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HomeMy WebLinkAbout2023-01-05 - Board of Directors Meeting Agenda PacketYorba Linda Water District AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Thursday, January 5, 2023, 3:00 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: httos://us06web.zoom.us/m/84874364260 Telephone: (669) 900-6833 or (346) 248-7799 Meeting ID: 848 7436 4260 2. CALL TO ORDER 3. PLEDGE OF ALLEGIANCE Brett R. Barbre, President Trudi DesRoches, Vice President Phil Hawkins, Director Tom Lindsey, Director J. Wayne Miller, PhD, Director 5. 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)) 6. INTRODUCTIONS AND PRESENTATIONS 6.1. Recognition of Brooke Jones, Outgoing Director, for 6 Years of Service to YLWD 6.2. Recognition of J. Wayne Miller, PhD, for his Service as YLWD Board President During 2022 6.3. Recognition of Trudi DesRoches, Director, for 31 Years of Service to MWDSC 6.4. Elected Official Liaison Reports 7. 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) 8. CLOSED SESSION Page 1 of 59 The Board may hold a closed session on items related to personnel, labor relations and/or litigation. The public is excused during these discussions. 8.1. Annual Homeland Security Briefing Regarding Public Services or Facilities Pursuant to Subdivision (a) of Section 54957 of the California Government Code Consultation with General Manager 8.2. 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. BS 168278) 9. REPORT FROM CLOSED SESSION - ANTICIPATED TO BEGIN AT 3:45 PM 10. 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. 10.1. Minutes of the Board of Directors Meeting Held December 13, 2022 Recommendation That the Board of Directors approve the minutes as presented. 10.2. Reauthorizing Continuation of Virtual/Teleconference Board Meetings Recommendation: That the Board of Directors reauthorize the continuation of virtual/teleconference meetings pursuant to AB 361 for an additional 30 days based on the findings that (1) the Board has reconsidered the circumstances of the state of emergency for COVID-19, and that (2) state and local officials continue to impose or recommend measures to promote social distancing. 10.3. Amending Schedule for Regular Board Meetings Recommendation: That the Board of Directors adopt Resolution No. 2023 -XX amending the schedule for regular Board meetings. 10.4. Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $2,851,759.89. 10.5. Budget to Actual Statements for Month Ended November 30, 2022 Recommendation: That the Board of Directors receive and file the Budget to Actual Statements for Month Ended November 30, 2022. 10.6. Cash and Investment Report for Month Ended November 30, 2022 Recommendation: That the Board of Directors receive and file the Cash and Investment Reports for Month Ended November 30, 2022. 11. ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board (or Committee) discussions are needed prior to formal action. 11.1. Board of Directors' Committee, Agency, and Intergovernmental Meeting Assignments Page 2 of 59 Recommendation. That the Board of Directors approve the formation of the proposed committees and assignments, the continuation of existing committees and assignments, and the proposed agency and intergovernmental meeting assignments for the 2023 calendar year. 12. 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. 12.1. Draft Calendar for Development of Fiscal Year 2023-24 Budget 12.2. Scheduling Board Workshop Meeting 12.3. Status of CalPERS Net Pension and Other Post -Employment Benefits (OPEB) Funded Liabilities and Public Agency Retirement Services (PARS) Funding 13. REPORTS, INFORMATION ITEMS, AND COMMENTS 13.1. Director's Reports 13.2. General Manager's Report 13.3. General Counsel's Report 13.4. Future Agenda Items and Staff Tasks 14. COMMITTEE REPORTS 14.1. Interagency Committee with MWDOC and OCWD Next meeting will be scheduled when needed. 14.2. Joint Agency Committee with City of Yorba Linda Next meeting yet to be scheduled. 