HomeMy WebLinkAbout2022-02-22 - Board of Directors Meeting Agenda PacketYorba Linda
Water District
AGENDA
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS WORKSHOP MEETING
Tuesday, February 22, 2022, 5:30 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/m/87010687421
Telephone: (669) 900-6833 or (346) 248-7799
Meeting ID: 870 1068 7421
Live -stream: https://www.ylwd.com/youtube
2. CALL TO ORDER
3. PLEDGE OF ALLEGIANCE
4. ROLL CALL
J. Wayne Miller, PhD, President
Brooke Jones, Vice President
Trudi DesRoches, Director
Phil Hawkins, Director
Tom Lindsey, Director
5. PUBLIC COMMENTS
Any individual wishing to address the Board or Committee is requested to identify themselves and state
the matter on which they wish to comment. If the matter is on the agenda, the Chair will recognize the
individual for their comment when the item is considered. No action will be taken on matters not listed on
the agenda. Comments are limited to three minutes and must be related to matters of public interest
within the jurisdiction of the Water District. (GC 54954.3)
6. 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.
6.1. Hidden Hills Booster Pump Station Upgrade Project
6.2. Mid -Year Financial Review and Year End Projections for Fiscal Year 2021-22
6.3. Capital Improvement Plan Mid -Year Review and Year End Projections for Fiscal
Year 2021-22
6.4. Board of Directors' Goals and Objectives for Fiscal Year 2022-23 Operating
Budget
Page 1 of 67
7. ADJOURNMENT
7.1. The next regular Board meeting is scheduled Tuesday, March 8, 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-
Non-exempt
eetingNon-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 2 of 67
ITEM NO. 6.2.
Yorba Linda
Water District
/_[r]=1►1I7_\V=1161AI
MEETING DATE: February 22, 2022
TO: Board of Directors
FROM: Doug Davert, Assistant General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Paige Appel, Budget Analyst
SUBJECT: Mid -Year Financial Review and Year End Projections for Fiscal
Year 2021-22
Staff will provide the attached presentation during the meeting.
ATTACHMENTS:
1. Presentation
2. Revised Presentation
Page 3 of 67
Yorba Linda
Water District
Z2
Page 4 of 67
Overview
• Summary of FY2021-22 Projections
• Debt Service
• Revenue
• Production
• Variable Costs
• Salary and Related Expenses
• Supplies and Services
• Status of CIP
2/22/2022
Page 5 of 67
Page 6 of 67
Financial Summary
FY21 FY22
Actual Budget
Revenue (Operating) $ 39,250,600 $ 39,467,668
Revenue (Non -Operating) 3,568,724 5,919,474
Total Revenue 42,819,324 45,387,142
Expenses (Operating):
Variable Costs
Salary Related Expenses
Supplies & Services
Expenses (Non -Operating)
Total Expenses
Net Position Before Capital
Contributions & Depreciation
Capital Contributions
Depreciation
Total Net Income (Loss)
2/22/2022
FY22
Projections
$ 38,050,069
5,761,056
43,811,125
Variance $ Budget Variance % Budget
to Projected to Projected
$ (1,417,599) -4%
(158,418) -3
(1,576,017) -3%
18,638,471
21,329,831
20,353,936
(975,895)
-5
10,947,895
12,050,996
12,217,866
166,870
1%
5,459,423
6,506,608
6,507,308
700
0%
2,153,233
1,300,350
1,267,428
(32,922)
-3%
37,199,022
41,187,785
40,346,538
(841,247)
-2%
5,620,302
4,199,357
3,464,587
(734,770) -17%
2,051,988
0
8,966
8,966 0%
7,858,355
8,115,685
8,769,648
653,963 8%
$ (186,065)
$ (3,916,328)
$ (5,296,095)
$ (1,379,767) 35%
4
Page 7 of 67
Page 8 of 67
Debt Service Ratio
FY21 FY22 FY22
Actual Budget Projections
Debt Service $ 2,729,381 $ 2,728,919 $ 2,728,919
Ratio 2.38 1.87 1.48
Per Policv 2.25 2.25 2.25
2/22/2022
11
Page 9 of 67
Page 10 of 67
1,200,000
960,026
Retail Consumption
FY2021-22 Projections by Month
1,000,000 846,381
_ 809,823
800,000
ILL
V 600,000
400,000
200,000
708,099
64,3
L56,114 158,12307
144,835
1/0
445,840 "0
50,257423,588
53,822 117,506
50,926 105,300 50,844 0000,
111,305
44,353 42,913
90,381 88,15
692,310 34 846 33,985 32 921
24,225
164,665 570,475 534,76329,534
514,954
443,612 454,665
369,197 360,079 348,811
276,954
hii
Jul -21 Aug -21 Sep -21 Oct -21 Nov -21 Dec -21 Jan -22 Feb -22 Mar -22 Apr -22 May -22 Jun -22
Residential � Commercial Irrigation --*--Budget
711,278
642,931
830,486
2/22/2022 8
Page 11 of 67
Revenue Analysis
Revenue from Consumption
FY21 Prior Year
Consumption (CCF) 81379,170
Projection to Projection to
FY22 Budgeted FY22 Projection Prior Yr Var % Budgeted Var
7,947,236 7,610,334
Revenue ($) $ 23,247,565 $ 21,172,837 $ 19,526,004
_9% -4
-16% -8%
Variance Explanation
The decrease from prior year is due to no rainfall and the call to for water conservation.
