.00 HIGHLAND RESERVIOR GRADING SERVICE 79078 11/23/2021 P.T.I. Sand & Gravel, Inc.1,431.86 J20-35 ROAD MATERIAL 79079 11/23/2021 Quinn Company 2,955.68 MATERIAL FOR WORK ON WELL #5 & REPAIR OF SKID STEER 79080 11/23/2021 R & S Overhead Doors of So-Cal, Inc 570.94 PARTS FOR RICHFIELD GATE 79081 11/23/2021 Security Solutions 375.00 FAIRMONT PUMP STATION WORK 79082 11/23/2021 Staples Business Advantage 228.35 OPERATIONS OFFICE SUPPLIES 79083 11/23/2021 Sunrise Medical Group 1,013.07 J20-15 TESTING EXPENSE & EMPLOYEE PHYSICALS 79084 11/23/2021 Tetra Tech, Inc.35,399.00 J20-37 PROFESSIONAL SERVICES - TIMBER RIDGE AUGUST 2021 79085 11/23/2021 Titus Industrial Group 21,891.81 SEWER MANHOLE COVERS 79086 11/23/2021 T-Mobile 0.40 T-MOBILE 9/21-10/20 79087 11/23/2021 Underground Service Alert 649.65 NEW TICKET CHARGES & CA STATE FEE 79088 11/23/2021 United Industries 998.82 OPERATIONS PPE SUPPLIES 79089 11/23/2021 U S Postmaster 342.00 POST OFFICE BOX ANNUAL RENEWAL 79090 11/23/2021 United Water Works, Inc.31,468.64 OPERATIONS WORK MATERIAL 79091 11/23/2021 Walters Wholesale Electric Co.399.30 OPERATIONS ELECTRICAL SUPPLIES 79092 11/23/2021 West Coast Batteries Inc 2,677.27 BATTERIES FOR MECHANIC SHOP 79093 11/23/2021 YLWD Account 2,245.92 CAPITAL FINANCE CHARGE FY21/22 79094 11/23/2021 YO Fire 25,011.18 OPERATIONS WORK MATERIAL 79095 11/23/2021 Delta Wye Electric, Inc.496.00 WELL #10 CONTROLS TROUBLESHOOT 79096 11/23/2021 T. E. Roberts, Inc 336,738.19 J20-26 LAKEVIEW SEWER EXTENSION 79097 11/23/2021 PLACENTIA POLICE DEPARTMENT FALSE ALARM 162.00 RICHFIELD ALARM PERMIT FEE 79098 11/23/2021 T. E. Roberts, Inc 71,540.46 J09-22 WELL #22 DISSIPATOR W110421 11/04/2021 Bank Of America 199.50 INTEREST ON BOA LOC - OCTOBER 2021 W110921 11/09/2021 Southern Calif Edison Co.32,828.91 ELECTRIC CHARGES - OCTOBER 2021 VARIOUS LOCATIONS W111021 11/10/2021 Switch Ltd 614.00 DATA HOSTING CO-LOCATION W111521 11/15/2021 Municipal Water District 2,167,312.52 WATER DELIVERIES - SEPTEMBER 2021 W111621 11/16/2021 Southern Calif Gas Co.3,023.74 GAS CHARGES - OCTOBER 2021 VARIOUS LOCATIONS 3,242,586.88 11/10/2021 PAYROLL - EMPLOYEE DIRECT DEPOSIT 250,360.47 11/10/2021 PAYROLL - PAYROLL TAX PAYMENT 73,375.00 11/10/2021 PAYROLL - CALPERS & TASC 44,944.50 7648 11/10/2021 Colonial Life & Accident 112.61 7649 11/10/2021 Lincoln Financial Group 4,505.86 7650 11/10/2021 Nationwide Retirement Solutions 19,074.54 7651 11/10/2021 California State Disbursement Unit 366.92 7652 11/10/2021 California State Disbursement Unit 384.92 393,124.82 Payroll Checks #23 Page 38 of 108 Check No.Date Vendor Name Amount Description 79099 12/14/2021 SAM CHHENG 1,113.00 CUSTOMER REFUND 79100 12/14/2021 LONNIE FISCHER 131.78 CUSTOMER REFUND 79101 12/14/2021 CAROL WINNINGHAM 70.30 CUSTOMER REFUND 79102 12/14/2021 NEASE PROPERTY MGMT 51.95 CUSTOMER REFUND 79103 12/14/2021 CHEN LIU 91.78 CUSTOMER REFUND 79104 12/14/2021 MONA MERATI 69.03 CUSTOMER REFUND 79105 12/14/2021 MICHAEL KANE 128.77 CUSTOMER REFUND 79106 12/14/2021 KATHLEEN DAVIS 90.53 CUSTOMER REFUND 79107 12/14/2021 MATTHEW ECHAN 175.55 CUSTOMER REFUND 79108 12/14/2021 DEAN RATLIFF 45.68 CUSTOMER REFUND 79109 12/14/2021 CHAD PARKIN 66.20 CUSTOMER REFUND 79110 12/14/2021 JAMES J FISK 25.68 CUSTOMER REFUND 79111 12/14/2021 JESSICA GARZA 90.10 CUSTOMER REFUND 79112 12/14/2021 OPEN DOOR LABS INC 276.76 CUSTOMER REFUND 79113 12/14/2021 DAVID G HERNANDEZ 168.10 CUSTOMER REFUND 79114 12/14/2021 LINE WORKS CONSTRUCTION 389.83 CUSTOMER REFUND 79115 12/14/2021 MISSION PAVING & SEALING INC.1,835.50 CUSTOMER REFUND 79116 12/14/2021 IN-N-OUT BURGERS 1,812.92 CUSTOMER REFUND 79117 12/14/2021 LYLE STONE 92.66 CUSTOMER REFUND 79118 12/14/2021 A. M. ORTEGA 273.90 CUSTOMER REFUND 79119 12/14/2021 VANESSA PAYNE 22.46 CUSTOMER REFUND 79120 12/14/2021 ZILLOW HOME INC 299.30 CUSTOMER REFUND 79121 12/14/2021 CRAIG JOHNSON CONSTRUCTION, INC.1,742.20 CUSTOMER REFUND 79122 12/14/2021 AIRGAS INC 813.58 WELDING SUPPLIES 79123 12/14/2021 Albert A. Webb Associates 4,692.75 J09-22 WELL 22 PROFESSIONAL SERVICES OCTOBER 2021 79124 12/14/2021 Alternative Hose Inc.21.71 PARTS FOR UNIT #145 79125 12/14/2021 Amazon Capital Services 129.35 OFFICE SUPPLIES 79126 12/14/2021 Aqua-Metric Sales Co.80,382.60 OPERATIONS WORK MATERIAL 79127 12/14/2021 Aramark 1,139.97 UNIFORM SERVICE 79128 12/14/2021 Archie's Towing 142.50 TOWING FEES FOR UNIT #155 79129 12/14/2021 AT & T - Calnet3 1,861.71 ATT CALNET 79130 12/14/2021 A & Y Asphalt Contractors Inc.67,226.58 PAVING REPAIRS FOR VARIOUS LOCATION & YLWD STENCIL 79131 12/14/2021 Backflow Apparatus & Valve Co., Inc 287.63 PRODUCTION PARTS FOR BACKFLOWS 79132 12/14/2021 Bee Busters, Inc 150.00 COLONY ABATEMENT 79133 12/14/2021 CalCard US Bank 31,414.61 CREDIT CARD TRANSACTIONS - OCTOBER 2021 79134 12/14/2021 CDM Smith 2,457.50 J21-29 PROFESSIONAL SERVICES OCTOBER 2021 79135 12/14/2021 CIPO CLOUD SOFTWARE INC 475.00 CLOUD MONTHLY SUBSCRIPTION 79136 12/14/2021 City Of Anaheim - Anaheim Public Utilities 1,801.23 ELECTRICAL CHARGES OCTOBER 2021 - VARIOUS LOCATIONS 79137 12/14/2021 City Of Placentia 401.00 ENCROACHMENT PERMIT 79138 12/14/2021 Climatec BTG 1,000.00 BOILER MAINTENANCE 79139 12/14/2021 Codekas Tools & Equipment 112.51 MECHANIC SHOP SUPPLIES 79140 12/14/2021 C. Wells Pipeline 650.33 VALVE REPAIR PARTS 79141 12/14/2021 Dell Financial Services LLC 91.07 IT PHONE SUPPLIES 79142 12/14/2021 Dick's Lock & Safe Inc.991.74 LOCK REPLACEMENTS & KEY COPIES 79143 12/14/2021 Dion & Sons, Inc.2,819.51 MECHANIC SHOP SUPPLIES 79144 12/14/2021 Discount Tire Centers (Andonian Enterprises Inc.)1,655.94 TIRE DISPOSAL CHARGE & TIRES FOR UNIT #191 & 228 79145 12/14/2021 Dean Criske Trucking 1,976.42 ROAD MATERIAL 79146 12/14/2021 Elite Equipment Inc 1,054.12 OPERATIONS REPAIR TOOLS 79147 12/14/2021 Employment Development Department 1,593.00 EMPLOYEE BENEFIT CHARGE 79148 12/14/2021 Enkay Engineering & Equipment Inc 900.00 TRANSITE PIPE DISPOSAL 79149 12/14/2021 Fairway Ford Sales, Inc.475.51 PARTS FOR UNIT #180 79150 12/14/2021 FedEx Office 34.63 SHIPPING EXPENSE 79151 12/14/2021 Firemaster 750.00 FIRE SAFETY TRAINING 79152 12/14/2021 Grainger 1,487.53 J21-38 SECURITY UPGRADE PARTS, A/C REPAIR PARTS & OPERATIONS TOOLS 79153 12/14/2021 Graybar Electric Co 84.34 SCADA MATERIALS 79154 12/14/2021 Haaker Equipment Co.2,869.42 PARTS FOR UNIT #215 & SEWER VACTOR TRUCK 79155 12/14/2021 Hach Company 674.56 WATER QUALITY WORK MATERIALS 79156 12/14/2021 Hydrex Pest Control 208.00 PEST CONTROL 79157 12/14/2021 Infosend Inc.8,267.85 BILLING & POSTAGE CUSTOMER BILL 79158 12/14/2021 Inland (Kenworth)480.00 REPAIR ON UNIT #215 & STATIONARY ENGINE PARTS 79159 12/14/2021 JACK DOHENY COMPANIES INC 3,144.97 SEWER MAINTENANCE TOOLS 79160 12/14/2021 Liebert Cassidy Whitmore 11,349.70 PROFESSIONAL SERVICES - OCTOBER 2021 For Checks Dated: 11/24/2021 thru 12/14/2021 Yorba Linda Water District Check Register Page 39 of 108 79161 12/14/2021 Mc Fadden-Dale Hardware 1,613.19 PRODUCTION & OPERATION TOOLS 79162 12/14/2021 Mc Master-Carr Supply Co.1,252.52 PRODUCTION EQUIPMENT & CLA-VAL PARTS 79163 12/14/2021 MCR Technologies Inc.1,165.92 PRODUCTION SERVICE WORK 79164 12/14/2021 Minuteman Press 221.68 IMPORTANT NOTICE DOOR HANGERS 79165 12/14/2021 Myers Tire Supply 202.57 MECHANIC SHOP SUPPLIES 79166 12/14/2021 Nicholas A. Hollon 166.00 CERTIFICATION REIMBURSEMENT - T2 & COLLECTIONS 4 79167 12/14/2021 Nickey Kard Lock Inc 6,691.78 FUEL 11/01/21-11/15/21 79168 12/14/2021 Norm's Refrigeration & Ice Equipment 300.84 ICE MACHINE REPAIR 79169 12/14/2021 Orange County Water District 4,980.32 WARNER BASIN LEASE - YEAR 10 79170 12/14/2021 PARMA 320.00 PARMA ANNUAL CONFERENCE REGISTRATION - SEGURA, J 79171 12/14/2021 Pillsbury Winthrop Shaw Pittman LLP 4,927.50 EMPLOYEE BENEFITS ADVICE 79172 12/14/2021 Pres-Tech 734.79 PARTS FOR UNIT #195 79173 12/14/2021 Psomas & Associates 11,790.00 J21-02 PROFESSIONAL SERVICES - OCTOBER 2021 79174 12/14/2021 Quantum Automation 2,789.30 SCADA MATERIALS 79175 12/14/2021 Quinn Company 131.25 STATIONARY ENGINE PARTS & REPAIR OF SKID STEER 79176 12/14/2021 Raftelis Financial Consultants, Inc.3,261.25 PROFESSIONAL SERVICES OCTOBER 2021 79177 12/14/2021 R.E. Michel Company, LLC 234.81 A/C REPAIR PARTS 79178 12/14/2021 Resource Computer Solutions 21,057.75 J21-37 & J21-38 SECURITY UPGRADE WORK 79179 12/14/2021 Security Solutions 375.00 RICHFIELD GATE SITE LABOR 79180 12/14/2021 Selman Chevrolet Company 3,746.71 PARTS FOR UNITS #208 & 221 79181 12/14/2021 Shred Confidential, Inc.63.00 MONTHLY SHRED SERVICE 79182 12/14/2021 South Coast AQMD 149.72 EMISSIONS FEE 79183 12/14/2021 Southwest Valve 697.71 PARTS FOR WELL #18 79184 12/14/2021 Staples Business Advantage 3,043.72 PRINTER TONER 79185 12/14/2021 Step Saver Inc 3,517.00 SALT FOR Cl2 SYSTEM 79186 12/14/2021 Sunrise Medical Group 901.74 HEP B VACCINATIONS & DOT SPECIMAN TESTING 79187 12/14/2021 Titus Industrial Group 4,280.37 SEWER MANHOLE COVERS 79188 12/14/2021 Townsend Public Affairs, Inc.2,500.00 CONSULTING SERVICES - NOVEMBER 2021 79189 12/14/2021 United Industries 275.96 OPERATIONS PPE SUPPLIES 79190 12/14/2021 UNUM Life Insurance Co. of America 4,778.38 LIFE,AD&D,STD&LTD- DECEMBER 2021 79191 12/14/2021 U S Bank 3,000.00 ADMINISTRATION FEES - 10/1/21-9/30/22 79192 12/14/2021 U.S. ENERGY RECOVERY LLC 2,914.10 FACILITIES LED LIGHTS 79193 12/14/2021 United Water Works, Inc.10,580.76 OPERATIONS WORK MATERIAL 79194 12/14/2021 West Coast Batteries Inc 905.13 BATTERIES FOR SCADA & OPERATIONS 79195 12/14/2021 YO Fire 4,364.24 OPERATIONS WORK MATERIAL 79196 12/14/2021 Konica Minolta Business 132.66 COPY CHARGES FOR C258 & C558 79197 12/14/2021 City Of Placentia 8,740.88 SEWER COLLECTIONS - NOVEMBER 2021 W111721 11/17/2021 Fouad Yacoub 11,906.00 CUSTOMER REFUND DUE TO OVERPAYMENT W113021 11/30/2021 Bank of America 3,669.15 INTEREST ON BOA LOC - OCTOBER 2021 377,516.55 11/24/2021 PAYROLL - EMPLOYEE DIRECT DEPOSIT 206,634.24 11/24/2021 PAYROLL - PAYROLL TAX PAYMENT 58,072.33 11/24/2021 PAYROLL - CALPERS & TASC 45,126.44 7653 11/24/2021 Colonial Life 112.61 7654 11/24/2021 Lincoln Financial Group 4,505.86 7655 11/24/2021 Nationwide Retirement Solutions 16,008.10 7656 11/24/2021 CA State Disbursement Unit 366.92 7657 11/24/2021 CA State Disbursement Unit 384.92 7658 11/24/2021 Allstate 1,209.37 7659 11/24/2021 Midland 200.00 7660 11/24/2021 Reliance 44.92 7661 11/24/2021 Ameritas 3,061.96 335,727.67 Payroll Checks #24 Page 40 of 108 Vendor Name Amount Description Nexa Receptionists, LLC 831.50 AFTER HOURS PHONE SERVICE Amazon Capital Services 28.92 OFFICE SUPPLIES Verizon Wireless 4,500.98 VERIZON 8/21-9/20 BBQ Galore 921.22 EOC SUPPLIES R.F.MacDonald Co 1,150.00 BOILER WRKSHOP TRAINING-WATSON, E Home Depot 31.23 HOSE FOR CLA-VAL TRUCK Discount Tire Centers (Andonian Enterprises Inc.)80.00 TIRE ALIGNMENT UNIT #183 Home Depot 51.40 FACILITIES REPAIR PARTS & TOOLS UTILITY PRO 1,475.71 SAFETY JACKETS BLICK ART MATERIAL 77.70 OFFICE SUPPLIES Costco 90.07 RETIREMENT LUNCH SUPPLIES Costco 75.05 RETIREMENT LUNCH SUPPLIES Stater Bros. Markets 43.90 DISTRICT MEETING SUPPLIES Donut Star 24.00 TRAINING CLASS SUPPLIES Federal Signal 651.90 BACKUP CAMERA KIT FOR UNIT #215 Home Depot (200.49) REFUND - BOOM LIFT RENTAL DEPOSIT Home Depot 500.00 BOOM LIFT RENTAL DEPOSIT Hobby Lobby 36.60 RETIREMENT LUNCHEON SUPPLIES Time Warner Cable 659.53 INTERNET & DISTRICT TV SERVICES Amazon Capital Services 26.09 SERVICE RECOGNITION AWARD Amazon Capital Services 36.96 RETIREMENT LUNCHEON SUPPLIES Cobra Solutions, Inc 445.00 COBRA SOFTWARE MAINTENANCE VONS 125.56 DISTRICT MEETING SUPPLIES Expression Florist 67.32 OFFICE EXPENSE Amazon Capital Services 32.93 RETIREMENT LUNCHEON SUPPLIES Cal Society-Municipal Finance Officers 470.00 CSMFO 2022 CONFERENCE REGISTRATION - LUGO, D Ralphs 10.82 OFFICE EXPENSE Farmer Boys 21.63 FOOD FOR STAFF WORKING OT Professionals in Hum.Res Assn 25.00 PERFORMANCE AGREEMENT WEBINAR Smart & Final 468.65 DISTRICT MEETING SUPPLIES Big Top Rentals 1,088.47 RENTAL EQUIPMENT FOR RETIREMENT LUNCH SMARTSHEET 19.00 MONTHLY SOFTWARE SUBSCRIPTION ZOOM 84.97 VIRTUAL MEETING SUBSCRIPTION Town and Country Resort 258.31 TRAVEL EXPENSE - CSMFO CONFERENCE - LUGO, D CALIFORNIA FISH GRILL 33.05 LUNCH MEETING - 2 ATTEND Hobby Lobby 15.05 RETIREMENT LUNCHEON SUPPLIES Jackson's Auto Supply - Napa 6.45 FUSES FOR MECHANIC SHOP Mc Fadden-Dale Hardware 39.22 SWITCHES FOR MECHANIC SHOP Schorr Metals, Inc.40.67 PARTS FOR WELL #15 FENCE Hirsch Pipe 183.56 WATER FILTERS Gem Meats 