14.3. Joint Agency Committee with City of Placentia Next meeting yet to be scheduled. 15. BOARD OF DIRECTORS ACTIVITY CALENDAR 15.1. Meetings from January 6, 2023 - February 28, 2023 16. ADJOURNMENT 16.1. The next regular Board meeting is scheduled Tuesday, January 19, 2023 at 3:00 p.m. Items Distributed to the Board Less Than 72 Hours Prior to the Meeting 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 3 of 59 ITEM NO. 10.1. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT: Minutes of the Board of Directors Meeting Held December 13, 2022 RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: 1. Draft Meeting Minutes Page 4 of 59 1 E 3. 4. E 6. MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Tuesday, December 13, 2022, 6:30 p.m. 1717 E Miraloma Ave, Placentia CA 92870 PARTICIPATION INSTRUCTIONS Were included on the agenda. CALL TO ORDER The meeting was called to order at 6:30 p.m. PLEDGE OF ALLEGIANCE Director Hawkins led the pledge. ROLL CALL DIRECTORS PRESENT J. Wayne Miller, PhD, President Brett R. Barbre Trudi DesRoches Phil Hawkins Tom Lindsey 2022 -XXX STAFF PRESENT Mark Toy, General Manager Doug Davert, Assistant General Manager John DeCriscio, Operations Manager Gina Knight, Human Resources and Risk Manager Delia Lugo, Finance Manager Rosanne Weston, Engineering Manager Alison Martin, Public Affairs Manager Annie Alexander, Board Secretary ALSO PRESENT Andrew Gagen, General Counsel, Kidman Gagen Law LLP ADDITIONS/DELETIONS TO THE AGENDA General Manager Toy informed the Board that the monthly legislative update had been appended to his monthly report (Item No. 13.2.) and hard copies were distributed to the Board and made available to the public. He also noted that the annual homeland security briefing originally scheduled for this Board meeting had been deferred to the next meeting due to technical issues with the AN system. SEATING OF DIRECTORS 6.1. Administration of Oaths of Office General Manager Toy administered the Oaths of Office for incoming Directors Brett R. Barbre, Phil Hawkins, and Tom Lindsey. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. Page 5 of 59 2022 -XXX 6.2. Reorganization of the Board of Directors and Appointment of Officers President Miller thanked the Board and staff for their hard work and support during the past year. The Board discussed nominations for the offices of President and Vice President. Director DesRoches nominated Director Barbre for the office of President. Director Hawkins nominated Director DesRoches for the office of Vice President. Director Hawkins made a motion, seconded by Director Lindsey, to appoint Director Brett R. Barbre as President and Director Trudi DesRoches as Vice President. Motion carried 5-0-0-0 on a roll call vote. The meeting was then turned over to President Barbre as the presiding officer. President Barbre thanked his supporters in the audience. Director Lindsey commended Director Miller for his service as President during 2022. City of Yorba Linda Mayor, Gene Hernandez, congratulated the new Board, thanked Brooke Jones for his service as Director, and commended Director Miller for his service as President. Al Nederhood, in his role as MWDOC Director, commended Brooke Jones for his service as Director for YLWD. General Manager Toy then recommended that the Board consider appointing Annie Alexander as the Secretary, Veronica Ortega as Assistant Secretary, and Delia Lugo as Treasurer. Director Lindsey made a motion, seconded by Director DesRoches, to appoint Annie Alexander as Secretary, Veronica Ortega as Assistant Secretary, and Delia Lugo as Treasurer. Motion carried 5-0-0-0 on a roll call vote. 7. ADJOURN TO PUBLIC FINANCING CORPORATION AND FINANCING AUTHORITY REGULAR MEETINGS The regular Board meeting was suspended at 6:44 p.m. to conduct the Public Financing Corporation and Financing Authority meetings. President Barbre noted that the Directors do not receive additional compensation for attending these meetings when held on the same day as a regular Board meeting. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 2 Page 6 of 59 2022 -XXX The regular Board meeting was reconvened at 6:46 p.m. 8. INTRODUCTIONS AND PRESENTATIONS 8.1. Elected Official Liaison Reports These reports were provided during consideration of Item No. 6.2. 9. PUBLIC COMMENTS Al Nederhood, resident, commended Brooke Jones for his service as Director for the District. He also commented on the content of a political campaign mailer and digital newsletters associated with the recent election. Brooke Jones, former Director, commended and thanked the Board and District staff for their accomplishments and dedication to protecting the health and safety of the community. 10. CONSENT CALENDAR President Barbre requested to remove Item Nos. 10.1. and 10.2. and Director Miller requested to remove Item Nos. 10.5. and 10.6. from the agenda for separate consideration. Director Lindsey made a motion, seconded by Director Hawkins, to approve the remainder of the Consent Calendar. Motion carried 5-0-0-0 on a roll call vote. 10.3. Status of Communications Activities Recommendation: That the Board of Directors receive and file the monthly communications activities report. 10.4. Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $2,719,479.48. 10.7. Directors and General Manager Fees and Expenses Report for First Quarter of Fiscal Year 2022-23 Recommendation: That the Board of Directors receive and file the Directors' and General Manager Fees and Expenses Report for First Quarter of Fiscal Year 2022-23. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 3 Page 7 of 59 2022 -XXX 10.8. Notice of Completion for Stonehaven Water Main Project Recommendation: That the Board of Directors authorize staff to file the Notice of Completion for the Stonehaven Water Main Project, Job No. J-2018- 28. 10.9. Notice of Exemption for Main Street Sewer Replacement Project Recommendation: That the Board of Directors consent to file the Notice of Exemption with the Orange County Clerk -Recorder's Office. 10.10. Notice of Exemption for Timber Ridge Booster Pump Station Rehabilitation Project Recommendation: That the Board of Directors consent to file the Notice of Exemption with the Orange County Clerk -Recorder's Office for the Timber Ridge Booster Pump Station Rehabilitation Project. 10.11. Mitigated Negative Declaration for BNSF Waterline Crossing at Veterans Village and Highland Avenue Recommendation: That the Board of Directors: (1) adopt the proposed Initial Study and Mitigated Negative Declaration (IS/MND) and make a finding on the basis of the whole record that there is no substantial evidence that the project will have a significant effect on the environment and that the mitigated Negative Declaration reflects the Board of Directors' independent judgment and analysis; (2) adopt the Mitigation Monitoring and Reporting Program, and authorize staff to file a Notice of Determination for the project; and (3) determine that the Board Secretary is the custodian of the documents and materials which constitute the record of proceedings upon which the Board's decision is based and such documents and materials will be at the District's headquarters. 10.12. Terms and Conditions for Sewer Service with the City of Yorba Linda for Lakeview Avenue Sewer Improvements, Job No. J -2013-03S Recommendation: That the Board of Directors approve the Terms and Conditions for Sewer Service with the City of Yorba Linda for Lakeview Avenue Sewer Improvements, Job No. J -2013-03S. 10.13. Agreement with Base Hill, Inc. DBA Jan Point for Janitorial Services Recommendation: That the Board of Directors authorize the General Manager to enter into a Janitorial Services Agreement with Base Hill, Inc. DBA Jan Point for a 3 -year term beginning January 1, 2023 through December 31, 2025 for an estimated total cost of $220,000. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 4 Page 8 of 59 2022 -XXX 10.14. Agreement with Brightview Landscape, Inc. for Landscape Maintenance Services Recommendation: That the Board of Directors authorize the General Manager to enter into a Landscape Maintenance Services Agreement with Brightview Landscape, Inc. for a 3 -year term beginning January 1, 2023 through December 31, 2025 for an estimated total cost of $125,000. ITEMS REMOVED FROM THE CONSENT CALENDAR FOR SEPARATE ACTION 10.1. Minutes of the Board of Directors Meeting Held November 16, 2022 President Barbre requested a copy of the revisions made to the encroachments policy as referenced in the minutes. Director Barbre made a motion, seconded by Director DesRoches, to approve the minutes as presented. Motion carried 4-0-1-0 on a roll call vote with Director Barbre abstaining. General Counsel Gagen and Assistant General Manager Davert clarified that the encroachments policy had been approved by the Board in substantial form with certain amendments to be made. Staff will provide President Barbre with a copy of the finalized policy and offered to bring it back to the Board for additional consideration if desired. 10.2. Reauthorizing Continuation of Virtual/Teleconference Board Meetings Discussion centered on whether the Board should continue holding Board meetings in a hybrid format and the level of public participation through virtual means. Director DesRoches suggested waiting until the Governor's state of emergency expires at the end of February 2023. Brief discussion followed regarding live streaming Board meetings. Staff noted there would be no cost to the District for this service. President Barbre opened the floor for public comment. Al Nederhood, in his role as MWDOC Director, commented on how other agencies were addressing this matter. Director DesRoches made a motion, seconded by Director Hawkins, to reauthorize the continuation of virtual/teleconference meetings pursuant to AB 361 for an additional 30 days based on the findings that (1) the Board has reconsidered the circumstances of the state of emergency for COVID-19, and (2) state and local officials continue to recommend measures to promote social distancing. Motion carried 4-1-0-0 on a roll call vote with Director Barbre voting No. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 5 Page 9 of 59 2022 -XXX Director Miller requested staff prepare a summary report on the performance of District investments with PARS. President Barbre requested staff also report on the District's unfunded liabilities for OPEB and PERS. Director Miller made a motion, seconded by Director Hawkins, to approve Item Nos. 10.5. and 10.6. Motion carried 5-0-0-0 on a roll call vote. 10.5. Budget to Actual Statements for Month Ended October 31, 2022 Recommendation: That the Board of Directors receive and file the Budget to Actual Statements for Month Ended October 31, 2022. 10.6. Cash and Investment Reports for Month Ended October 31, 2022 Recommendation: That the Board of Directors receive and file the Cash and Investment Report for the Period Ended October 31, 2022. 11. ACTION CALENDAR 11.1. Facilitation of Board Workshop Director Miller made a motion, seconded by Director DesRoches, to authorize the General Manager to engage BHI Management Consulting to facilitate a workshop meeting for a fixed fee of $3,200 plus the cost of reasonable travel and material expenses in the amount of approximately $700. Motion carried 5-0-0-0 on a roll call vote. 11.2. Board of Directors' Compensation President Barbre requested staff limit future surveys to water districts in Orange County and inquired about the two different compensation rates at Elsinore Valley MWD. Director Miller made a motion, seconded by Director DesRoches, that the Directors' current rate of compensation remain the some. Motion carried 5- 0-0-0 on a roll call vote. 12. DISCUSSION ITEMS General Manager Toy noted that Item Nos. 12.1., 12.2, and 12.3. were associated with the status of goals assigned by the Board. Reports on the status of the other goals will be provided at future meetings. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 6 Page 10 of 59 2022 -XXX 12.1. YLWD Investment Strategy and Policy Staff briefed the Board on the status of District investment activities and requested direction from the Board to proceed with an RFP for investment advisory services. Discussion followed regarding the difference between investment advisory services versus financial advisory services and associated fees. President Barbre inquired about including Fitch Ratings in the RFP, split ratings, and compliance with the District's investment policy. Staff noted that the investment policy would be presented to the Board in May 2023 for annual review. It was the consensus of the Board for staff to proceed with issuance of the RFP. 12.2. OCWD Groundwater Basin Production Percentage (BPP) Staff reviewed the District's budget to actual water demands for fiscal year to date and the target BPP for fiscal year end. Staff also touched on the District's participation in OCWD's Coastal Pumping Transfer Program and responded to questions from the Board regarding the impact of iron and manganese at the District's PFAS Treatment Plant and cost -benefit evaluation of pre-treatment options. 12.3. Draft Memorandum of Understanding (MOU) with MWDSC for Construction of Helicopter Hydrant Staff reported on the status of this project, key points to be included in the MOU, and the preliminary schedule and budget. Brief discussion followed regarding the estimated project cost and feasibility of constructing two helicopter hydrants. 12.4. Board of Directors' Committee, Agency, and Intergovernmental Meeting Assignments President Barbre requested the Board submit their requested assignments for consideration at the next meeting. Director Lindsey requested the Board consider forming a non -advisory group for two Directors to meet with staff before the start of each regular meeting to enhance their familiarity with the District's finances. 12.5. Start Time for Regular Board Meetings General Manager Toy requested the Board consider changing the start time of regular meetings to 9:00 a.m. or 3:00 p.m. beginning in January 2023. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 7 Page 11 of 59 2022 -XXX Discussion followed regarding the benefits and disadvantages of this proposal and the need for continuing to conduct some Board meetings in the evening. At the request of the Board, Mark Schock, resident, shared his thoughts regarding this matter and the level of public participation. Following further discussion, it was the consensus of the Board to amend the schedule for regular meetings to the first and third Thursdays of each month at 3:00 p.m. Director Hawkins noted he would have a schedule conflict for some of the meetings for the first few months of the year. General Manager Toy thanked the Board for their consideration. 13. REPORTS, INFORMATION ITEMS, AND COMMENTS 13.1. Director's Reports Director Lindsey reported on his attendance at the Holiday on Main Street event in Yorba Linda. 13.2. General Manager's Report General Manager Toy congratulated Directors Barbre, Hawkins, and Lindsey for their success in the recent election. He also noted the District had been recognized as the Best Utility Service Provider for 2022 by the Yorba Linda Chamber of Commerce. President Barbre inquired about how many schools in PYLUSD had toured the PFAS Treatment Plant. He suggested forming a joint agency committee with representatives of PYLUSD to begin establishing a partnership. Staff noted that expanding outreach efforts with PYLUSD students was part of the District's community outreach plan to be presented to the Board at a future date. 13.3. General Counsel's Report None. 13.4. Future Agenda Items and Staff Tasks None. 14. COMMITTEE REPORTS 14.1. Interagency Committee with MWDOC and OCWD Next meeting will be scheduled when needed. Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 8 Page 12 of 59 2022 -XXX 14.2. Joint Agency Committee with City of Yorba Linda Minutes for meeting held Monday, November 7, 2022 at 4:00 p.m. will be provided when available. Next meeting yet to be scheduled. 14.3. Joint Agency Committee with City of Placentia Minutes for meeting held Tuesday, October 25, 2022 at 4:00 p.m. will be provided when available. Next meeting yet to be scheduled. Director Lindsey and staff briefly reviewed topics discussed during the last committee meeting with City of Placentia. 15. BOARD OF DIRECTORS ACTIVITY CALENDAR 15.1 Meetings from December 14 - January 31, 2022 16. CLOSED SESSION The Board entered Closed Session at 8:22 p.m. 16.1. Conference with Legal Counsel -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 16.2. Conference with Legal Counsel - Anticipation of Litigation Initiation of Litigation Pursuant to Paragraph (4) of Subdivision (d) of Section 54956.9 of the California Government Code Number of Potential Cases: One The Board returned to Open Session at 8:45 p.m. 17. REPORT FROM CLOSED SESSION General Counsel Gagen announced that no reportable action was taken by the Board of Directors during Closed Session. 18. ADJOURNMENT 18.1. The meeting was adjourned at 8:46 p.m. Annie Alexander Board Secretary Minutes of the YLWD Board of Directors Regular Meeting Held December 13, 2022 at 6:30 p.m. 9 Page 13 of 59 ITEM NO. 10.2. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT: Reauthorizing Continuation of Virtual/Teleconference Board Meetings RECOMMENDATION: That the Board of Directors reauthorize the continuation of virtual/teleconference meetings pursuant to AB 361 for an additional 30 days based on the findings that (1) the Board has reconsidered the circumstances of the state of emergency for COVID-19, and (2) state and local officials continue to recommend measures to promote social distancing. BACKGROUND: At the October 24, 2022 Board meeting, pursuant to AB 361, the Board of Directors adopted Resolution No. 2022-30 and authorized the Board to continue to have remote meetings based on the continued state of emergency for COVID-19 and the finding that state and local officials have imposed or recommended measures to promote social distancing. If the Board wishes to continue to hold remote meetings pursuant to AB 361, and assuming a state of emergency is still in place, it must make similar findings at least every 30 days. At the time this report was prepared, there was a continued state of emergency for COVID-19, and state and local officials continued to recommend measures to promote social distancing. This item is on the agenda for the Board to consider whether to continue remote meetings pursuant to AB 361 for an additional 30 days and to make the appropriate findings. Page 14 of 59 ITEM NO. 10.3. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT: Amending Schedule for Regular Board Meetings RECOMMENDATION: That the Board of Directors adopt Resolution No. 2023 -XX amending the schedule for regular Board meetings. BACKGROUND: On Tuesday, December 13, 2022, the Board of Directors discussed amending the schedule for regular meetings and determined to change the recurrence to the first and third Thursdays at 3:00 p.m. Staff has prepared the attached resolution to adopt this change effective January 1, 2023, and amend the associated section in the Board of Directors Policies and Procedures Manual. ATTACHMENTS: 1. Resolution No. 2023 -XX - Amend Board Meeting Schedule Page 15 of 59 RESOLUTION NO. 2023 -XX RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT AMENDING SCHEDULE FOR REGULAR BOARD MEETINGS WHEREAS, the Board of Directors of the Yorba Linda Water District routinely reviews and makes revisions to their Policies and Procedures Manual (Manual); and WHEREAS, Section 10.1 (A) of this Manual sets forth the schedule for Regular Meetings; and WHEREAS, the Board of Directors' desires to modify this