The decrease from budgeted is due to the unforeseen additional rainfall that occurred in the fall of
2021.
All Revenue Summary
Operating Revenue
Projection to Projection to
FY21 Prior Year FY22 Budgeted FY22 Projection Prior Yr Var % Budgeted Var
$ 39,250,600 $ 39,467,668 $ 38,050,070 -3% -4%
Non -Operating Revenue 3,568,724 5,919,474 5,761,055 61% -3%
Total $ 42,819,324 $ 45,387,142 $ 43,811,125 2% -4%
Variance Explanation
The decrease from prior year is due to no rainfall and the call to for water conservation.
The decrease from budgeted is due to the unforeseen additional rainfall that occurred in the fall of
2021.
2/22/2022
Page 12 of 67
Revenue Analysis
18,000,000
-9.9%
16,000,000
14,000,000
12,000,000
10,000,000
8,000,000
6,000,000
Revenue
FY2021-22 Budget to Projections
-0.4%
2/22/2022
-4.6%
S.
4,000,000
15.8%
-68.7%
—
0.0%
1.2
Other Non -
Interest
Property
Property
Operating
Income
2,000,000
Tax - CFC
-0.5%
Revenue
308,000
35.0%
2,985,028
601,446
96,411
2,138,640
2,847,615
■
_°
■
0
WaterWater
Water
Revenue
Sewer
Sewer
Other
Revenue
Revenue
Service
PFAS
Parcel
(Residential)
(Commercial
(Landscape/
Charges
Impact Fee
Charge
Assessments
Operating
&Fire Det.)
Revenue
Revenue
Irrigation)
FY22 Budget
15,834,595
1,555,486
3,782,756
13,412,193
894,116
2,844,118
331,878
812,526
0 2022 Projections
14,270,196
1,536,651
3,741,631
13,352,421
889,401
2,844,129
318,381
1,097,260
2/22/2022
s0
Page 13 of 67
-4.6%
S.
15.8%
-68.7%
—
'
Other Non -
Interest
Property
Property
Operating
Income
Tax
Tax - CFC
Revenue
308,000
2,025,000
2,985,028
601,446
96,411
2,138,640
2,847,615
696,321
s0
Page 13 of 67
Page 14 of 67
2,500.0 2,240.9
2,213.1
2,000.0
U-
Q 1,500.0
v
E
0
1,000.0
500.0
2,046.5
Production Demand
FY2021-22 Projections by Month
1,945.4
1,883.9
Jul -21 Aug -21 Sep -21 Oct -21 Nov -21 Dec -21 Jan -22 Feb -22 Mar -22 Apr -22 May -22 Jun -22
� GW � IMPORT FY22 BUDGET
(AF) (AF)
FY21 PriorYear Actual FY22 Budgeted FY22 Projection
52.5% 31.1% 32.3%
2/22/2022 12
Page 15 of 67
Production Demand
Variance from PriorYear
FY21 Actual FY22 Projection
Ground Water
Import Water
Total
10,741.6
6,257.0
9,728.2
13,119.3
20,469.8
19,376.3
Variance
Variance %
(4,484.6)
-42%
3,391.1
35%
(11093.5)
-5
Variance Explanation
The decrease of 5% from prior year, is do to no rainfall and the call to for water conservation.
Variance from Budgeted
FY22 Budget FY22 Projection Variance Variance %
Ground Water
Import Water
Total
6,267.7
13,563.1
19,830.8
6,257.0
13,119.3
19,376.3
(10.7)
0%
(443.8) -3%
(454.5) -2%'
Variance Explanation
The decrease of 2% from budgeted, is due to the unforeseen additional rainfall that occurred in the
fall of 2021.
2/22/2022
Page 16 of 67
Page 17 of 67
■ Import Wate
Purchases
57%
Variable Costs
FYzozo-zi Actuals
Allocation
MWDOC Fixed
Costs
Groundwater
Purchases
28%
OCWD
■
Annexation
Fee
3%
■ Power Costs
8%
Variable Costs Variance
Variance $ Variance %
Projections to Prior Year $ 1,715,465 9.2%
Projections to Budget $ (975,894) -4.6%
2/22/2022
■ Import Water
Purchases
72%
Variable Costs
FYzozi-ii Projections
% Allocation
MWDOC Fixed
Costs
5%
■ Groundwater
Purchases
15%
■ OCWD
Annexation
Fee
3%
Costs
5%
Variance Explanation
The increase of 9.2% from prior year, is due to the
increase in rates from vendors and the use of
s00% import water July through November.
The decrease of 4.6% from budgeted amounts is
due to the decrease in budgeted demand.