2,171.49 RETIREMENT LUNCHEON SUPPLIES Home Depot 208.75 BATTERIES BPS Supply Group 208.43 POWER CORD KIT FOR SCADA American Society of Civil Engineers (ASCE)300.00 MEMBERSHIP RENEWAL FEE - WESTON, R VONS 28.47 DISTRICT MEETING SUPPLIES Big Top Rentals 2.06 RENTAL EQUIPMENT FOR RETIREMENT LUNCH Smart & Final 97.34 DISTRICT MEETING SUPPLIES Costco 396.90 DISTRICT MEETING SUPPLIES Pacific Urgent Care Center 730.00 J20-15 TESTING EXPENSE Victory Lock Control Inc 21.49 KEY COPIES Chefs Toys 79.70 DISTRICT MEETING SUPPLIES KB Design 19.93 JACKET EMBROIDERY-PERKINS Albertsons 35.99 RETIREMENT LUNCHEON SUPPLIES Adobe 52.99 SOFTWARE LICENSE Farmer Boys 58.77 FOOD FOR STAFF WORKING OT Brown And Caldwell 200.00 PLANT OPERATOR JOB AD Home Depot 129.24 WATER COOLERS 76 Gas Station 70.68 PROPANE REFILL North American Recycling and Crushing, LLC 210.00 DISPOSAL-OLD ROAD MATERIAL North American Recycling and Crushing, LLC 210.00 DISPOSAL-OLD ROAD MATERIAL 14-Dec-21 Cal Card Credit Card U S Bank Page 41 of 108 Home Depot 133.89 SCADA ELECTRICAL SUPPLIES COUNTY OF ORANGE RECORDER 51.00 J20-61 EASMENT DOCUMENT FEE Amazon Capital Services (10.11) RETURN - SUPPLIES FOR RETIREMENT LUNCHEON Amazon Capital Services (8.69) RETURN - SUPPLIES FOR RETIREMENT LUNCHEON Amazon Capital Services (36.96) RETURN - SUPPLIES FOR RETIREMENT LUNCHEON THE SACRAMENTO BEE 15.99 DIGITAL MEDIA SUBSCRIPTION - BARBRE, B Duke's Cafe 65.31 NEW HIRE LUNCH - 5 ATTEND Republic Services #676 608.67 DISPOSAL SERVICE ONLINE Information Services, Inc.527.94 ONLINE UTILITY EXCHANGE & COLLECTION Smart & Final 130.10 DISTRICT MEETING SUPPLIES Smart & Final 75.74 DISTRICT MEETING SUPPLIES Stater Bros. Markets 19.36 ICE FOR OPERATIONS STAFF Stater Bros. Markets 21.41 DISTRICT MEETING SUPPLIES Reunion Kitchen & Drink 238.64 LUNCH MEETING Donut Star 23.85 TRAINING CLASS SUPPLIES Home Depot 115.14 BLADES AND OIL FOR MECHANIC SHOP Orange County Business Council 95.00 CHAIRMANS LEADERSHIP BREAKFAST REGISTRATION US POSTAL SERVICE (USPS)45.50 SHIPPING EXPENSE Donut Star 48.00 TRAINING CLASS SUPPLIES WaterWise Pro Traning LLC 250.00 WATER WISE TRAINING EVENT - 5 ATTEND Harbor Freight Tools 32.93 TOOLS FOR MAINTENANCE STAFF Hobby Lobby (38.74) RETURN - SUPPLIES FOR RETIREMENT LUNCHEON Hobby Lobby (7.53) RETURN - SUPPLIES FOR RETIREMENT LUNCHEON CAI Safety Systems 455.84 CONFINED SPACE WINCH CERTIFICATION Staples 38.78 OFFICE SUPPLIES Staples 77.56 OFFICE SUPPLIES Time Warner Cable 215.57 INTERNET & DISTRICT TV SERVICES Amazon Capital Services 121.73 FRAMES FOR ENGINEERING DRAWINGS Baci Di Firenze 56.44 LUNCH MEETING Government Finance Officers 345.00 BAP SUBMISSION FEE Calif Water Environ Assn (CWEA)192.00 CWEA MEMBERSHIP RENEWAL - MURILLO, C PowerTherm Maxim 425.00 STATIONARY ENGINE PARTS Home Depot 102.05 CEMENT FOR REPAIRS AT HIGHLAND Government Tax Seminar, LLC 410.00 GOVERNMENT TAX SEMINAR WEBINAR - 5 ATTEND Home Depot 90.76 PRODUCTION HARDWARE SUPPLIES Orvac Electronics 16.11 POWER SUPPLY FOR RICHFIELD GATE American Fleet Service Solutions 1,328.37 REPAIRS FOR UNIT #230 Home Depot 376.17 FACILITIES ELECTRICAL & HARDWARE SUPPLIES Home Depot 216.41 FLOOD LIGHT FOR FACILITIES SSL Guru 89.00 FIREWALL CERTIFICATE BLICK ART MATERIAL 68.30 OFFICE SUPPLIES Joaquin's Mexican Restaurant 42.60 LUNCH MEETING JRTT AUTO SERVICE 300.00 DIAGNOSTICS FOR UNIT #180 Discount Tire Centers (Andonian Enterprises Inc.)80.00 TIRE ALIGNMENT UNIT #155 Schorr Metals, Inc.29.56 PARTS FOR WELL #15 FENCE PowerTherm Maxim 41.46 STATIONARY ENGINE PARTS FREIGHT CHARGE Schorr Metals, Inc.34.55 STEEL FOR MECHANIC SHOP Americoat Powder Coating 204.00 SANDBLASTING PARTS Home Depot 113.08 FACILITIES ELECTRICAL SUPPLIES & TOOLS Del Taco 44.52 FOOD FOR STAFF WORKING OT IN-N-OUT RESTAURANTS 22.09 FOOD FOR STAFF WORKING OT Time Warner Cable 221.94 INTERNET & DISTRICT TV SERVICES Time Warner Cable 2,035.25 INTERNET & DISTRICT TV SERVICES Yorba Linda Chamber 20.00 YORBA LINDA CHAMBER EVENT REGISTRATION Schorr Metals, Inc.19.58 PARTS FOR WELL #15 FENCE Home Depot 136.84 FLOOD LIGHTS FOR OPERATIONS Institute of Certified Record Managers 200.00 MEMBERSHIP RENEWAL FEE - ARAMBARRI, T Nexa Receptionists, LLC 483.52 AFTER HOURS PHONE SERVICE Amazon Capital Services 53.69 RECORDS OFFICE SUPPLIES Harbor Freight Tools 74.23 TOOLS FOR UNIT #235 ACWA-Assn Of Ca Water Agencies 385.00 ACWA VIRTUAL CONFERENCE REGISTRATION -MARTIN, A Amazon Capital Services 26.42 CERTIFICATE FRAMES Alea Cafe 64.59 TRAINING CLASS SUPPLIES 31,414.61 Page 42 of 108 ITEM NO. 9.5. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kelly McCann, Senior Accountant SUBJECT:Budget to Actual Reports for the Month Ending October 31, 2021 RECOMMENDATION: That the Board of Directors receive and file the Budget to Actual Reports for the Month Ending October 31, 2021. BACKGROUND: For the month ending October 31, 2021, 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 for the month ending October 31, 2021, reflects an average decrease of 5.66% as compared to the prior year for the same reporting period. Landscape/irrigation customer connections had the highest decrease in consumption sales of 8.25% as compared to reported results from the prior year. Total Variable Costs results, as reported through the month ending October 31, 2021, reflect a 53.75% increase when compared to prior year for the same reporting period. The increase in costs is predominantly reflective of the increase in import water purchases. STRATEGIC PLAN INITIATIVES: G2 3B – Regularly assess net position and steps to meet strategic goals. ATTACHMENTS: 1.Financial Reports and Graphs for October 2021 Page 43 of 108 FY22 Annual Budget YTD Actuals thru October 2021 YTD % of Budget Water Revenue (Residential)15,834,595$ 6,349,264$ 40.10% Water Revenue (Commercial & Fire Det.)1,555,486 627,923 40.37% Water Revenue (Landscape/Irrigation)3,782,756 1,758,294 46.48% Service Charges 13,412,193 4,347,981 32.42% PFAS Impact Fee 894,116 592,762 66.30% Other Operating Revenue 771,723 305,232 39.55% Total Operating Revenue 36,250,869 13,981,456 38.57% Revenue (Non-Operating): Interest 240,000 23,852 9.94% Property Taxes 2,025,000 44,324 2.19% Property Taxes - CFC Charges 2,985,028 391,298 13.11% Other Non-Operating Revenue 591,046 131,147 22.19% Total Non-Operating Revenue 5,841,074 590,621 10.11% Total Revenue 42,091,943$ 14,572,077$ 34.62% Expenses (Operating): Variable Water Costs (G.W., Import & Power) Water-Related Costs 18,147,954$ 8,537,952$ 47.05% Fixed Costs 1,426,078 323,611 22.69% Power-Related Costs 1,755,798 159,811 9.10% Variable Water Costs Related Expenses Total 21,329,830 9,021,374 42.29% Salary Related Expenses 10,467,250 3,096,205 29.58% Reduction for Capital Project Labor (344,250) (111,460) 32.38% Salary Related Expenses Total 10,123,000 2,984,745 29.48% Supplies & Services Communications 139,402 36,929 26.49% Contractual Services 584,405 161,510 27.64% Data Processing 303,500 49,579 16.34% Dues & Memberships 82,295 53,611 65.14% Fees & Permits 339,889 98,079 28.86% Board Election - - 0.00% Insurance 263,500 85,600 32.49% Materials 702,120 232,457 33.11% District Activities, Emp Recognition 45,026 8,803 19.55% Maintenance 768,630 283,776 36.92% Non-Capital Equipment 128,208 29,928 23.34% Office Expense 37,821 11,317 29.92% Professional Services 1,510,723 255,890 16.94% Training 61,277 6,929 11.31% Travel & Conferences 79,511 2,727 3.43% Uncollectible Accounts 8,330 1,954 23.46% Utilities 169,150 51,587 30.50% Vehicle Expenses 302,770 77,783 25.69% Supplies & Services Sub-Total 5,526,557 1,448,459 26.21% Total Operating Expenses 36,979,387 13,454,578 36.38% Expenses (Non-Operating) Other Expense 7,665 10,941 142.74% Total Non-Operating Expenses 7,665 10,941 142.74% Total Expenses 36,987,052$ 13,465,519$ 36.41% Net Revenues 5,104,891 1,106,559 21.68% Less: Debt Service (Principal & Interest)2,728,919 2,040,016 74.76% Transfer to/(from) Reserves 2,375,972 (933,457) -39.29% Net Total -$ (0)$ Yorba Linda Water District Water Enterprise FY21 ProForma - Use of Funds October 2021 Page 44 of 108 Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending October 31, 2021 Annual YTD Oct YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual Budget Budget Actual Actual (Under) Over Oct Actual Actual (thru vs vs FY22 FY22 FY22 FY22 YTD Budget FY21 Oct 2020)PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)$15,834,595 $6,494,616 $1,411,616 6,349,264$ (145,352)$ $1,566,435 $6,664,181 (314,917)-4.73% Water Revenue (Commercial & Fire Det.)1,555,486 657,193 142,802 627,923 (29,270)154,090 654,023 (26,100)-3.99% Water Revenue (Landscape/Irrigation)3,782,756 1,598,214 382,364 1,758,294 160,080 422,828 1,916,435 (158,141)-8.25% Water Revenue (Service Charge)13,412,193 4,385,731 1,124,810 4,347,981 (37,750)970,101 3,787,512 560,469 14.80% Water Revenue (PFAS Impact Fee)894,116 596,077 148,148 592,762 (3,315) - - 592,762 100.00% Sewer Charge Revenue 2,844,118 948,039 238,904 949,181 1,142 206,158 813,409 135,772 16.69% Locke Ranch Assessments 331,878 - 106 3,221 3,221 236 393 2,828 719.59% Other Operating Revenue 812,526 288,484 101,192 373,766 85,282 66,305 288,700 85,066 29.47% Total Operating Revenue:39,467,668 14,968,354 3,549,942 15,002,392 34,038 3,386,153 14,124,653 877,739 6.21% Revenue (Non-Operating): Interest 308,000 73,167 24,023 36,351 (36,816)69,841 103,816 (67,465)-64.99% Property Tax 2,025,000 - 5,413 44,324 44,324 4,640 37,751 6,573 17.41% Property Taxes - CFC Charges 2,985,028 395,516 391,298 391,298 (4,218) - - 391,298 100.00% Other Non-Operating Revenue 601,446 200,482 21,331 162,034 (38,448)28,682 219,921 (57,887)-26.32% Total Non-Operating Revenue:5,919,474 669,165 442,065 634,007 (35,158)103,163 361,488 272,519 75.39% Total Revenue 45,387,142 15,637,519 3,992,007 15,636,399 (1,120)3,489,316 14,486,141 1,150,258 7.94% Expenses (Operating): Variable Water Costs (G.W., Import & Power)21,329,830 9,011,853 1,929,318 9,021,374 9,521 1,392,832 5,867,516 3,153,858 53.75% Salary Related Expenses 12,050,996 3,600,309 878,405 3,488,357 (111,952)1,077,756 3,243,963 244,394 7.53% Supplies & Services 6,506,608 1,783,370 514,058 1,697,961 (85,409)478,776 1,625,995 71,966 4.43% Total Operating Expenses 39,887,434 14,395,532 3,321,781 14,207,692 (187,840)2,949,364 10,737,474 3,470,218 32.32% Expenses (Non-Operating): Interest on Long Term Debt 1,286,985 428,995 101,395 421,187 (7,809) 106,714 441,238 (20,052) -4.54% Other Expense 13,365 3,980 (7,926) 93,762 89,782 (21,835) (23,742)117,504 -494.92% Total Non-Operating Expenses:1,300,350 432,975 93,469 514,949 81,974 84,879 417,496 97,453 23.34% Total Expenses 41,187,784 14,828,507 3,415,250 14,722,641 (105,867)3,034,243 11,154,970 3,567,671 31.98% Net Position Before Capital Contributions 4,199,358 809,012 576,757 913,758 104,747 455,073 3,331,171 (2,417,413) -72.57% Capital Contributions (Non-Cash - - - 8,966 8,966 - 3,560 5,406 Transaction GASB 34 Compliant) Net Position Before Depreciation 4,199,358 809,012 576,757 922,724 113,713 455,073 3,334,731 (2,412,007)-72.33% Depreciation & Amortization 8,115,685 2,705,229 730,804 2,923,216 217,987 642,522 2,570,088 353,128 13.74% Total Net Position ($3,916,327)($1,896,217)(154,047) (2,000,492) ($104,275)($187,449)$764,643 ($2,765,135)-361.62% (405,000) (135,000) (28,953)(137,961) (137,961) (37,161)(107,035)(30,926) 28.89% (With September 30, 2020 for comparison purposes) Page 45 of 108 Annual YTD Oct YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Oct Actual Actual (thru vs vs FY22 FY22 FY22 FY22 YTD Budget FY21 Oct 2020) PY Actual $PY Actual % Revenue (Operating): Water Revenue (Residential)15,834,595$ $6,494,616 1,411,616$ 6,349,264$ (145,352)$ 1,566,435$ 6,664,181$ (314,917)$ -4.73% Water Revenue (Commercial & Fire Det.)1,555,486 657,193 142,802 627,923 (29,270) 154,090 654,023 (26,100) -3.99% Water Revenue (Landscape/Irrigation)3,782,756 1,598,214 382,364 1,758,294 160,080 422,828 1,916,435 (158,141) -8.25% Water Revenue (Service Charge)13,412,193 4,385,731 1,124,810 4,347,981 (37,750) 970,101 3,787,512 560,469 14.80% Water Revenue (PFAS Impact Fee)894,116 596,077 148,148 592,762 (3,315) - - 592,762 0.00% Other Operating Revenue 771,723 274,883 73,699 305,232 30,349 64,916 256,833 48,399 18.84% Total Operating Revenue:36,250,869 14,006,715 3,283,439 13,981,456 (25,259) 3,178,370 13,278,984 702,472 5.29% Revenue (Non-Operating): Interest 240,000 50,500 19,060 23,852 (26,648) 58,834 82,184 (58,332) -70.98% Property Tax 2,025,000 - 5,412 