schedule. NOW, THEREFORE, BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District as follows: SECTION 1. That Section 10.1 (A) of the Board of Directors Policies and Procedures Manual be amended effective immediately to read as follows: Effective January 1, 2023, all regular meetings of the Board shall be held on the first and third Thursday of each month commencing at 3:00 p.m. unless deemed unnecessary by the President or a majority of the Board. Closed Sessions scheduled to occur on the same day as a regular meeting may be noticed separately as a special meeting. Any member of the Board may make a motion to complete any item under discussion during meetings lasting more than four hours from the time of commencement. All remaining items on the agenda which have not been acted upon shall be continued to the next regular meeting or as specified by the Board. Resolution No. 2023 -XX Amending Schedule for Regular Meetings 1 of 2 Page 16 of 59 PASSED AND ADOPTED this 5th day of January 2023 by the following called vote: AYES: NOES: ABSTAIN: ABSENT: Brett R. Barbre, 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 Resolution No. 2023 -XX Amending Schedule for Regular Meetings 2 of 2 Page 17 of 59 ITEM NO. 10.4. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, 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 $2,851,759,89. 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 $456.73 to So. California Edison Co. for November 2022 electricity charges at multiple locations; a wire of $37,816.51 to So. California Gas Co. for J20-20 Hidden Hills backup generator gas line; a wire of $394,280.94 to MWDOC for October 2022 water purchases; a wire of $58,897.78 to So. California Gas Co. for November 2022 gas charges at multiple locations; a wire of $667.00 to Switch for the remote data hosting co -location; a wire of $595,361.69 to So. California Edison Co. for November 2022 and prior months electricity charges at multiple locations; a check of $139,746.08 to ACWA/JPIA for January 2023 medical and dental premiums; a check of $51,343.51 to Aqua -Metric for meter replacement maintenance; a check of $56,234.88 to Big Ben Inc. for J21-02 and J21-19 developer deposit retention return. Additionally: a wire of $12,401.07 to American Business Bank for J18-27 Pacific Hydrotech retention holdings; a check of $99,198.39 to A & Y Asphalt Contractors Inc. for paving repairs at various locations; a check of $235,620.23 to Pacific Hydrotech Corporation for J18-27 Hidden Hills Booster Pump Station. The balance of $479,669.68 are routine invoices. The Accounts Payable check register total is $2,161,694.49; Payroll No. 25 total is $337,778.81, and Payroll No. 26 total is $352,286.59; where disbursements for this agenda report total is $2,851,759.89. A summary of the disbursements is attached. ATTACHMENTS: 1. Cap Sheet for January 5, 2023 2. Check Register for December 27, 2022 3. Check Register for January 5, 2023 4. Credit Card for January 5, 2023 5. BOD Credit Card for January 5, 2023 Page 18 of 59 Summary of Disbursements January 5, 2023 CHECK NUMBERS: 12/27/2022 Computer Checks 81179-81257 $ 486,610.09 1/5/2023 Computer Checks 81262-81319 575,202.68 $ 1,061,812.77 WIRES: W120822 Southern Calif Edison Co. $ 456.73 W 121322 Southern Calif Gas Co. 37,816.51 W121522 Municipal Water District 394,280.94 W 121522A Southern Calif Gas Co. 58,897.78 W 121522B Switch Ltd 667.00 W121922 Southern Calif Edison Co. 595,361.69 W010523 American Business Bank 12,401.07 $ 1,099,881.72 TOTAL OF CHECKS & WIRES $ 2,161,694.49 PAYROLL NO. 25: Direct Deposits $ 206,631.92 Payroll Taxes 54,876.71 EFT -- CalPERS 47,651.02 Third Party Checks 81170-81178 28,619.16 $ 337,778.81 PAYROLL NO. 26: Direct Deposits $ 214,869.63 Payroll Taxes 64,265.10 EFT -- CalPERS 47,724.55 Third Party Checks 81258-81261 25,427.31 $ 352,286.59 TOTAL OF PAYROLL $ 690,065.40 ------------------------------------------------------------------------------------------------------------------ DISBURSEMENT TOTAL $ 