Page 18 of 67
Variable Costs Detail
Groundwater
Purchases
OCWD Annexation
Fee
Power Costs
Import Water
Purchases
MWDOC Fixed Costs
2/22/2022
Py Budget Proiections
$ 5,221,074 $ 3,052,370 $ 3,004,279
521,476
521,476
645,141
1,541,594
1,755,798
1,042,693
10,573,060
15,095,584
14,638,978
781,267
904,602
1,022,844
$ 18,638,471
$ 21,329,830
$ 20,353,936
7
Page 19 of 67
Page 20 of 67
$9,000,000
$8,000,000
$7,000,000
$6,000,000
$5,000,000
$4,000,000
$3,000,000
$2,000,000
$1,000,000
$0
Salary Related Expenses
FY2021-22 Projections Summary
Salaries Mandatory Benefits Fringe Benefits Retiree Benefits
FY22 Projected Water � FY22 Projected Sewer ♦FY22 Budget
Salaries & Related Expenses Detail
2/22/2022
Variance
W.
Page 21 of 67
FY22 Projected
FY22 Projected
FY22 Budget
Water
Sewer
FY22 Projections
Variance ,$
Salaries
$7,982,076
$6,477,350
$1,084,752
$7,562,101
($419,975)
Mandatory Benefits
$2,118,432
$2,181,926
$379,899
$2,561,825
$443,393
Fringe Benefits
$2,355,488
$1,462,572
$259,127
$1,721,699
($633,789)
Retiree Benefits
$0
$316,405
$55,836
$372,241
$372,241
$12,455,996
$10,438,253
$1,779,613
$12,217,866
($238,131)
2/22/2022
Variance
W.
Page 21 of 67
Page 22 of 67
Supplies & Services Summary
Supplies & Services
2/22/2022
DEPARTMENT SPENDING ALLOCATION
SUPPLIES & SERVICES
FY22 PROJECTIONS
FY22 Projected FY22 Projected
FY22 Budget Water Sewer FY22 Projections Variance Variance
$ 6,506,608 $ 5,486,003 $ 1,021,305 $ 6,507,308 $ 700 0%
20
Page 23 of 67
1,800,000
1,600,000
1,400,000
1,200,000
1,000,000
FY22 Budget to Projections
Supplies & Services
58%
-1%
8o0 000 -17%
' 14%
600,000 -8% _g%
_ o
400,000 -14% 7% -34%
200,000 ,. '' ■■ '' -- ',
0
`ci`°ry ey y5`c� Qy t�.��y a�.�e et`a�y Je°��' a�.pe �e'�'�
J.a �
lie,
yQ�°ee c``�et 0Qe `cy�� �a� 0&c `cue° QJ�Q e
o y a
L°
O�
■ 2022 Budget ■ 2022 Projection
-17%
-14%
-6% -42% -54% 16%
e`'
1+deo a�yetJ`` �ek°��e
.pie �e
keyy� �a�0 e\qj `e`, mer.
Quo hypo eta, o`'°\
oke J
Q�
Variance Explanation
Contractual Services —The decrease of 17% is mainly due to, new contracts for both janitorial service &
landscape services that will be postponed till next fiscal year's budget.
Maintenance —The increase of 58% is mainly due to, maintenance work on Gardenia and Lakeview sites, Well
abandonment, increased manhole repairs, increased valve repairs, and increased asphalt repairs.
Professional Services —The decrease of 17% is mainly due to, the amount budgeted for the Water Master Plan
and the Hydraulic Model which will be moved into next fiscal year's budget.
2/22/2022
21
Page 24 of 67
Page 25 of 67
Capital Improvement Projects Detail
Meter Replacement Program
Hidden Hills BPS Upgrades
Timber Ridge BPS Pump Replacement & Property Purchase
Upgrades at Water Treatment Plant Site (PFAS)
Well 22 Equipping
Grandview Ave and Ridge Way Waterline Improvements
BNSF Crossing -Weir Canyon / YL Blvd
Lakeview Reservoir Site Rehabilitation
BNSF Crossing -Veteran's Village and Highland
Field Headquarters Rehabilitation
Resiliency Improvements to District Facilities (AWIA)
Site and Security Upgrades at District Facilities (AWIA)
Well Rehabilitation Project
Lakeview BPS Piping
Fairmont PRS
Well 15 Abandonment
Box Canyon Pump Replacement
Waterline Replacement
PRS Replacements
Santiago BPS Rehab
Well 23 Drilling & Equipping
Elk Mountain BPS Rehab
Total Water CIP $
15 -Year BOD Updated
-oved Budget
1,029,489 $
706,860
3,179,400
2,661,500
1,108, 500
462,000
619,850
254,000
220,000
515,900
1,210,000
1,263,000
825,000
220,000
534,600
80,000
77,000
11,000,000
4,840,000
1,581,800
1,399,300
825,000
34,613,199 $
0%
407,000
FY2021-22
% Project
Remaining
407,000
FY2021-22 BOD
267,942
34%
Lakeview Sewer Extension
Budget
Projected
Completion in
Unexpended Cost
Approved Budget
-52%
Green Crest Lift Station Rehab
550,000
-
Expenses
FY2021-22
as of FYE2021-22
1,029,489
$ 1,029,489 $
1,029,489