44,324 44,324 4,640 37,751 6,573 17.41% Property Taxes - CFC Charges 2,985,028 395,516 391,298 391,298 (4,218) - - 391,298 100.00% Other Non-Operating Revenue 591,046 197,015 5,244 131,147 (65,868) 31,063 220,606 (89,459) -40.55% Total Non-Operating Revenue:5,841,074 643,032 421,014 590,621 (52,410) 94,537 340,541 250,080 73.44% Total Revenue 42,091,943 14,649,747 3,704,453 14,572,077 (77,670) 3,272,907 13,619,525 952,552 6.99% Expenses (Operating): Variable Water Costs (G.W., Import & Power)21,329,830 9,011,853 1,929,318 9,021,374 9,521 1,392,832 5,867,516 3,153,858 53.75% Salary Related Expenses 10,123,000 3,058,469 745,477 2,984,745 (73,724) 977,221 2,936,650 48,095 1.64% Supplies & Services: Communications 139,402 46,467 5,958 36,929 (9,538) 35,107 57,689 (20,760) -35.99% Contractual Services 584,405 167,302 50,989 161,510 (5,792) 52,241 145,756 15,754 10.81% Data Processing 303,500 64,167 16,229 49,579 (14,588) 9,515 108,405 (58,826) -54.27% Dues & Memberships 82,295 27,432 34,412 53,611 26,179 37,689 49,006 4,605 9.40% Fees & Permits 339,889 103,796 23,329 98,079 (5,717) 19,716 91,972 6,107 6.64% Insurance 263,500 87,833 21,625 85,600 (2,233) 20,213 92,749 (7,149) -7.71% Materials 702,120 234,040 63,831 232,457 (1,583) 32,531 219,129 13,328 6.08% District Activities, Emp Recognition 45,026 15,009 4,627 8,803 (6,206) 3,106 7,142 1,661 23.26% Maintenance 768,630 256,210 124,371 283,776 27,566 40,574 107,419 176,357 164.18% Non-Capital Equipment 128,208 32,736 5,213 29,928 (2,808) 10,060 47,447 (17,519) -36.92% Office Expense 37,821 12,607 4,358 11,317 (1,290) 3,326 9,549 1,768 18.52% Professional Services 1,510,723 288,574 42,187 255,890 (32,684) 64,402 209,745 46,145 22.00% Training 61,277 20,426 4,762 6,929 (13,497) 973 11,718 (4,789) -40.87% Travel & Conferences 79,511 6,504 680 2,727 (3,777) (187) (691) 3,418 0.00% Uncollectible Accounts 8,330 2,777 1,081 1,954 (823) (257) 2,177 (223) -10.24% Utilities 169,150 56,383 11,044 51,587 (4,796) 21,264 104,687 (53,100) -50.72% Vehicle Equipment 302,770 90,423 21,853 77,783 (12,641) 81,784 211,862 (134,079) -63.29% Supplies & Services Sub-Total 5,526,557 1,512,686 436,549 1,448,459 (64,227) 432,057 1,475,761 (27,302) -1.85% Total Operating Expenses 36,979,387 13,583,008 3,111,344 13,454,578 (128,430) 2,802,110 10,279,927 3,174,651 30.88% Expenses (Non-Operating): Interest on Long Term Debt 1,286,985 428,995 101,395 421,187 (7,808) 106,714 441,238 (20,051) -4.54% Other Expense 7,665 2,555 (13,647) 10,941 8,386 (27,489) (29,397) 40,338 -137.22% Total Non-Operating Expenses:1,294,650 431,550 87,748 432,128 578 79,225 411,841 20,287 4.93% Total Expenses 38,274,037 14,014,558 3,199,092 13,886,706 (127,852) 2,881,335 10,691,768 3,194,938 29.88% Net Position Before Capital Contributions 3,817,906 635,189 505,361 685,371 50,182 391,572 2,927,757 (2,242,386) -76.59% Capital Contributions (Non-Cash Transaction -- - - 8,966 8,966 - - 8,966 - GASB 34 Compliant) Net Position Before Depreciation 3,817,906 635,189 505,361 694,337 59,148 391,572 2,927,757 (2,233,420) -76.28% Depreciation & Amortization 6,590,000 2,196,667 606,903 2,427,612 230,945 520,406 2,081,624 345,988 16.62% Total Net Position (2,772,094)$ (1,561,478)$ (101,542)$ (1,733,275) (171,797)$ (128,834)$ 846,133$ (2,579,408)$ -304.85% Capital - Direct Labor (344,250) (114,750)(22,804) (111,460) 3,290 (33,453) (98,081) (13,379) 13.64% Yorba Linda Water District Water Fund For Period Ending October 31, 2021 (With October 31, 2020 for comparison purposes) Page 46 of 108 $9,978,933 $12,069,885 $12,482,026 $13,063,541 $13,723,114 $13,619,525 $14,572,077 $8,377,456 $9,834,419 $9,701,451 $10,555,199 $10,851,943 $10,691,768 $13,886,706 $- $2,000,000 $4,000,000 $6,000,000 $8,000,000 $10,000,000 $12,000,000 $14,000,000 $16,000,000 Oct. 2015 Oct. 2016 Oct. 2017 Oct. 2018 Oct. 2019 Oct. 2020 Oct. 2021 Water Revenues & Expenses -October (excludes Depreciation, Special Items, and Contributed Capital ) Total Revenue Total Expenses Page 47 of 108 Annual YTD Oct YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Oct Actual Actual (thru vs vs FY22 FY22 FY22 FY22 YTD Budget FY21 Oct 2020)PY Actual $PY Actual % Revenue (Operating): Sewer Charge Revenue $2,844,118 $948,039 $238,904 949,181$ $1,142 $206,158 $813,409 $135,772 16.69% Locke Ranch Assessments 331,878 - 106 3,221 3,221 236 393 2,828 0.00% Other Operating Revenue 40,803 13,601 27,492 68,534 54,933 1,390 31,867 36,667 115.06% Total Operating Revenue:3,216,799 961,640 266,502 1,020,936 59,296 207,784 845,669 175,267 20.73% Revenue (Non-Operating): Interest 68,000 22,667 4,964 12,499 (10,168)11,006 21,631 (9,132)-42.22% Other Non-Operating Revenue 10,400 3,467 16,087 30,887 27,420 (2,381) (684) 31,571 -4615.64% Total Non-Operating Revenue:78,400 26,133 21,051 43,386 17,253 8,625 20,947 22,439 107.13% Total Revenue 3,295,199 987,774 287,553 1,064,322$ 76,548 216,409 866,616 197,706 22.81% Expenses (Operating): Salary Related Expenses 1,927,996 541,840 132,928 503,611 (38,229)100,535 307,312 196,299 63.88% Supplies & Services: Communications 24,600 8,200 1,051 8,337 137 2,642 4,342 3,995 92.01% Contractual Services 87,335 29,112 6,899 23,401 (5,711)3,539 9,328 14,073 150.87% Data Processing 46,500 15,500 2,864 9,049 (6,451)716 7,907 1,142 14.44% Dues & Memberships 14,504 4,835 6,073 9,461 4,626 2,837 3,689 5,772 156.47% Fees & Permits 47,951 15,984 (863) 8,721 (7,263)1,514 2,994 5,727 191.28% Insurance 46,500 15,500 3,816 15,106 (394)1,521 6,981 8,125 116.39% Materials 73,030 11,843 1,093 8,515 (3,328)4,697 6,052 2,463 40.70% District Activities, Emp Recognition 7,946 2,649 816 1,547 (1,102)234 538 1,009 187.55% Maintenance 229,770 58,090 32,659 61,613 3,523 4,650 30,975 30,638 0.00% Non-Capital Equipment 63,742 13,747 1,414 8,733 (5,014)584 7,336 1,397 19.04% Office Expense 6,674 2,225 769 1,997 (228)250 707 1,290 182.46% Professional Services 159,417 53,139 10,306 64,481 11,342 5,497 27,162 37,319 137.39% Training 16,748 5,583 3,852 4,360 (1,223)43 1,004 3,356 334.26% Travel & Conferences 16,084 5,361 120 (420) (5,781)(14) (30) (390)0.00% Uncollectible Accounts 1,470 490 321 614 124 (56) 444 170 38.29% Utilities 29,850 9,950 1,949 9,104 (846)1,600 7,880 1,224 15.53% Vehicle Equipment 107,930 18,477 4,371 14,885 (3,592)16,465 32,925 (18,040)-54.79% Supplies & Services Sub-Total 980,051 270,684 77,510 249,504 (21,180) 46,719 150,234 99,270 66.08% Total Operating Expenses 2,908,047 812,524 210,438 753,115 (59,409) 147,254 457,546 295,569 64.60% Expenses (Non-Operating): Interest Expense - - - - - - - - - Other Expense 5,700 1,425 5,721 82,820 81,395 5,655 5,655 77,165 - Total Non-Operating Expenses:5,700 1,425 5,721 82,820 81,395 5,655 5,655 77,165 - Total Expenses 2,913,747 813,949 216,159 835,935 21,986 152,909 463,201 372,734 80.47% Net Position Before Capital Contributions 381,452 173,825 71,394 228,387 54,562 63,500 403,415 (175,028) -43.39% Capital Contributions (Non-Cash Transaction -- - - - - - 3,560 (3,560) 3,560 GASB 34 Compliant) Net Position Before Depreciation 381,452 173,825 71,394 228,387 54,562 63,500 406,975 (178,588) -43.88% Depreciation & Amortization 1,525,685 508,562 123,901 495,604 (12,958)122,116 488,464 7,140 1.46% Total Net Position (1,144,233) (334,737) (52,507) (267,217) 67,520 (58,616) (81,489) (185,728) -227.92% Capital - Direct Labor (60,750)(20,250) (6,150) (26,501)(6,251) (3,708) (8,955) (17,546)195.94% Yorba Linda Water District Sewer Fund For Period Ending October 31, 2021 (With October 31, 2020 for comparison purposes) Page 48 of 108 $565,329 $731,350 $723,385 $827,216 $896,191 $866,616 $1,064,322 $392,825 $409,146 $452,824 $367,162 $440,871 $463,201 $835,935 $- $200,000 $400,000 $600,000 $800,000 $1,000,000 $1,200,000 Oct. 2015 Oct. 2016 Oct. 2017 Oct. 2018 Oct. 2019 Oct. 2020 Oct. 2021 Sewer Revenues & Expenses -October (excludes Depreciation, Special Items, and Contributed Capital) Total Revenue Total Expenses Page 49 of 108 1,460,113 1,505,340 1,358,893 1,340,186 1,143,948 1,518,953 939,601 1,019,271 788,116 1,200,582 1,311,137 1,370,194 1,671,801 1,729,514 1,512,043 1,307,477 981,384 1,019,234 657,883 460,667 590,007 945,974 1,132,782 1,305,692 1,660,561 1,492,928 1,435,706 1,361,053 1,100,471 1,058,481 772,447 1,367,226 1,231,436 1,286,293 2,065,064 2,084,721 1,469,440 1,556,303 1,448,941 1,392,832 1,103,786 1,636,877 915,454 1,372,040 1,494,768 1,898,999 2,093,627 2,249,247 2,412,958 2,439,092 2,240,006 1,929,318 0 500,000 1,000,000 1,500,000 2,000,000 2,500,000 3,000,000 Jul Aug Sept Oct Nov Dec Jan Feb Mar April May June Variable Costs Analysis FY18 Var Costs FY19 Var Costs FY20 Var Costs FY21 Var Costs FY22 Var Costs Page 50 of 108 ITEM NO. 9.6. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Delia Lugo, Finance Manager Kelly McCann, Senior Accountant SUBJECT:Cash and Investment Report for the Period Ending October 31, 2021 RECOMMENDATION: That the Board of Directors receive and file the Cash and Investment Report for the Period Ending October 31, 2021. BACKGROUND: Government Code Section 530607, et. seq., requires the person delegated to invest funds to make a monthly report of investments to the legislative body. The Cash and Investment Portfolio Report presents the market value and percent yield for all District investments by institution. The Cash and 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 by 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 five years. The average portfolio yield for the month ending October 31, 2021, is .28%. The District's Total Cash and Investment balance as of October 31, 2021, resulted in an overall decrease in the investment balance from the previous month is approximately $271,804. A larger balance includes a decrease in the Water Operating Fund of $332,943 due to the negative net effect between operating revenues and expenses through the reporting month of the fiscal year. Sewer Operating Fund had an increase of $10,186 due to the positive net effect between operating revenues and expenses through the reporting month of the fiscal year. The PARS fund increased by $43,498 due to an increase in the value of investments. STRATEGIC PLAN INITIATIVES: Page 51 of 108 G2 4C - Manage cash flow to maximize investment income. ATTACHMENTS: 1.Cash and Investment Reports and Graphs for October 2021 Page 52 of 108 Market %Date of Percent Value Par of Total Institution Maturity Yield Checking Account: 1,133,865$ 866,093$ Wells Fargo Bank 1,133,865$ 866,093$ 3.03%Total 0.00% Money Market Accounts: 1$ 1$ US Bank (Revenue Bonds)0.00% 2,555,100$ 2,555,100 US Bank (Money Market)0.01% 1,723,872$ 1,723,872 Public Agency Retirement Svcs. (PARS) 4,278,973$ 4,278,973$ 11.42%Total 0.01% Certificates of Deposits: 249,196$ 247,000 PrivateBank & Tr Chicago Ill CTF 03/30/22 2.18% 248,413$ 245,000 Capital One Bank USA 06/27/22 2.17% 248,413$ 245,000 Capital One Bank NA 06/27/22 2.17% 248,496$ 245,000 Ally Bank 06/27/22 2.22% 248,496$ 245,000 Sallie Mae Bank 06/27/22 2.22% 248,180$ 245,000 Synchrony 05/17/22 2.42% 248,749$ 245,000 Morgan Stanley Bank NA 06/13/22 2.51% 1,739,942$ 1,717,000$ 4.64%Total 2.27% Pooled Investment Accounts: 30,320,147$ 30,320,147$ Local Agency Investment Fund 0.20% 30,320,147$ 30,320,147$ 80.91%0.20% 37,472,928$ 37,182,213$ 100%Total Investments 0.28% 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. Yorba Linda Water District Cash & Investment Portfolio Report October 31, 2021 ________________________________ Kelly McCann, Senior Accountant 10/31/21 Page 53 of 108 Below is a chart summarizing the yields as well as terms and maturities for the month of October 2021: Average # of Month Portfolio Days to of 2021 Yield Maturity October 0.28%11 Below are charts comparing operating fund interest for current and prior fiscal years. Actual Interest 10/31/2020 10/31/2021 Monthly - October 63,798$ 30,065$ Year-to-Date 94,684$ 45,482$ Budget 2020/2021 2021/2022 Interest Budget, October YTD 235,000$ 102,667$ Interest Budget, Annual 705,000$ 308,000$ 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 $37.4 million which is allocated between the established reserve funds, Wells Fargo Checking Account, and restricted funds held at U.S. Bank for the Bond payment and PARS for the pension/OPEB payments. The number of Days in Cash are 275 for the Un-Restricted Water Reserve balance and 876 for the Un-Restricted Sewer Reserve balances, as of October 31, 2021, which is subject to change with the final audited numbers. FY22 Reserve Cash and Requirements Investments September 2021 % Alloc October 2021 % Alloc "Target Available for Fund Description Balance 9/30/2021 Balance 10/31/2021 Levels"CY Obligations Water Operating Reserve 12,810,694$ 36.40%12,219,254$ 35.30%16,790,090$ (4,570,836)$ Water Emergency Reserve 7,325,550 20.81%7,329,838 21.18%6,915,040 414,798 Water Capital Project Reserve 3,600,444 10.23%3,602,832 10.41%11,861,304 (8,258,473) MWD Contingency Reserve - 0.00%- 0.00%0 0 Rate Stabilization Reserve 4,239,908 12.05%4,241,060 12.25%4,195,582 45,478 Un-Restricted Water Reserve Balance 27,976,596 27,392,983$ 39,762,016 (12,369,033) Conservation Reserve 105,853$ 0.30%105,924$ 0.31%105,769 155 Employee Liability Reserve 309,288 0.88%309,495 0.89%309,040 455 Restricted Reserve Balance 415,141 415,419$ 414,809 610 Sewer Operating Reserve 3,699,645$ 10.51%3,700,555$ 10.69%2,945,513 755,042 Sewer Emergency Reserve 1,965,147 5.58%1,963,732 5.67%1,926,014 37,718 Sewer Capital Project Reserve 1,141,737 3.24%1,142,500 3.30%1,837,000 (694,500) Un-Restricted Sewer Reserve Balance 6,806,528 6,806,787$ 6,708,527 98,260 Total Reserve Balances 35,198,266$ 100.00%34,615,190$ 100.00%46,885,352$ (12,270,162)$ Water Operating 385,422 643,918 Sewer Operating 480,671 489,947 866,093 1,133,865 Rev. Bond 2012A & 2017A-Principal & Interest 0 1 Public Agency Retirement Svc. -PARS (Restricted)1,680,373 1,723,872 Total Cash and Investments 37,744,732$ 37,472,928$ Cash & Investment Summary Report Cash & Investment Summary Comparison Between Current and Previous Month Wells Fargo Bank Checking US Bank Held (Restricted) Page 54 of 108 Checking Account:1,133,865$ 3.03% Money Market Accounts:4,278,973$ 11.42% Certificates of Deposit:1,739,942$ 4.64% Pooled Investment Accounts:30,320,147$ 80.91% Total 37,472,928$ 100.00% Checking Account: 3.03% Money Market Accounts: 11.42% Certificates of Deposit: 4.64% Pooled Investment Accounts: 80.91% INVESTMENT BALANCES (AS OF 10 -31-2021) Checking Account:Money Market Accounts:Certificates of Deposit:Pooled Investment Accounts: Page 55 of 108 Yorba Linda Water District Fair Value Measurement Report October 31, 2021 Quoted Observable Unobservable Prices Inputs Inputs Investments Level 1 Level 2 Level 3 Total Local Agency Investment Fund - 30,320,147 - 30,320,147 Negotiable Certificates of Deposit - 1,739,942 - 1,739,942 Total Investments -$ 32,060,089$ -$ 32,060,089$ Page 56 of 108 Transaction Date Transaction Description Water Operating Pension Water Operating OPEB Sewer Operating Pension Sewer Operating OPEB Account Total Beginning Balance as of 7/1/20 870,961.56 662,095.61 90,207.30 78,236.46 1,701,500.93 7/31/2021 Management Fees (429.46)(326.47)(44.48)(38.57) 1,700,661.95 7/31/2021 Investment Gain/(Loss) 4,178.40 3,176.38 432.77 375.33 1,708,824.83 8/31/2021 Management Fees (433.71)(329.71)(44.92)(38.96) 1,707,977.53 8/31/2021 Investment Gain/(Loss) 10,390.85 7,899.01 1,076.20 933.39 1,728,276.98 9/30/2021 Management Fees (433.75)(329.73)(44.92)(38.96)1,727,429.62 9/30/2021 Investment Gain/(Loss) (24,087.23)(18,310.85)(2,494.76)(2,163.70)1,680,373.08 10/31/2021 Management Fees (434.79)(330.53)(45.03)(39.06) 1,679,523.67 10/31/2021 Investment Gain/(Loss) 22,700.96 17,257.02 2,351.19 2,039.17 1,723,872.01 Account Balance by Account Type 882,412.83 670,800.73 91,393.35 79,265.10 1,723,872.01$ 51.19%38.91%5.30%4.60%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 Distribution to CalPERS (631,392.00)$ - (631,392.00) Total Gain (or Loss) from Inception 268,167.46$ 171,310.60 439,478.06 Total Management Fees from Inception (15,816.28)$ (8,583.77) (24,400.05) Balance as of 8-31-21 = 973,806.18$ 750,065.83$ 1,723,872.01$ PARS (Public Agency Retirement Services) Funding Reconciliation Page 57 of 108 $27,898,706 $26,427,629 $27,189,603 $29,316,491 $28,882,774 $30,511,780 $27,392,983 380 374 371 368 346 336 275 60 110 160 210 260 310 360 410 $20,000 $5,020,000 $10,020,000 $15,020,000 $20,020,000 $25,020,000 $30,020,000 $35,020,000 Oct. 2015 Oct. 2016 Oct. 2017 Oct. 2018 Oct. 2019 Oct. 2020 Oct. 2021 Unrestricted Reserves & Days in Cash (Water) Unrestricted Reserves (Water)Days in Cash (Water) Page 58 of 108 ITEM NO. 9.7. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Rosanne Weston, Engineering Manager Reza Afshar, Senior Engineer Ethan Nakano, Assistant Engineer III SUBJECT:Award of Construction Contract for the BNSF Crossing Water Improvements RECOMMENDATION: That the Board of Directors award the Construction Contract for the BNSF Crossing Water Improvements to Big Ben Engineering Inc. for $1,301,740.00, Job Nos. J-2021-02 and J-2021- 19. SUMMARY: On November 4, 2021, the District solicited bids for construction of the BNSF Crossing Water Improvements. On November 30, 2021, bids were received from four contractors. Staff evaluated the bid documents and rejected one of the contractors that failed to provide all of the required documents. A summary of the bids is shown below. No. Contractor Total Bid Amount 1 Big Ben Engineering, Inc. $1,301,740.00 2 T.E. Roberts, Inc. $1,462,133.20 3 Valverde Construction Inc. $1,604,270.03 4 Cedro Construction Inc. Rejected - Bid Amount Unknown FISCAL IMPACT: Budgeted: No – Initiated as a result of BNSF’s project. Total Budget: N/A Cost Estimate: $1,333,216 Job Nos: J-2020-02 and J-2021-19 BACKGROUND: BNSF notified the District of its intention to modify the railroad tracks in the vicinity of YLWD’s Page 59 of 108 waterlines and required the District to modify the impacted waterlines according to the terms and conditions of the licenses for the waterlines within BNSF right of way. The waterlines are located near the Yorba Linda Blvd overpass on Esperanza Road, within the City of Yorba Linda's boundaries on the north end and the City of Anaheim's boundaries on the south end. The waterline on the east side of the Yorba Linda Blvd overpass is the single feed to the SAVI Ranch area. The District’s on-call consultant, Psomas, prepared the plans to relocate this waterline (Job No. J-2021-02). The waterline on the west side of the said overpass is an interconnection with the City of Anaheim. The City of Anaheim and the District agreed on the abandonment of this waterline. District staff prepared the plans for abandonment of the interconnection (Job No. J-2021-19). PRIOR RELEVANT BOARD ACTION: None. The project was initiated as a result of BNSF’s project. STRATEGIC PLAN INITIATIVES: G1 4B - Address infrastructure needs by updating/implementing the Capital Improvement Plan; G1 6B - Provide a sustainable, adequate water supply by maintaining distribution system and its capability to provide 100% groundwater and/or import water to the entire service area. Page 60 of 108 ITEM NO. 10.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Alison Martin, Public Affairs Manager SUBJECT:Legislative Platform for Calendar Year 2022 RECOMMENDATION: That the Board of Directors approve the proposed legislative platform for calendar year 2022. SUMMARY: Staff and the District's legislative consultants will provide a presentation on the proposed legislative platform for calendar year 2022 that contains the following changes suggested by the Board. Addition to Water Supply Section: Support legislation that encourages, funds, and maintains water recycling systems like the Ground Water Replenishment System that is managed by Orange County Water District. FISCAL IMPACT: None. BACKGROUND: The District works to influence legislation and funding opportunities in Sacramento and Washington, D.C. to promote fiscal stability, preserve local control, and support regulatory streamlining. This document would serve as the guide by which the District actively engages with legislation through monitoring and communications activities. The 2022 YLWD Legislative Platform represents the District’s position on current or future issues that have the potential to impact the District or its interests. The Guiding Principles and Policy Statements will allow District staff and consultants to address 2022 legislative and regulatory issues promptly, without precluding the consideration of additional legislative and budget issues that may arise during the legislative session. Furthermore, the 2022 Legislative Platform is an important advocacy tool to present and deliver to elected officials who represent the YLWD service area locally or in Sacramento and Washington D.C. Sharing policy statements and positions on common legislative and regulatory issues with elected officials helps to shape policy decisions Page 61 of 108 and positions YLWD to be a leader in the community for legislative and regulatory topics. STRATEGIC PLAN INITIATIVES: G1 5A - Meeting with lobbyists, representatives, and regulators at all levels (local/state/federal).; G1 5B - Actively participate with existing water/sewer organizations on regulatory and emerging issues.; G4 2D - Communicate emerging water quality and sewer issues/regulations. ATTACHMENTS: 1.Redline Legislative Platform for 2022 2.Final Legislative Platform for 2022 Page 62 of 108 1 YLWD LEGISLATIVE PLATFORM 2022 Draft Text for Board Discussion Version 1.1Version 1.2 Page 63 of 108 2 PURPOSE This document serves as the guide by which the Yorba Linda Water District (YLWD) actively engages with legislation through monitoring and communications activities. The 2022 YLWD Legislative Platform represents the District’s position on current or future issues that have the potential to impact the District or its interests. Below are the Guiding Principles and Policy Statements that will allow District staff and consultants to address 2022 legislative and regulatory issues promptly, without precluding the consideration of additional legislative and budget issues that may arise during the legislative session. Furthermore, the 2022 Legislative Platform is an important advocacy tool to present and deliver to elected officials who represent the YLWD service area locally or in Sacramento and Washington D.C. Sharing policy statements and positions on common legislative and regulatory issues with elected officials helps to shape policy decisions and positions YLWD to be a leader in the community for legislative and regulatory topics. Page 64 of 108 3 PROCESS Legislative positions will be recommended by YLWD staff and the District’s legislative advocates and submitted to the Board of Directors for their consideration In times where the legislative position of the District is unable to go to the Board of Directors in time before it is acted upon in the Legislature, as long as it is in line with the adopted legislative platform or the position taken is the same as any local agency partners or association agencies including but not limited to the Association of California Water Agencies (ACWA), Metropolitan Water District of Southern California (MWDSC), the Municipal Water District of Orange County (MWDOC), Orange County Water District (OCWD), Orange County Sanitation District (OCSD) the California Special District’s Association (CSDA), Community Water Systems Alliance (CWSA), or the California Association of Sanitation Agencies (CASA), the Board President can sign position letters on behalf of the District. If the Board President takes any legislative position due to this process, the legislative position will still be brought before the next Board of Directors meeting after the fact for discussion and direction. Page 65 of 108 4 GUIDING PRINCIPLES I. PROMOTE FISCAL STABILITY Seek funding opportunities for YLWD projects through grants, appropriations, or other means. Help YLWD access additional funding sources that will promote local reliability projects. Support measures that promote fiscal stability, predictability, financial independence, and preserve the District’s financial independence. Oppose measures that do not provide adequate funding to the District such as unfunded mandates or mandated costs with no guarantee of local reimbursement or offsetting benefits. II. PRESERVE LOCAL CONTROL Preserve and protect the District’s powers, duties, and prerogatives to operate within its service area and to determine the policy direction of local affairs, and oppose legislation that preempts local authority. Local agencies should preserve authority and accountability for revenues raised and services provided, including maintaining the ability to charge for services rendered or collect proportional impact, connection, or capacity fees. III. SUPPORT REGULATORY STREAMLINING Support legislation that aims to streamline the regulatory environment by reducing regulation, reviewing regulation, or proposing regulations without affecting YLWD’s ability to operate safely and effectively. Oppose redundant regulatory processes or procedures that increase costs and add time to projects without justifiable benefits. Page 66 of 108 5 LEGISLATIVE POSITIONS Water Supply  Support legislation that improves the supply and security of water to the Yorba Linda Water District service area, including stormwater capture and dry weather runoff.  