100%
1,307,533
706,860
530,092
41%
(777,441)
6,364,780
3,179,400
1,689,780
27%
(4,675,000)
3,664,100
2,661,500
3,664,100
100%
69%
1,928,561
1,108,500
743,561
39%
(1,185,000)
587,585
462,000
587,585
100%
1,269,747
619,850
1,269,747
100%
-
10,000
-
0%
1,876,000
24,000
141,778
8%
(1,734,222)
507,800
107,800
507,800
100%
184,000
220,000
184,000
100%
273,000
273,000
273,000
100%
75,000
165,000
75,000
100%
220,000
220,000
-
0%
(220,000)
-
-
0%
0%
-
-
0%
15,000
15,000
100%
12,000
12,000
100%
-
-
0%
0%
19,314,595 $ 10,787,399 $ 10,722,932 56% (8,591,663)
Main Street Sewer $
407,000
$
407,000
$
407,000
$
267,942
34%
Lakeview Sewer Extension
352,000
534,609
-
534,609
-52%
Green Crest Lift Station Rehab
550,000
-
-
-
100%
Sewer System Rehabilitation and Replacement Project
2,420,000
343,749
440,000
343,749
86%
Total Sewer CIP $
3,729,000
$
1,285,358
$
847,000
$
1,146,300
69%
Grand Total $
38,342,199
$
20,599,952
$
11,634,399
$
11,869,231
69% $
2/22/2022
(139,058)
(139,058)
(8,730,721)
23
Page 26 of 67
REVISED
Yorba Linda
Water District
1p'
Page 27 of 67
REVISED
Overview
• Summary of FY2021-22 Projections
• Debt Service
• Revenue
• Production
• Variable Costs
• Salary and Related Expenses
• Supplies and Services
• Status of CIP
2/22/2022
Page 28 of 67
Summary of
FY2021IIIIIIIIIIIII22
Projections
YL
W
Financial Summary
Revenue (Operating)
Revenue (Non -Operating)
Total Revenue
Expenses (Operating):
Variable Costs
Salary Related Expenses
Supplies & Services
Expenses (Non -Operating)
Total Expenses
Net Position Before Capital
Contributions & Depreciation
2/22/2022
REVISED
W
FY21
FY22
FY22
Variance $ Budget
Variance % Budget
Actual
Budget
Projections
to Projected
to Projected
$ 39,250,600
$ 39,467,668
$ 38,050,069
$ (1,417,599)
-4%
3,568,724
5,919,474
5,761,056
(158,418)
-3%
42,819,324
45,387,142
43,811,125
(1,576,017)
-4%
18,638,471
21,329,831
20,353,936
(975,895)
-5%
10,947,895
12,050,996
12,411,866
360,870
3
5,459,423
6,506,608
6,507,308
700
0%
2,153,233
1,300,350
1,267,428
(32,922)
-3%
37,199,022
41,187,785
40,540,538
(647,247)
-2%
5,620,302 4,199,357 3,270,587 (928,770)
-22
4
Page 30 of 67
REVISED
Page 31 of 67
REVISED
Debt Service Ratio
For Water Fund
FY21 FY22 FY22
Actual Budget Projections
Debt Service $ 2,729,381 $ 2,728,919 $ 2,728,919
Ratio 2.38 1.87 1.48
Per Policv 2.25 2.25 2.25
2/22/2022
6
Page 32 of 67
REVISED
Page 33 of 67
1,200,000
960,026
1,000,000
800,000
LL 600,000
400,000
200,000
846,381
809,823
REVISED
Retail Water Consumption
FY2021-22 Projections by Month
708,099
551,538 518,160
499,086
• 445,840 423,588
711,278
642,931
830,486
44,s�5 i
88,150
692,310
34 846 33 985 32 921
274 534
164,665 570,475 534,763514,954 526,98!
443,612 454,665
369,197 360,079 348,811
276,954
• O
FY22 Budgeted FY22 Projection
Total Consumption (CCF) 7,947,236 7,610,334
2/22/2022 8
Page 34 of 67
Revenue Analysis
Revenue from Consumption
Consumption (CCF)
REVISED
Projection to Projection to
FY21 Prior Year FY22 Budgeted FY22 Projection Prior Yr Var % Budgeted Var
81379,170 7,947,236 7,610,334 -9% -4%
Revenue ($) $ 23,247,565 $ 21,172,837 $ 19,526,004 -16% -8%
Variance Explanation
The decrease from prior year is due to rainfall and the call for 15% voluntary water conservation.
The decrease from budgeted is due to the unforeseen additional rainfall that occurred in the fall of
2021.
All Revenue Summary
Projection to Projection to
FY21 Prior Year FY22 Budgeted FY22 Projection Prior Yr Var % Budgeted Var
Operating Revenue $ 39,250,600 $ 39,467,668 $ 38,050,070 -3% -4%
Non -Operating Revenue 3,568,724 5,919,474 5,761,055 61% -3%
Total $ 42,819,324 $ 45,387,142 $ 43,811,125 2% -4%
Variance Explanation
The decrease from prior year is due to rainfall and the call for 15% voluntary water conservation.
The decrease from budgeted is due to the unforeseen additional rainfall that occurred in the fall of
2021.