Support legislation that aims to increase water recycling, potable reuse, groundwater recharge, above ground storage, and surface water development.  Support legislation that encourages, funds, and maintains water recycling systems like the Ground Water Replenishment System that is managed by Orange County Water District.  Support legislation and policies that provide for a solution to the problems in the Sacramento-San Joaquin River Delta that strikes a balance between agricultural demands and urban water needs.  Support funding opportunities that provide local reliability, conveyance, and storage facilities for YLWD.  Support declaring water desalination as extraordinary supply.  Support desalination projects where the cost provides good value because of the resilience achieved.  Reward districts that can prove their water use is recycled 100%. Water Quality  Oppose legislation or policies that add redundant water testing, water quality, or environmental constraints to YLWD.  Support legislation and funding that helps agencies meet state and federal water quality standards.  Support legislation or regulations that aim to provide source-control measures at no cost to the District to prevent contaminants such as PFAS/PFOA from entering the water supply. Water Use Efficiency  Oppose legislation that establishes water conservation and water use efficiency programs that unreasonably constrain YLWD or its customers.  Oppose measures that fail to recognize augmented or alternative water supplies as an efficient use of water, or that fail to provide an adequate incentive for investments in such water, for potable or non-potable reuse.  Oppose measures that require water efficiency standards or performance measures that are infeasible, not practical, or fail to achieve a positive cost-benefit ratio. Page 67 of 108 6 Environment  Support the goals of National Endangered Species Act Reform Coalition (NESARC).  Support legislation that aims to clarify, streamline, and modernize the California Environmental Quality Act (CEQA).  Support unique solutions and partnerships to collectively address and respond to natural disasters such as wildfires, including the continued use and expansion of Heli-Hydrants and emergency generators.  Support policies and legislation that help fund the cleanup and removal of PFAS/PFOA contaminants from groundwater supplies.  Support polluter-pays principles when assigning responsibility for the contamination and cleanup of environmentally destructive substances.  Support legislation or regulations that discourage the flushing of wipes or other foreign substances through the sewer system, unless they meet certain performance standards.  Oppose assigning superfund liability to water districts who treat water to remove PFAS. Energy  Oppose legislation that increases the cost of electricity or other utilities for YLWD.  Support legislation and policies that recognize hydroelectric power as a clean, renewable energy source and that its generation and use meet the greenhouse gas emission reduction compliance requirements called for in the Global Warming Solutions Act of 2006 (AB 32) and subsequent related legislation.  Monitor and support any legislative development that would provide relief for the use of diesel emergency power generators during State of Emergency events affecting the local electrical utility.  Oppose the removal of natural gas as a viable energy source. Page 68 of 108 7 Fiscal  Support the development of bond or general fund programs for water supply development, including new surface and groundwater storage, water quality, recycled water, desalination, and water use efficiency related programs.  Oppose legislation that places unnecessary or unfair regulations on pension liabilities.  Support an equitable approach to the disbursement of State Revolving Fund revenues for a wide variety of projects.  Oppose legislation and regulations that tax water as a public goods charge and redistributes the revenue throughout the State.  Support state and federal revenue sources for water infrastructure projects that address water quality and reliability issues for disadvantaged and income-limited communities and residents that are not based upon regressive taxes.  Support the protection of local revenue for use by special districts and the maintenance of reserve accounts of water agencies.  Support efforts that seek to bring federal sources of funding to California for water infrastructure development and water management. Local Control  Oppose legislation that seeks to diminish or alter the authority of the Board of Directors to manage the District’s water systems or operations, impose unreasonable unfunded state mandated programs, or increase fees or taxes on YLWD customers.  Oppose legislation that would degrade YLWD’s authority in the area of public contracts, procurement, financial administration, public records, and human resources.  Oppose legislation that would dissolve YLWD or transfer its duties to other agencies.  Oppose legislation that would affect YLWD’s ability to protect and secure critical infrastructure from cyber or physical threats and damages.  Oppose legislation that places mandates, or otherwise modifies the governance structure of special districts, joint powers authorities, or other local government entities.  Support legislation that eliminates regulations between employees and employers that place undue fiscal harm on special districts.  Oppose legislation that mandates additional duties upon special districts to facilitate public meetings or transparency without cause or funding.  Oppose legislation that prevents water agencies from recovering sufficient revenues from connection and capacity fees and oppose legislation that restricts the ability of agencies to charge fees for services.  Support legislation to encourage the consolidation of MWDOC and OCWD. Page 69 of 108 8 Other  Monitor legislation that would change or expand current prevailing wage requirements.  Oppose legislation that creates additional water agencies within or inclusive of the YLWD service area outside of the LAFCO process, or without the support of residents and local public agencies. Page 70 of 108 2022 LEGISLATIVE PLATFORM Page 71 of 108 Page | 1 2022 Legislative Platform CONTENTS Contents ..................................................................................................... 1 Purpose ...................................................................................................... 2 Process ....................................................................................................... 3 Guiding Principles ....................................................................................... 4 Legislative Positions ................................................................................... 5 Water Supply ........................................................................................... 5 Water Quality ........................................................................................... 5 Water Use Efficiency ............................................................................... 6 Environment ............................................................................................ 6 Energy ..................................................................................................... 7 Fiscal ....................................................................................................... 7 Local Control ........................................................................................... 8 Other ....................................................................................................... 8 Page 72 of 108 Page | 2 2022 Legislative Platform PURPOSE This document serves as the guide by which the Yorba Linda Water District (YLWD) actively engages with legislation through monitoring and communications activities. The 2022 YLWD Legislative Platform represents the District’s position on current or future issues that have the potential to impact the District or its interests. Below are the Guiding Principles and Policy Statements that will allow District staff and consultants to address 2022 legislative and regulatory issues promptly, without precluding the consideration of additional legislative and budget issues that may arise during the legislative session. Furthermore, the 2022 Legislative Platform is an important advocacy tool to present and deliver to elected officials who represent the YLWD service area locally or in Sacramento and Washington D.C. Sharing policy statements and positions on common legislative and regulatory issues with elected officials helps to shape policy decisions and positions YLWD to be a leader in the community for legislative and regulatory topics. Page 73 of 108 Page | 3 2022 Legislative Platform PROCESS Legislative positions will be recommended by YLWD staff and the District’s legislative advocates and submitted to the Board of Directors for their consideration In times where the legislative position of the District is unable to go to the Board of Directors in time before it is acted upon in the Legislature, as long as it is in line with the adopted legislative platform or the position taken is the same as any local agency partners or association agencies including but not limited to the Association of California Water Agencies (ACWA), Metropolitan Water District of Southern California (MWDSC), the Municipal Water District of Orange County (MWDOC), Orange County W ater District (OCWD), Orange County Sanitation District (OCSD) the California Special District’s Association (CSDA), Community Water Systems Alliance (CWSA), or the California Association of Sanitation Agencies (CASA), the Board President can sign position letters on behalf of the District. If the Board President takes any legislative position due to this process, the legislative position will still be brought before the next Board of Directors meeting after the fact for discussion and direction. Page 74 of 108 Page | 4 2022 Legislative Platform GUIDING PRINCIPLES PROMOTE FISCAL STABILITY Seek funding opportunities for YLWD projects through grants, appropriations, or other means. Help YLWD access additional funding sources that will promote local reliability projects. Support measures that promote fiscal stability, predictability, financial independence, and preserve the District’s financial independence. Oppose measures that do not provide adequate funding to the District such as unfunded mandates or mandated costs with no guarantee of local reimbursement or offsetting benefits. PRESERVE LOCAL CONTROL Preserve and protect the District’s powers, duties, and prerogatives to operate within its service area and to determine the policy direction of local affairs, and oppose legislation that preempts local authority. Local agencies should preserve authority and accountability for revenues raised and services provided, including maintaining the ability to charge for services rendered or collect proportional impact, connection, or capacity fees. SUPPORT REGULATORY STREAMLINING Support legislation that aims to streamline the regulatory environment by reducing regulation, reviewing regulation, or proposing regulations without affecting YLWD’s ability to operate safely and effectively. Oppose redundant regulatory processes or procedures that increase costs and add time to projects without justifiable benefits Page 75 of 108 Page | 5 2022 Legislative Platform LEGISLATIVE POSITIONS WATER SUPPLY • Support legislation that improves the supply and security of water to the Yorba Linda Water District service area, including stormwater capture and dry weather runoff. • Support legislation that aims to increase water recycling, potable reuse, groundwater recharge, above ground storage, and surface water development. • Support legislation that encourages, funds, and maintains water recycling systems like the Ground Water Replenishment System that is managed by Orange County Water District. • Support legislation and policies that provide for a solution to the problems in the Sacramento-San Joaquin River Delta that strikes a balance between agricultural demands and urban water needs. • Support funding opportunities that provide local reliability, conveyance, and storage facilities for YLWD. • Support declaring water desalination as extraordinary supply. • Support desalination projects where the cost provides good value because of the resilience achieved. • Reward districts that can prove their water use is recycled 100%. WATER QUALITY • Oppose legislation or policies that add redundant water testing, water quality, or environmental constraints to YLWD. • Support legislation and funding that helps agencies meet state and federal water quality standards. • Support legislation or regulations that aim to provide source-control measures at no cost to the District to prevent contaminants such as PFAS/PFOA from entering the water supply. Page 76 of 108 Page | 6 2022 Legislative Platform LEGISLATIVE POSITIONS WATER USE EFFICIENCY • Oppose legislation that establishes water conservation and water use efficiency programs that unreasonably constrain YLWD or its customers. • Oppose measures that fail to recognize augmented or alternative water supplies as an efficient use of water, or that fail to provide an adequate incentive for investments in such water, for potable or non-potable reuse. • Oppose measures that require water efficiency standards or performance measures that are infeasible, not practical, or fail to achieve a positive cost-benefit ratio. ENVIRONMENT • Support the goals of National Endangered Species Act Reform Coalition (NESARC). • Support legislation that aims to clarify, streamline, and modernize the California Environmental Quality Act (CEQA). • Support unique solutions and partnerships to collectively address and respond to natural disasters such as wildfires, including the continued use and expansion of Heli-Hydrants and emergency generators. • Support policies and legislation that help fund the cleanup and removal of PFAS/PFOA contaminants from groundwater supplies. • Support polluter-pays principles when assigning responsibility for the contamination and cleanup of environmentally destructive substances. • Support legislation or regulations that discourage the flushing of wipes or other foreign substances through the sewer system, unless they meet certain performance standards. • Oppose assigning superfund liability to water districts who treat water to remove PFAS. Page 77 of 108 Page | 7 2022 Legislative Platform LEGISLATIVE POSITIONS ENERGY • Oppose legislation that increases the cost of electricity or other utilities for YLWD. • Support legislation and policies that recognize hydroelectric power as a clean, renewable energy source and that its generation and use meet the greenhouse gas emission reduction compliance requirements called for in the Global Warming Solutions Act of 2006 (AB 32) and subsequent related legislation. • Monitor and support any legislative development that would provide relief for the use of diesel emergency power generators during State of Emergency events affecting the local electrical utility. • Oppose the removal of natural gas as a viable energy source. FISCAL • Support the development of bond or general fund programs for water supply development, including new surface and groundwater storage, water quality, recycled water, desalination, and water use efficiency related programs. • Oppose legislation that places unnecessary or unfair regulations on pension liabilities. • Support an equitable approach to the disbursement of State Revolving Fund revenues for a wide variety of projects. • Oppose legislation and regulations that tax water as a public goods charge and redistributes the revenue throughout the State. • Support state and federal revenue sources for water infrastructure projects that address water quality and reliability issues for disadvantaged and income-limited communities and residents that are not based upon regressive taxes. • Support the protection of local revenue for use by special districts and the maintenance of reserve accounts of water agencies. • Support efforts that seek to bring federal sources of funding to California for water infrastructure development and water management. Page 78 of 108 Page | 8 2022 Legislative Platform LEGISLATIVE POSITIONS LOCAL CONTROL • Oppose legislation that seeks to diminish or alter the authority of the Board of Directors to manage the District’s water systems or operations, impose unreasonable unfunded state mandated programs, or increase fees or taxes on YLWD customers. • Oppose legislation that would degrade YLWD’s authority in the area of public contracts, procurement, financial administration, public records, and human resources. • Oppose legislation that would dissolve YLWD or transfer its duties to other agencies. • Oppose legislation that would affect YLWD’s ability to protect and secure critical infrastructure from cyber or physical threats and damages. • Oppose legislation that places mandates, or otherwise modifies the governance structure of special districts, joint powers authorities, or other local government entities. • Support legislation that eliminates regulations between employees and employers that place undue fiscal harm on special districts. • Oppose legislation that mandates additional duties upon special districts to facilitate public meetings or transparency without cause or funding. • Oppose legislation that prevents water agencies from recovering sufficient revenues from connection and capacity fees and oppose legislation that restricts the ability of agencies to charge fees for services. • Support legislation to encourage the consolidation of MWDOC and OCWD. OTHER • Monitor legislation that would change or expand current prevailing wage requirements. • Oppose legislation that creates additional water agencies within or inclusive of the YLWD service area outside of the LAFCO process, or without the support of residents and local public agencies. Page 79 of 108 ITEM NO. 10.2. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Alison Martin, Public Affairs Manager SUBJECT:Support of Federal PFAS Legislation that Protects Ratepayers and Water/Wastewater Agencies RECOMMENDATION: That the Board of Directors adopt Resolution No. 2021-XX supporting Federal PFAS Legislation that protects ratepayers and water/wastewater agencies. BACKGROUND: PFAS are a group of chemicals developed by chemical manufacturers that would otherwise not exist naturally and despite playing no role in releasing PFAS into the environment, cities and water agencies must find ways to remove them from local water supplies. PFAS have been detected in the Orange County Groundwater Basin, managed by Orange County Water District, and are estimated to cost Orange County communities more than $1 billion over 30 years—a cost that will likely increase. Ratepayers are at risk from pending PFAS legislation and associated PFAS costs. The PFAS Action Act of 2021 (H.R. 2467) exposes water agencies that simply receive and treat water supplies with across-the-board liability for PFAS-related cleanups. Since water and wastewater agencies have no responsibility for the presence of PFAS, an explicit exemption from Superfund clean-up liability must be made for them. When setting drinking water standards for PFOA and PFOS, the District can advocate for the USEPA to use a longstanding cost/benefit analysis methodology. Under existing law (Safe Drinking Water Act), the USEPA ensures that public health benefits of new drinking water standards are reasonably balanced with the compliance costs that water system ratepayers will ultimately incur. Eliminating this analysis would burden ratepayers of all income levels with astronomical costs to comply with drinking water standards. ATTACHMENTS: 1.Resolution No. 2021-XX – Supporting Federal PFAS Legislation that Protects Ratepayers and Water/Wastewater Agencies Page 80 of 108 Resolution No. 2021-XX Supporting Federal PFAS Legislation that Protects Ratepayers and Water/Wastewater Agencies 1 RESOLUTION NO. 2021-XX RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT SUPPORTING FEDERAL PFAS LEGISLATION THAT PROTECTS RATEPAYERS AND WATER/WASTEWATER AGENCIES WHEREAS,the Yorba Linda Water District (“District”) is a county water district organized and operating pursuant to the provisions of the laws of the State of California (State or California). WHEREAS,PFAS are a group of chemicals developed by chemical manufacturers that would otherwise not exist naturally and despite playing no role in releasing PFAS into the environment, cities and water agencies must find ways to remove them from local water supplies. WHEREAS, PFAS have been detected in the Orange County Groundwater Basin, managed by Orange County Water District, and are estimated to cost Orange County communities more than $1 billion over 30 years—a cost that will likely increase. WHEREAS,ratepayers are at risk from pending PFAS legislation and associated PFAS costs, and water agencies and stakeholders must take action to inform members of Congress of these devastating impacts. WHEREAS,all PFAS-related legislation must exempt water and wastewater agencies from any liability for PFAS cleanup costs. WHEREAS,a water utility that complies with applicable and appropriate federal management and treatment standards must not be responsible for current and future costs associated with a PFAS cleanup. WHEREAS,given the potential for federal legislation, such as the PFAS Action Act of 2021 (H.R. 2467), to expose water agencies that simply receive and treat water supplies with across-the-board liability for PFAS-related cleanups when they have no responsibility for the presence of PFAS, an explicit exemption from Superfund clean-up liability must be made for water and wastewater agencies. WHEREAS,under existing law (Safe Drinking Water Act), the USEPA ensures that public health benefits of new drinking water standards are reasonably balanced with the compliance costs that water system ratepayers will ultimately incur and eliminating this analysis would burden ratepayers of all income levels with astronomical costs to comply with drinking water standards. WHEREAS,when setting drinking water standards for PFOA and PFOS, we advocate for the USEPA to use this longstanding methodology. Page 81 of 108 Resolution No. 2021-XX Supporting Federal PFAS Legislation that Protects Ratepayers and Water/Wastewater Agencies 2 NOW THEREFORE BE IT RESOLVED that the Board of Directors of the Yorba Linda Water District hereby supports these federal PFAS policy principles to protect water/wastewater agencies and their ratepayers; and FURTHERMORE, calls upon the Orange County Congressional Delegation and California Senatorial Delegation to cast votes implementing these public policy positions. PASSED AND ADOPTED this 14th day of December, 2021 by the following called vote: AYES: NOES: ABSTAIN: ABSENT: Phil Hawkins, President Yorba Linda Water District ATTEST: Annie Alexander, Board Secretary Yorba Linda Water District Reviewed as to form by General Counsel: Andrew B. Gagen, Esq. Kidman Gagen Law LLP Page 82 of 108 ITEM NO. 10.3. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Board of Directors' Compensation RECOMMENDATION: That the Board of Directors review the Directors' current compensation rate and discuss if it should remain the same for the next calendar year. FISCAL IMPACT: Budget: $90,000 for FY22 BACKGROUND: In accordance with California Water Code Sections 20201-20202, the amount of compensation for members of the Board of Directors is currently set at $150 per day for each day's attendance at meetings of the Board and other meetings attended at the request of the Board, not to exceed 10 days per calendar month. Section 20202 also allows for an increase in the amount of compensation up to 5% for each calendar year following the operative date of the last adjustment. As the last adjustment was effective March 24, 2003 per Ordinance No. 03-01, the Board of Directors would be eligible for an increase in their current compensation rate up to $360.99 per day as of March 24, 2021. Attached are the results of a draft compensation survey initiated by IRWD for comparison to other local water agencies. Should the Board recommend an increase in the amount of compensation, an ordinance would need to be adopted pursuant to the procedures specified in Water Code Sections 20203-20204 and Government Code Section 6066: A public hearing would need to be held prior to adoption of the ordinance. Notice of the hearing would need to be published in a newspaper of general circulation once a week for two successive weeks prior to the public hearing. The ordinance would become effective 60 days from the date of its final passage. No action is necessary if the Board desires the compensation rate to remain the same. Page 83 of 108 ATTACHMENTS: 1.Draft Annual Orange County Board of Directors Per Diem Survey Page 84 of 108 DRAFT ORANGE COUNTY BOARD OF DIRECTORS PER DIEM SURVEY (as of November 10, 2021) AGENCY Service Connections Combined Operating & Capital Budgets Per Diem Meeting Effective Date Maximum Meetings Per Month El Toro Water District 10,000 $26.1 M $219.00 March 2018 10 Irvine Ranch Water District 235,000 $296.9 M $300.00 January 2020 10 Mesa Water District 26,500 $61 M $320.00 July 2021 10 Moulton Niguel Water District 55,135 $205.3 M $254.65 February 2021 10 Municipal Water of Orange County 642,864 $184.9 M $327.43 January 2020 10 Orange County Water District 403 $366.6 M $315.00 October 2021 10 Santa Margarita Water District 57,633 $78.2 M $270.00 November 2019 10 South Coast Water District 31,638 $82.9 M $255.00 August 2019 10 Yorba Linda Water District 25,350 $52.6 M $150.00 January 2003 10 Page 85 of 108 ITEM NO. 11.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Alison Martin, Public Affairs Manager SUBJECT:Status of Communications Activities SUMMARY: Staff and the District's communications consultants will provide a presentation on communications activities. STRATEGIC PLAN INITIATIVES: G1 5D - Engage public to address issues with their representatives and maintain community partnerships with cities and organizations.; G4 1A - Provide timely communication, messaging, and strategies.; G4 1B - Establish annual tour of District facilities for the community to coincide with Water Awareness Month.; G4 2A - Update District website frequently.; G4 2B - Publish annual report and infographics; include water usage, cost, reconciliation, investments, projects, etc.; G4 2C - Design and include informative bill inserts.; G4 2D - Communicate emerging water quality and sewer issues/regulations. ATTACHMENTS: 1.Presentation 2.Monthly Report Page 86 of 108 11 Status of Communications Activities Presented by: Alison Martin Public Affairs Manager Page 87 of 108 22 Communications Plan Goal Objectives Strategies Page 88 of 108 3 COMMUNICATIONS PLAN COMMUNICATIONS GOAL Increase public awareness about Yorba Linda Water District & water Page 89 of 108 4 COMMUNICATIONS PLAN COMMUNICATIONS OBJECTIVES A.Enhance YLWD’s visibility & positive recognition B.Increase awareness of YLWD & water among key audiences C.Unify YLWD messaging & publications Page 90 of 108 5 COMMUNICATIONS PLAN COMMUNICATIONS STRATEGIES Objective A Enhance YLWD’s visibility & positive recognition Objective B Increase awareness of YLWD & water among key audiences Objective C Unify YLWD messaging & publications Facilitate accolades & awards for YLWD Improve YLWD’s publications & social media Establish analytics for ylwd.com, social media, & email campaigns Manage YLWD’s community & industry relations campaigns Operate YLWD’s water donations programs Leverage water donations for outreach opportunities Strengthen YLWD’s communications consistency by using one look, one voice Provide YLWD Board & staff with key messages & information Page 91 of 108 66 Starting Strong Page 92 of 108 7 SOCIAL MEDIA Social Media Communications Plan •Messaging Goal •Target Audiences •Key Messages Content Approval •2 Months of Content •Delivered 1 month in advance •First 2 months approved Analytics •Studying initial analytic •Optimize posting for each channel Page 93 of 108 8 FOG OUTREACH Updating the FOG Restaurant Outreach Materials Last update was in the early 2000s Spanish language errors identified & to be updated Page 94 of 108 9 FUTURE PLANS YLWD Branding Guide PFAS Water Treatment Plant Dedication Refresh Department Documents & Reports Explore New Ideas Page 95 of 108 1010 Comments & Questions Page 96 of 108 Activity Report TO: Alison Martin, Public Affairs Manager, PIO, Yorba Linda Water District FROM: Diego Terán, Sr. Account Manager, Communications LAB DATE: December 13, 2021 RE: Current communication’s projects Below are highlights of current Communications Lab projects for Yorba Linda Water District: • Social Media The agency submitted a social media calendar for Nov. 15, 2021– Jan 15, 2022. After copy and graphics were approved, the agency programmed asset implementation. Social media includes: Facebook, Instagram and Twitter. o Next steps: The agency will provide detailed reports measuring the impressions of the campaign in January. Calendars for year 2022 are being finalized. • Graphic Design The agency is working on a redesign of a FOG poster (fat, oil and grease,) that includes copy in English and Spanish. The agency edited the Spanish copy, using standard phrases throughout the poster. Additionally, the agency is proposing a different size for the asset. o Next steps: Agency will submit final design to client on Dec. 13. • Video Production The agency is working on a one-minute video on the Wells Fargo Heli-Hydrant. The piece will feature questions and answers to President Phil Hawkins and Cheyne Maule, Battalion Chief, Air Operations Program Manager. The video will describe how the heli- hydrant works and benefits it brings to the district. o Next steps: Agency will identify dates for production. Page 97 of 108 ITEM NO. 11.3. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Board of Directors' Committee, Agency, and Intergovernmental Meeting Assignments RECOMMENDATION: That the Board of Directors consider the currently established committees and determine their continuing relevance, review the available assignments, and provide their preferences to the newly elected President by Tuesday, December 28, 2021 in preparation for the next regular Board meeting on Tuesday, January 11, 2022. FISCAL IMPACT: Total Budget: $90,000 for FY22 BACKGROUND: The budgeted amount listed above includes Directors' compensation for Board, Committee, and intergovernmental meeting attendance at a maximum of $150 per day up to 10 days per calendar month as allowed by statute and established by Ordinance No. 03-01. The attached list has been provided to facilitate the process of identifying Directors' assignment preferences. Two Board members will also need to be assigned to serve as Active and Alternate Directors for the Orange County Sanitation District (OC San). The Active Director may also be assigned to one or more OCSan committees. OC San Board members are compensated by OC San at a rate of $212.50 per day for meeting attendance (up to six meetings a month with the average being two) and receive no health insurance benefits from OC San. OC San's Chair may be compensated for up to ten meetings per month. STRATEGIC PLAN INITIATIVES: G1 5B - Actively participate with existing water/sewer organizations on regulatory and emerging issues.; G1 5C - Regularly meet with regional agencies on water supply issues (conservation, mandates, forecast). Page 98 of 108 ATTACHMENTS: 1.2021 Assignments Page 99 of 108 YORBA LINDA WATER DISTRICT Board of Directors' Committee, Agency and Intergovernmental Meeting Assignments JOINT / INTERAGENCY COMMITTEES 2021 2022 YLWD / MWDOC / OCWD Hawkins Meets as needed. DesRoches YLWD / City of Yorba Linda Hawkins Meets as needed, generally on quarterly basis. Lindsey YLWD / City of Placentia Miller Meets as needed. Lindsey INTERGOVERNMENTAL MEETINGS 2021 2022 MWDOC Board of Directors Miller Meets 1st and 3rd Wednesday of the month at 8:30 a.m. Lindsey http://www.mwdoc.com/ MWDOC/OCWD Joint Planning Miller Meets 4th Wednesday of Jan, Apr, Jul and Oct at 8:30 a.m. DesRoches http://www.mwdoc.com/ OCWD Board of Directors DesRoches Meets 1st and 3rd Wednesday of the Month at 5:30 p.m. Jones http://www.ocwd.com/ OC Sanitation *Jones Meets 4th Wednesday of the month at 6:00 p.m. Hawkins (Alternate) http://www.ocsan.gov/ YL City Council Directors Rotate Attendance Meets 1st and 3rd Tuesday of the month at 6:30 p.m. http://www.ci.yorba-linda.ca.us/ YL Planning Commission Hawkins Meets 2nd and 4th Wednesday of the Month at 6:30 p.m. (As Needed) https://www.yorbalindaca.gov/206/Planning-Commission ISDOC Any Director Meets months with 5th Thursday at 11:30 a.m. When Desired http://isdoc.specialdistrict.org/ ISDOC Executive Committee Any Director Meets 1st Tuesday of the month at 7:30 a.m. When Desired http://isdoc.specialdistrict.org/ WACO Any Director Meets 1st Friday of the month at 7:30 a.m. When Desired http://www.mwdoc.com/waco WACO Planing Committee Any Director Meets 3rd Tuesday of the month at 7:30 a.m. When Desired http://www.mwdoc.com/waco OC LAFCO Any Director Meets 2nd Wednesday of the month at 8:15 a.m. When Desired http://oclafco.org/ Page 100 of 108 YORBA LINDA WATER DISTRICT Board of Directors' Committee, Agency and Intergovernmental Meeting Assignments SAWPA Commission Any Director Meets 1st and 3rd Tuesday of the month at 9:30 a.m. When Desired http://sawpa.org/ OCWA Webinars Any Director Meets 3rd Wednesday of the month at 12:30 p.m. When Desired http://ocwater.org/ ACWA-JPIA ˟Jones Meets semi-annually in May and November. http://www.acwajpia.com/ ˟ Submission of Form 700 for ACWA/JPIA required. * Submission of Form 700 for OC San required. Additional committee participation may be necessary. Page 101 of 108 ITEM NO. 12.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Director's Reports The Directors will report on their attendance at the following events: NOVEMBER MWDOC Board - November 17, 2021 (Miller) OCWA Webinar - November 17, 2021 (Hawins/Miller/Jones) OCWD Board - November 17, 2021 (DesRoches) OCSD Board - November 17, 2021 (Jones) ACWA-JPIA Fall Conference - November 29, 2021 (Jones) ACWA-JPIA Fall Conference - November 30, 2021 (Jones) DECEMBER ACWA Fall Conference - December 1, 2021 (Jones) ACWA Fall Conference - December 2, 2021 (Jones) ISDOC Executive Committee - December 7, 2021 SAWPA Commission - December 7, 2021 YL City Council - December 7, 2021 (Miller) MWDOC Board - December 8, 2021 (Miller) FIRO Webinar - December 8, 2021 (Jones) WACO - December 10, 2021 Page 102 of 108 ITEM NO. 13.2. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Joint Agency Committee with City of Yorba Linda (Hawkins/Lindsey) - Minutes of the meeting held Monday, November 8, 2021, at 4:00 p.m. are included in the agenda packet. Next meeting is scheduled for Monday, January 31, 2022, at 4:00 p.m. ATTACHMENTS: 1.Draft Meeting Minutes Page 103 of 108 YLWD/CC Joint Advisory Committee Minutes November 8, 2021 Page 1 of 3 CITY OF YORBA LINDA Land of Gracious Living YORBA LINDA WATER DISTRICT/ CITY COUNCIL JOINT ADVISORY COMMITTEE MEETING MINUTES November 8, 2021 4:00 p.m. 1. TELECONFERENCE INFORMATION 2.CALL TO ORDER The Yorba Linda Water District/City Council Joint Advisory Committee meeting convened at 4:03 p.m. 3.PLEDGE OF ALLEGIANCE President Phil Hawkins 4.ROLL CALL Committee Members City Council:Beth Haney, Councilwoman Gene Hernandez, Councilman Water District: Phil Hawkins, President Tom Lindsey, Director 5.PUBLIC COMMENTS None 6.ACTION CALENDAR 6.1 Minutes of the YLWD/City Council Joint Advisory Committee meeting held on June 7, 2021. The YLWD/City Council Joint Advisory Committee approved the minutes of the June 7, 2021 meeting. Page 104 of 108 YLWD/CC Joint Advisory Committee Minutes November 8, 2021 Page 2 of 3 7.DISCUSSION ITEMS 7.1 Status of PFAS Water Treatment Plant Engineering Manager Rosanne Weston provided a PowerPoint overview of the PFAS Water Treatment Plant and responded to questions from the Committee. 7.2 Status of Housing Developments (Proposed and In-Progress) Community Development Director David Brantley gave an update on housing developments in the city, including ETCO Homes, Toll Brothers, West Bastanchury, Altrudy and the Cielo Vista project. Mr. Brantley also spoke about the 6th Cycle Housing Element and the Regional Housing Needs Assessment (RHNA) allocation for 2021-2029 of 2,415 units. A discussion ensued among staff and Committee members on Accessory Dwelling Units (ADU) and the RHNA allocation. 