2/22/2022
Y
W.
Page 35 of 67
Revenue Analysis
18,000,000
-9.9%
16,000,000
14,000,000
12,000,000
10,000,000
8,000,000
6,000,000
REVISED
Revenue
FY2021-22 Budget to Projections
-0.4%
2/22/2022
-4.6%
5.6%
4,000,000
15.8%
-6 %
—
0.0%
-1.2%
Other Non -
Interest
Property
Property
Operating
Income
2,000,000
Tax - CFC
-0.5/o a
Revenue
308,000
35.0%
2,985,028
601,446
96,411
2,138,640
2,847,615
■
4.1
_%
■
0
Water
Water
Revenue
Water
Sewer
Sewer
Other
Revenue
Service
PFAS Impact
Parcel
Revenue
(Commercia
(Landscape/
Charges
Fee
Charge
Assessment
Operating
(Residential)
I & Fire
Revenue
Revenue
Irrigation)
s
Det.)
FY22 Budget
15,834,595
1,555,486
3,782,756
13,412,193
894,116
2,844,118
331,878
812,526
0 2022 Projections
14,270,196
1,536,651
3,741,631
13,352,421
889,401
2,844,129
318,381
1,097,260
2/22/2022
10
Page 36 of 67
-4.6%
5.6%
15.8%
-6 %
—
'
Other Non -
Interest
Property
Property
Operating
Income
Tax
Tax - CFC
Revenue
308,000
2,025,000
2,985,028
601,446
96,411
2,138,640
2,847,615
696,321
10
Page 36 of 67
REVISED
Page 37 of 67
2,500.0 2,240.9
2,213.1
2,000.0
U-
Q 1,500.0
v
E
0
1,000.0
500.0
2,046.5
REVISED
Production Demand
FY2021-22 Projections by Month
1,945.4
1,883.9
Jul -21 Aug -21 Sep -21 Oct -21 Nov -21 Dec -21 Jan -22 Feb -22 Mar -22 Apr -22 May -22 Jun -22
GW � IMPORT FY22 BUDGET
(AF) (AF)
Groundwater
Import Water %
2/22/2022
FY21 PriorYear Actual
52.5%
47.5%
FY22 Budgeted
FY22 Projection
31.1% 32.3%
68.9% 67.7%
12
Page 38 of 67
REVISED
Production Demand
Variance from PriorYear
Ground Water
FY21 Actual
10,741.6
FY22 Projection
6,257.0
Variance Variance
(4,484.6)
Import Water 9,728.2 13,119.3 3,391.1
Total 20,469.8 19,376.3 (1,093.5)
-42%
35%
-5
Variance Explanation
The decrease of 5% from prior year is due to rainfall and the call for 15% voluntary water conservation.
Variance from Budgeted
Ground Water
FY22 Budget FY22 Projection Variance Variance
6,267.7 6,257.0 (10.7) 0%
Import Water 13,563.1 13,119.3 (443.8) -3%
Total 19,830.8 19,376.3 (454.5) -2%
Variance Explanation
The decrease of 2% from budgeted is due to the unforeseen additional rainfall that occurred in the fall of
2021.
2/22/2022
Page 39 of 67
REVISED
Page 40 of 67
■ Import Wate
Purchases
57%
Variable Costs
FYzozo-2i Actuals
Allocation
■ MWDOC Fixed
Costs
Groundwater
Purchases
28
OCWD
■
Annexation
Fee
3%
■ Power Costs
8%
Variable Costs Variance
Variance Variance
Projections to Prior Year
$
1,715,465
9%
Projections to Budget
$
(975,894)
-5%
2/22/2022
REVISED
■ Import Water
Purchases
72%
Variable Costs
FYzozi-ii Projections
Allocation
MWDOC Fixed
Costs
5%
■ Groundwater
Purchases
15%
■ OCWD
Annexation
Fee
3%
Costs
5%
Variance Explanation
The increase of 9% from prior year is due to the
increase in rates from water and utility providers
and the use of i00% import water July through
November.
The decrease of 5% from budgeted amounts is
due to the decrease in projected demand.
15
Page 41 of 67
REVISED
Variable Costs Detail
�1
2/22/2022 16
Page 42 of 67
Py
Budget
Projections
Groundwater
Purchases
$ 5,221,074
$ 3,052,370
$ 3,004,279
OCWD Annexation
Fee
521,476
521,476
645,141
Power Costs
1,541,594
1,755,798
1,042,693
Import Water
Purchases
10,573,060
15,095,584
14,638,978
MWDOC Fixed Costs
781,267
904,602
1,022,844
$ 18,638,471
$ 21,329,830
$ 20,353,936
�1
2/22/2022 16
Page 42 of 67
REVISED
Page 43 of 67
$8,000,000
$7,000,000
$6,000,000
$5,000,000
$4,000,000
$3,000,000
$2,000,000
$1,000,000
REVISED
Salary Related Expenses
FY2021-22 Projection Summary
Salaries Mandatory Benefits Fringe Benefits Retiree Benefits
� FY22 Projected Water � FY22 Projected Sewer --*—FY22 Budget
Salaries & Related
Expenses Detail
FY22 Projected
FY22 Proiected
FY22 Budget Water
Sewer
FY22 Projections
Variance
Variance
Salaries
$ 7,577,076 $ 6,477,350
$ 1,084,752
$ 7,562,101
$ (14,975)
0%
Mandatory Benefits
2,118,432 2,181,926
379,899
2,561,825
443,393
21%
Fringe Benefits
2,355,488 1,627,472
288,227
1,915,699
(439,789)
-19%
Retiree Benefits
- 316,405
55,836
372,241
372,241
0%
$ 12,050,996 $ 10,603,153
$ 1,808,713
$ 12,411,866
$ 360,870
3%
2/22/2022
Page 44 of 67
0
Supplies &
Services
YL
W
REVISED
Supplies & Services Summary
DEPARTMENT SPENDING ALLOCATION
SUPPLIES & SERVICES
FY22 PROJECTIONS
FY22 Prolected FY22 Projected
FY22 Budget Water Sewer FY22 Proiections Variance Variance
Supplies & Services $ 6,506,608 $ 5,486,003 $ 1,021,305 $ 6,507,308 $ 700 0%
2/22/2022
Page 46 of 67
i,800,000
i,600,000
1,400,000
1,200,000
1,000,000
REVISED
FY22 Budget to Projections
Supplies & Services
58%
-1%
8o0 000 -17%
' 14%
600,000 -8% -8%
400,000 -14% 7% -34/ o -12°
200,000 ,. '' ■■ '' -- ',
0
i`°ry `�ey y5`c� �`�Qy t���y a°ke et`a�y Jeo�S a��e �e,°w
J�`ca a\ye� Q�°tee c``�et 0Qe `cy�� �a� 0&c `cue° QJ�Q e
o y a
L°
O�
■ 2022 Budget ■ 2022 Projection
-17%
-14%
-6%-42% -54% 16%
11
mM ■. -- 1�
ye e`' o` ey �y ey e`'
+deo a�ye�e�°R�eQ°eoJ�
°t` e L°� .pie �e
keyy� �a�0 e\qj `e`, mer.
Quo hypo eta, o`'°\
oke J
Q�
Variance Explanation
Contractual Services —The decrease of 17% is mainly due to new contracts for both janitorial service & landscape
services that will be postponed till next fiscal year's budget.
Maintenance —The increase of 58% is mainly due to maintenance work on Gardenia and Lakeview sites, Well
abandonment, increased manhole repairs, increased valve repairs, and increased asphalt repairs.
Professional Services —The decrease of 17% is mainly due to the amount budgeted for the Water Master Plan
and the Hydraulic Model which will be moved into next fiscal year's budget.
2/22/2022
21
Page 47 of 67
REVISED
Page 48 of 67
REVISED
Capital Improvement Projects Detail
W
2/22/2022 23
Page 49 of 67
FY2021-22 BOD
FY2021-22 Projected
FY2021-22 Budgeted to
Project
Approved
Budget
Expenses
Projected %
Meter Replacement Program
$
1,029,489
$
1,029,489
0%
Hidden Hills BPS Upgrades
706,860
530,092
-25%
Timber Ridge BPS Pump Replacement & Property Purchase
3,179,400
1,689,780
-47%
Upgrades at Water Treatment Plant Site (PFAS)
2,661,500
3,664,100
38%
Well 22 Equipping
1,108,500
743,561
-33%
Grandview Ave and Ridge Way Waterline Improvements
462,000
587,585
27%
BNSF Crossing -Weir Canyon / YL Blvd
619,850
1,269,747
105%
Lakeview Reservoir Site Rehabilitation
10,000
-
-100%
BNSF Crossing -Veteran's Village and Highland
24,000
141,778
491%
Field Headquarters Rehabilitation
107,800
507,800
371%
Resiliency Improvements to District Facilities (AWIA)
220,000
184,000
-16%
Site and Security Upgrades at District Facilities (AWIA)
273,000
273,000
0%
Well Rehabilitation Project
165,000
75,000
-55%
Lakeview BPS Piping
220,000
-
-100%
Fairmont PRS
-
0%
Well 15 Abandonment
0%
Box Canyon Pump Replacement
-
0%
Waterline Replacement
15,000
0%
PRS Replacements
12,000
0%
Santiago BPS Rehab
-
0%
Well 23 Drilling & Equipping
0%
Elk Mountain BPS Rehab
-
-
0%
Total Water CIP $
10,787,399
$
10,722,932
-1%
Main Street Sewer
$
407,000
$
267,942
-34%
Lakeview Sewer Extension
-
534,609
0%
Green Crest Lift Station Rehab
-
-
0%
Sewer System Rehabilitation and Replacement Project
440,000
343,749
-22%
Total Sewer CIP $
847,000
$
1,146,300
35%
Grand Total $
11,634,399
$
11,869,231
2%
2/22/2022 23
Page 49 of 67
REVISED
5 -Yr CIP Project Cost Projections
W
Main Street Sewer
$
407,000
$ -
% Expenditure of
66%