7.3 Pending and Recently Chaptered Water Related Legislation Items 7.3 and 7.4 were taken simultaneously. Public Affairs Manager Alison Martin briefly reviewed AB 818 (Bloom) which establishes labeling requirements for non- flushable wipes making it easier for customers to understand which type of wipes can be flushed and, AB 1200 (Ting) which prohibits any person from distributing, selling or offering for sale any food packaging that contains regulated PFAS. 7.4 Statewide Drought Conditions Public Affairs Manager Martin briefly discussed the statewide drought and said the District is encouraging all customers to participate in a voluntary 15% reduction in water use. 7.5 Water/Sewer Facility Repairs on Appaloosa Court Assistant General Manager Doug Davert stated that the Yorba Linda Water District greatly values the partnership with the City and shared a PowerPoint presentation of a recent issue where the agencies worked together to quickly resolve an emergency situation that occurred earlier in the month. He thanked city staff for their quick response and assistance, and said it was a wonderful example of the great team effort between the two agencies. 7.6 Non-Potable Water Rate Item No. 7.6 was continued until the next meeting. 7.7 Compliance with SB 1383 Public Affairs Manager Martin said that SB 1383 deals with organic waste collection and edible food recycling and asked about the City’s compliance plan. Page 105 of 108 YLWD/CC Joint Advisory Committee Minutes November 8, 2021 Page 3 of 3 City Manager Mark Pulone gave an overview of SB 1383 and stated that the city will have an approved organic recycling ordinance by the end of the year. The City will be providing outreach and education to encourage residents to capture food scraps with landscaping waste and is making efforts to implement the new increased fees as economically feasible for residents as possible while allowing the city to fully comply with the new state mandate. Mr. Pulone further stated that the city will be working on amendments to the city’s franchise agreement with Republic Services to align with the requirements of SB 1383. Director of Public Works/City Engineer Jamie Lai said the city is preparing for compliance with the new mandates which will require all businesses, residents and multifamily apartments to have access to recycling programs that manage food scraps and other organic waste materials. She said the city is working closely with other north Orange County cities with the same consultant to negotiate the franchise with the city’s waste hauler. 7.8 Interagency Relations No report was given. 7.9 Future Meeting Date, Agenda Items, and Location The Committee agreed to meet again on Monday, January 31, 2022, at 4:00 p.m. 8.ADJOURNMENT 8.1 Director Phil Hawkins adjourned the meeting at 4:46 p.m. to the next Yorba Linda Water District/City of Yorba Linda Joint Agency Committee meeting on January 31, 2022, at 4:00 p.m. Page 106 of 108 ITEM NO. 14.1. AGENDA REPORT MEETING DATE:December 14, 2021 TO:Board of Directors FROM:Doug Davert, Assistant General Manager STAFF CONTACTS:Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT:Meetings from December 15, 2021 - January 31, 2022 ATTACHMENTS: 1.Board of Directors' Activities Calendar Page 107 of 108 Board of Directors Activity Calendar Event Date Time Attendance By December OCWA Webinar Wed, Dec 15 11:30 AM OCWD Board Wed, Dec 15 5:30 PM DesRoches OCSD Board Wed, Dec 15 6:00 PM Jones YL Planning Commission Wed, Dec 15 6:30 PM Hawkins (As Needed) Internal PFAS WTP Ceremony Mon, Dec 20 11:30 AM DesRoches/Jones/Lindsey WACO Planning Committee Tue, Dec 21 7:30 AM SAWPA Commission Tue, Dec 21 9:30 AM YL City Council Tue, Dec 21 6:30 PM Jones Board of Directors Workshop Meeting - Tentative Tue, Dec 28 8:30 AM YL Planning Commission Wed, Dec 29 6:30 PM Hawkins (As Needed) January ISDOC Executive Committee Tue, Jan 4 7:30 AM SAWPA Commission Tue, Jan 4 9:30 AM YL City Council Tue, Jan 4 6:30 PM TBD MWDOC Board Wed, Jan 5 8:30 AM Miller OCWD Board Wed, Jan 5 5:30 PM DesRoches WACO Fri, Jan 7 7:30 AM Board of Directors Regular Meeting Tue, Jan 11 6:30 PM OC LAFCO Wed, Jan 12 8:15 AM FIRO Webinar Wed, Jan 12 12:00 PM Jones YL Planning Commission Wed, Jan 12 6:30 PM Hawkins (As Needed) WACO Planning Committee Tue, Jan 18 7:30 AM SAWPA Commission Tue, Jan 18 9:30 AM YL City Council Tue, Jan 18 6:30 PM TBD MWDOC Board Wed, Jan 19 8:30 AM Miller OCWA Webinar Wed, Jan 19 11:30 AM OCWD Board Wed, Jan 19 5:30 PM DesRoches Board of Directors Workshop Meeting - Tentative Tue, Jan 25 8:30 AM MWDOC/OCWD Joint Planning Committee Wed, Jan 26 8:30 AM Miller/DesRoches OCSD Board Wed, Jan 26 6:00 PM Jones YL Planning Commission Wed, Jan 26 6:30 PM Hawkins (As Needed) ISDOC Quarterly Meeting Thu, Jan 27 11:30 AM YLWD/City of Yorba Linda Joint Agency Committee Mon, Jan 31 4:00 PM Hawkins/Lindsey As of December 7, 2021 Page 108 of 108 BACKUP MATERIALS DISTRIBUTED LESS THAN 72 HOURS PRIOR TO THE MEETING 11 Legislative Update Presented by: Alison Martin Public Affairs Manager 1 ITEM NO. 7.3. 2 MASK REQUIREMENT California Department of Public Health will require masks to be worn in all indoor public settings irrespective of vaccine status. 12/15/2021 –01/15/2022 2 ITEM NO. 7.3. 3 STATE WATER PROJECT ZERO ALLOCATION Affected Areas: Ventura County Northern Los Angeles County Inland Empire YLWD is encouraging customers to conserve water. 3 ITEM NO. 7.3. 4 STATE WATER RESOURCE CONTROL BOARD EMERGENCY DROUGHT RULES SWRCB will consider prohibiting: Visible runoff of outdoor irrigation Vehicle washing with a running hose Washing hardscapes with potable water Using potable water without recirculation pumps 4 ITEM NO. 7.3. 5 CITY OF YORBA LINDA REORGANIZATION Mayor Carlos Rodriguez Mayor Pro Tem Gene Hernandez 5 ITEM NO. 7.3. 6 CITY OF PLACENTIA REORGANIZATION Mayor Rhonda Shader, District 1 Mayor Pro Tem Chad P. Wanke, District 4 6 ITEM NO. 7.3. 7 CITY OF BREA REORGANIZATION Mayor Cecilia Hupp Mayor Pro Tem Glenn Parker 7 ITEM NO. 7.3. 8 CITY OF ANAHEIM REORGANIZATION Mayor Harry S. Sidhu Mayor Pro Tem TBD Anticipate appointment at Council Meeting on December 20, 2021 8 ITEM NO. 7.3. 9 HELI-HYDRANT FUNDING REQUEST Congress may take up appropriations bills in late January or early February 2022. Continuing Resolution approved December 2, 2021 is set to expire on February 18, 2022. 9 ITEM NO. 7.3. 1010 Comments & Questions 10 ITEM NO. 7.3. Market %Date of Percent Value Par of Total Institution Maturity Yield Checking Account: 1,133,865$ 1,133,865$ Wells Fargo Bank 1,133,865$ 1,133,865$ 3.03%Total 0.00% Money Market Accounts: 1$ 1$ US Bank (Revenue Bonds)0.00% 2,555,100$ 2,555,100 US Bank (Money Market)0.01% 1,723,872$ 1,723,872 Public Agency Retirement Svcs. (PARS) 4,278,973$ 4,278,973$ 11.42%Total 0.01% Certificates of Deposits: 249,196$ 247,000 PrivateBank & Tr Chicago Ill CTF 03/30/22 2.18% 248,413$ 245,000 Capital One Bank USA 06/27/22 2.17% 248,413$ 245,000 Capital One Bank NA 06/27/22 2.17% 248,496$ 245,000 Ally Bank 06/27/22 2.22% 248,496$ 245,000 Sallie Mae Bank 06/27/22 2.22% 248,180$ 245,000 Synchrony 05/17/22 2.42% 248,749$ 245,000 Morgan Stanley Bank NA 06/13/22 2.51% 1,739,942$ 1,717,000$ 4.64%Total 2.27% Pooled Investment Accounts: 30,320,147$ 30,320,147$ Local Agency Investment Fund 0.20% 30,320,147$ 30,320,147$ 80.91%0.20% 37,472,928$ 37,449,985$ 100%Total Investments 0.28% 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. 10/31/21 Yorba Linda Water District Cash & Investment Portfolio Report 10/31/2021 - Revised 12/14/2021 ________________________________ Kelly McCann, Senior Accountant ITEM NO. 9.6 REVISED Board of Directors Regular Meeting Tuesday, December 14, 2021 1 11.2 Status of PFAS Water Treatment Plant Presented by: Rosanne Weston, Engineering Manager John DeCriscio, Operations Manager ITEM NO. 11.2. 2Board of Directors Regular Meeting Tuesday, December 14, 2021 Water Environment Research Foundation (WRF) Grant •“Evaluation of Bench-Scale Methods to Predict Drinking Water PFAS Removal Performance of Ion Exchange and Novel Adsorbents at Pilot-and Full-Scale” •Project Team: OCWD, YLWD, Alameda County WD, Santa Clara Valley WD (SCVWD), Santa Clarita Valley Water Agency (SCVWA), San Jose Water, Water Replenishment District (WRD), Zone 7 Water Agency and Evoqua •Consultants: WQTS (Lead Laboratory Testing) and Jacobs Engineering Group (Technical Advisor) ITEM NO. 11.2. 3Board of Directors Regular Meeting Tuesday, December 14, 2021 Water Environment Research Foundation (WRF) Grant •Validation Study/Determining Media Performance •Recirculating Column Isotherm (RCI) •Rapid-Small Scale Column Testing (RSSCT) •Pilot-Scale Testing •Full-Scale Testing •Total Project Budget -$531,201 •WRF Grant: $100,000 •Labor and Analytical Work (OCWD, WQTS, and Jacobs): $223,201 •Data and Pilot Skids (YLWD, SCVWA, WRD, Evoqua): $88,000 •Cash Co-funding (WRD, SCVWA, San Jose Water, OCWD, Alameda County WA, Zone 7 Water Agency, Evoqua): $120,000 •Project Duration –1.5 years ITEM NO. 11.2. 4Board of Directors Regular Meeting Tuesday, December 14, 2021 PFAS WTP Construction Schedule Description Status Operations, Maintenance, and Monitoring Plan (OMMP)Approved by DDW Bacteriological Sample Siting Plan (BSSP)Approved by DDW Water Treatment Plant Permit Approved by DDW Water Quality Monitoring Plan (WQMP)Under DDW Review Resin Delivery 3 Trains (6 Vessels)Completed Resin Delivery 8 Trains (16 Vessels)TBD Substantial Completion (Serve Water)Early Next Week PFAS WTP Staff Appreciation Luncheon Dec. 20th Project Completion End of Feb. 2022 ITEM NO. 11.2. 5Board of Directors Regular Meeting Tuesday, December 14, 2021 Questions? ITEM NO. 11.2. 11Board of Directors Regular Meeting Tuesday, December 14, 2021 Assistant General Manager’s Report Presented by: Doug Davert Assistant General Manager ITEM NO. 12.2. 22Board of Directors Regular Meeting Tuesday, December 14, 2021 FY 22-23 Budget •Budget process will begin shortly after the New Year •Staff needs a little extra time to prepare •Treatment Plant variables •Validate assumptions or adjust to changes •Continued focus on CIP and Core Functions •OCWD is increasing R.A. beyond our projections (we anticipated $517/AF; projected rate is $540-$550/AF) •Inflationary pressure on all projects will increase costs ITEM NO. 12.2. 33Board of Directors Regular Meeting Tuesday, December 14, 2021 Sunset of PFAS Charge on Customer Bills •Per our commitment to YLWD ratepayers, the PFAS charge will sunset on December 31 st •Result is reduced revenue of approx. $148,000 per month •Revenue loss should be offset by increased groundwater production due to PFAS treatment plant coming online ITEM NO. 12.2. 44Board of Directors Regular Meeting Tuesday, December 14, 2021 Construction Meter Enforcement •Water Rules & Regulations set specific standards for Temporary Construction Meters •We will be sending letters to approximately 10 meter holders •Board may receive calls ITEM NO. 12.2. 55Board of Directors Regular Meeting Tuesday, December 14, 2021 Timber Ridge Booster Pump Station •Finalizing Land Acquisition/Processing Lot Line Adjustment •Project Ready to Bid in January 2022 •Construction to begin March/April 2022 •Completion Spring 2023 •Projected Cost Approx. $5M ITEM NO. 12.2. 66Board of Directors Regular Meeting Tuesday, December 14, 2021 Line of Credit •YLWD will be making a draw on the BofA Line of Credit before the end of December. •We are contractually obligated to make certain draws, but BofA has been very flexible and allowed us to skip some draws. This has resulted in interest savings. •We will be making a draw of $3.1M. •$2,089,972.50 to OCWD for our share of improvements •$1,010,027.50 other capital projects w/ 20+ years life •Keeping 1-Month LIBOR rate for duration of credit line ITEM NO. 12.2. 77Board of Directors Regular Meeting Tuesday, December 14, 2021 Other •Doug & Delia attending a meeting of the StoneKastle HOA on January 25th to discuss CFC •StoneKastle Community Management Inc. received 12 manual invoices for $50,942.16 related to 153 commercial and irrigation meters •Finance will be preparing RFP for new auditor services in January as we do at least every 5 years ITEM NO. 12.2. 88Board of Directors Regular Meeting Tuesday, December 14, 2021 Happy Holidays! All of us at YLWD want to wish our community and ratepayers who are celebrating holidays this month a very Merry and Joyous Holiday Season