Original Project Cost
Project Cost Change
New Project Cost
New Project Cost as
Project
100%
Green Crest Lift Station Rehab
of FYE2021-22
Meter Replacement Program
$ 1,029,489
$ -
$ 1,029,489
100%
Hidden Hills BPS Upgrades
706,860
600,673
1,307,533
41%
Timber Ridge BPS Pump Replacement
3,179,400
3,185,380
6,364,780
27%
Upgrades at Water Treatment Plant Sites
2,661,500
1,002,600
3,664,100
100%
Well 22 Equipping
1,108,500
820,061
1,928,561
39%
Grandview Ave and Ridge Way Waterline Improvements
462,000
125,585
587,585
100%
BNSF Crossing -Weir Canyon / YL Blvd
619,850
649,897
1,269,747
100%
Lakeview Reservoir Site Rehabilitation
254,000
(254,000)
-
0%
BNSF Crossing -Veteran's Village and Highland
220,000
1,656,000
1,876,000
8%
Field Headquarters Rehabilitation
515,900
397,100
913,000
56%
Resiliency Improvements to District Facilities (AWIA)
1,210,000
(200,000)
1,010,000
18%
Site and Security Upgrades at District Facilities (AWIA)
1,263,000
(200,000)
1,063,000
26%
Well Rehabilitation Project
825,000
(90,000)
735,000
10%
Lakeview BPS Piping
220,000
220,000
0%
Fairmont PRS
534,600
534,600
0%
Well 15 Abandonment
80,000
(80,000)
-
0%
Box Canyon Pump Replacement
77,000
77,000
0%
Waterline Replacement (Annual)
11,000,000
(2,200,000)
8,800,000
0%
PRS Replacements (Annual)
4,840,000
(3,000,000)
1,840,000
1%
Santiago BPS Rehab
1,581,800
(1,581,800)
-
0%
Well 23 Drilling & Equipping
1,399,300
1,399,300
0%
Elk Mountain BPS Rehab
825,000
(825,000)
-
0%
Total Water CIP
$ 34,613,199
$ 6,496
$ 34,619,695
0%
Main Street Sewer
$
407,000
$ -
$ 407,000
66%
Lakeview Sewer Extension*
-
534,609
534,609
100%
Green Crest Lift Station Rehab
550,000
-
550,000
0%
Sewer System Rehabilitation and Replacement Project
2,420,000
(536,251)
1,883,749
18%
Total Sewer CIP
$
3,377,000
$ (1,642)
$ 3,375,358
0%
Grand Total
$
37,990,199
$ 4,854
$ 37,995,053
0%
*Project was originally budgeted in the FY2020-215-Yr CIP Budget
2/22/2022 24
Page 50 of 67
ITEM NO. 6.4.
Yorba Linda
Water District
/_1r]=161197_11N=1a*]AI
MEETING DATE: February 22, 2022
TO: Board of Directors
FROM: Doug Davert, Assistant General Manager
STAFF CONTACTS: Delia Lugo, Finance Manager
Paige Appel, Budget Analyst
SUBJECT: Board of Directors' Goals and Objectives for Fiscal Year 2022-23
Operating Budget
Staff will provide the attached presentation during the meeting.
ATTACHMENTS:
1. Presentation
2. Revised Presentation
Page 51 of 67
Goals and Objectives to Develop
FY 2022-23 Operating Budget
Presented by:
YLWD Staff
YL
W
Key Points of Discussion
• 2021 Rate Study
• Rate Study Assumptions
• Update on cost increases
• Evaluating inflationary pressures and making
appropriate adjustments
• New Debt Issuance
• Board priorities/goals/objectives
Yorba Linda _�_
2021 Rate Model Assumptions
• 2021 Rate Study Calendar of Events
• September 2020 - Engage Raftelis
• February 2021— Data due to Raftelis
• April 2021— BOD received and filed 2021 Rate Study
Report
• June 2021— Public Hearing - BOD adopts 5 -Year Rates
and Charges
Yorba Linda _�_
1
General
2.0%
2.0%
Personnel
8.0%
8.0%
Utilities
5.0%
5.0%
Chemical
2.0%
2.0%
OCWD Fixed
2.0%
2.0%
OCWD RA
2.0%
2.0%
MWD Fixed
3.0%
3.0%
MWDOC Fixed
3.0%
3.0%
MWD Variable
5.0%
5.0%
Yorba Linda -�
ale r- _I i �-
Board of Directors Budget Workshop Meeting Tuesday, February 22, 2022
Update on Proposed Cost Adjustments for FY
2022-23 Variable Water Costs
• December 14, 2021: SCE forecasts a 12% rate increase in 2022 per
their 2021 Winter Power Briefing
• January 12, 2022 OCWD Ground Water Producer meeting — Proposed
for FY 2022-23 BPP 77% and an 8% increase on RA
• To $544/AF from $507/AF in FY 2021-22 ($37/AF adjustment)
• February 7, 2022 MWDOC Proposed Biennial Budget Workshop — 8%
overall rate increase in 2023
• To $1,192/AF from $1,104/AF on 2022 ($88.32/AF adjustment)
• Per Agreement with OCWD, Annual Treatment Cost reimbursement
capped at $75/AF (50/50 cost share based on Carollo estimate)
• Per Prop 218 Notice, annual Pass -Through Adjustment not to exceed
at 10%
Yorba Linda _�_
Consumer price index, percent change from a year ago
All items in U.S. city average
is%
19
5
9
0 IT Sy 104' 2w mkx A Chat x Ct wq i.E w a API liEmBetl
4 S
75% -
7a
1980 1985 1996 1495 2000 2605 21110 2015 2020
d
it jgtr J.i HQr Od lgpr .Minh]
Note: Shaded areas indlcate LLS. recessi—
Source: Bureau of Labor Statistics. As of Jan.'22.
a wF T
-� Yorba Linda
- W -le r -IN Li::V�Il
' Board of Directors Budget Workshop Meeting Tuesday, February 22, 2022
Page 57 of 56
2022 Debt Issuance
• BOD adopted Resolution No. 2021-17 Reimbursement Agreement —
June 8, 2021
• Bond Counsel to provide Disclosure Training for April 2022
• Initiate process of issuing New Debt, not to exceed $35 million, June
2022
• Engage Municipal Advisors and Bond Counsel
• Prepare resolution for Board adoption
• Prepare for Fitch surveillance
• Fund Issuance by November 2022
Yorba Linda _�_
Board Goals and Objectives for FY 2022-23
• Staff recommendations:
• To ensure
cost of service is
met, follow adopted
schedule for
proposed
rate adjustments
in FY 2022-23 (2021
Rate Study)
• Focus on core mission of providing reliable water and
wastewater services to protect public health and the
environment
• Board comments
Yorba Linda _�_
REVISED
YL
Yorba Linda -�
Water Dist r i ct. -
Board of Directors Budget Workshop Meeting Tuesday, February 22, 2022
Page 60 of 67
Key Points of Discussion-
. J
J
J
• 2021 Rate Study f
• Rate Study Assumptions
J
• Update on cost increases
• Evaluating inflationary pressures and making
appropriate adjustments ...
. i
• New Debt Issuance - u AP
,. .
• Board priorities/goals/objectives
♦
+ 4P
YL
W
2021 Rate Model Assumptions
J
1
J
J
J
• 2021 Rate Study Calendar of Events
• September 2020 - Engage Raftelis •
• February 2021— Data due to Raftelis
• April 2021— BOD received and filed 2021 Rate Study
Report J
J
• June 2021— Public Hearing - BOD adopts 5 -Year Rates
and Charges " AP
•
+ 4P
YL
W
-Z,
REVISED
Yorba Linda -� W -m
7'(- Water Districr; ii�;
��� �""-!+ - ��=
Board of Directors Budget Workshop Meeting Tuesday, February 22, 2022
Page 63 of 67
Update on Proposed Cost Adjustments for FY
2022-23 Variable Water Costs .0
• December 14, 2021: SCE forecasts a 12% rate increase in 2022 per
their 2021 Winter Power Briefing
• January 12, 2022 OCWD Ground Water Producer meeting — Proposed
for FY 2022-23 BPP 77% and an 8% increase on RA
• To $544/AF from $507/AF in FY 2021-22 ($37/AF adjustment)
• February 7, 2022 MWDOC Proposed Biennial Budget Workshop — 8%
overall rate increase in 2023
• To $1,234/AF from $1,143/AF on 2022 ($91.44/AF adjustment) J.
• Per Agreement with OCWD, Annual Treatment Cost reimbursement AV
capped at $75/AF (50/50 cost share based on Carollo estimate)
40
• Per Prop 218 Notice, annual Pass -Through Adjustment not to exceed ,
s
at 10%
Yorba Linda
Water District.3- --
REVISED
7,
Yorba Linda _-NOW
Water Districut
Board of Directors Budget Workshop Meeting Tuesday, February 22, 2022
Page 65 of 67
2022 Debt Issuance
• BOD adopted Resolution No. 2021-17 Reimbursement Agreement —
June 81 2021 J
• Bond Counsel to provide Disclosure Training for April 2022
• Initiate process of issuing New Debt, not to exceed $35 million, June -♦
2022 �r
• Engage Municipal Advisors and Bond Counsel
• Pre are resolution for Board ado tion
p p _ _. _.
• Prepare for Fitch surveillance .0
• Fund Issuance by November 2022
YL
W
J
J
J
�
J
J
1
• BOD adopted Resolution No. 2021-17 Reimbursement Agreement —
June 81 2021 J
• Bond Counsel to provide Disclosure Training for April 2022
• Initiate process of issuing New Debt, not to exceed $35 million, June -♦
2022 �r
• Engage Municipal Advisors and Bond Counsel
• Pre are resolution for Board ado tion
p p _ _. _.
• Prepare for Fitch surveillance .0
• Fund Issuance by November 2022
YL
W
J
J
Board Goals and Objectives for FY 2022-23
• Staff recommendations:
• To ensure cost of service is met, follow adopted schedule for
proposed rate adjustments in FY 2022-23 (2021 Rate Study)
• Focus on core mission of providing reliable water and .,
wastewater services to protect public health and the
environment
• Board comments
s
+ ' ' 4P
♦ J
YL
W