2,851,759.89 ---------------------------------------------------------------- ---------------------------------------------------------------- APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF JANUARY 5, 2023 ---------------------------------------------------------------- ---------------------------------------------------------------- Page 19 of 59 Yorba Linda Water District Check Register For Checks Dated: 12/14/2022thru 12/27/2022 Check No. Date Vendor Name 81179 12/27/2022 LLOYALACARTE 81180 12/27/2022 ROBERT PRILL 81181 12/27/2022 NANCY CAPPEL 81182 12/27/2022 GARY ANDERSON 81183 12/27/2022 OPEN DOOR LABS INC 81184 12/27/2022 CABLECOM LLC 81185 12/27/2022 JS LANTERN DISTRICT LLC 81186 12/27/2022 MOHAMMAD MOHSENI 81187 12/27/2022 KIRK SHULMAN LIVING TRUST 81188 12/27/2022 HARVEST REALTY DEVELOPMENT 81189 12/27/2022 ACWA/JPIA 81190 12/27/2022 Alternative Hose Inc. 81191 12/27/2022 Amazon Capital Services 81192 12/27/2022 Aqua -Metric Sales Co. 81193 12/27/2022 Aramark 81194 12/27/2022 AT & T - Calnet3 81195 12/27/2022 BASE HILL INC. 81196 12/27/2022 Big Ben Inc. 81197 12/27/2022 B.L. Wallace Distributor, Inc. 81198 12/27/2022 BrightView Tree Care Services Inc. 81199 12/27/2022 CB Technical 81200 12/27/2022 City Of Placentia 81201 12/27/2022 Griswold Industries dba Cla-Val Co. 81202 12/27/2022 Clinical Lab. Of San Bern. 81203 12/27/2022 Coastline Equipment 81204 12/27/2022 Culligan of Santa Ana 81205 12/27/2022 Dick's Lock & Safe Inc. 81206 12/27/2022 Dion & Sons, Inc. 81207 12/27/2022 Dunn -Edwards Corporation 81208 12/27/2022 Eisel Enterprises, Inc. 81209 12/27/2022 Elite Equipment Inc 81210 12/27/2022 Ellsworth Truck & Auto Machine Inc. 81211 12/27/2022 Enthalpy Analytical, Inc. 81212 12/27/2022 Envirozone, LLC 81213 12/27/2022 FedEx Office 81214 12/27/2022 Fieldman Rolapp & Associates 81215 12/27/2022 Fullerton Paint & Flooring 81216 12/27/2022 Grainger 81217 12/27/2022 Haaker Equipment Co. 81218 12/27/2022 Hach Company 81219 12/27/2022 Harrington Industrial 81220 12/27/2022 Hushmand Associates Inc 81221 12/27/2022 Infosend Inc. 81222 12/27/2022 Jesse Diaz 81223 12/27/2022 John R Brundahl III 81224 12/27/2022 Kidman Gagen Law 81225 12/27/2022 Kimball Midwest 81226 12/27/2022 Koff & Associates, Inc 81227 12/27/2022 LPR-Laser Printer Repair Co 81228 12/27/2022 Maggie Powell 81229 12/27/2022 Managed Health Network 81230 12/27/2022 Richard Mark Toy 81231 12/27/2022 Mc Fadden -Dale Hardware 81232 12/27/2022 Mc Master -Carr Supply Co. 81233 12/27/2022 Michael K. Nunley & Associates 81234 12/27/2022 NatPay Online Business Solutions 81235 12/27/2022 Nickey Kard Lock Inc 81236 12/27/2022 Office Solutions 81237 12/27/2022 Orkin Pest Control 81238 12/27/2022 Orvac Electronics 81239 12/27/2022 P.T.I. Sand & Gravel, Inc. Amount Description 0.67 CUSTOMER REFUND 324.23 CUSTOMER REFUND 178.51 CUSTOMER REFUND 41.36 CUSTOMER REFUND 40.55 CUSTOMER REFUND 286.45 CUSTOMER REFUND 92.09 CUSTOMER REFUND 65.66 CUSTOMER REFUND 447.29 CUSTOMER REFUND 427.55 CUSTOMER REFUND 139,746.08 MEDICAL & DENTAL PREMIUM JANUARY 2023 1,143.31 PARTS FOR WELL#18 & SHIPPING CHARGE 2,439.47 122-34 VALLEY VIEW MATERIAL, SAFETY & IT PHONE SUPPLIES 51,343.51 OPERATIONS WORK MATERIAL 523.32 UNIFORM SERVICE 3,021.85 ATT CALNET 3,827.58 JANITORIAL SERVICES 56,234.88 J21-02 & J21-19 DEVELOPER DEPOSIT RETURN 6,728.02 METER BOXES & LIDS 2,054.74 MONTHLY LANDSCAPE SERVICE 5,180.00 GIS & CMMS IT WORK OCTOBER & NOVEMBER 2022 6,217.87 SEWER COLLECTIONS - NOVEMBER 2022 8,800.06 CLA-VAL PARTS 3,150.00 WATER QUALITY LAB WORK 16,701.25 SKID STEER ATTACHMENT 2,187.55 EQUIPMENT PE SOFTENER 225.00 LOCK SERVICE 303.90 DIESEL EXHAUST FLUID 10.27 PAINT SUPPLIES FOR PRODUCTION 14,460.05 J22-15 MANHOLE & VALVE ADJUSTMENT MATERIALS 5,495.62 PRESSURE WASHER 3,013.11 WELL#18 ENGINE REPAIR 17,062.50 WATER QUALITY TESTING 1,289.39 SEDIMENT BAGS 39.79 SHIPPING EXPENSE 882.00 PROFESSIONAL SERVICES 11/22/22-11/28/22 797.10 MARKING PAINT 661.03 LIGHT BULBS & TRAFFIC SIGN 2,780.10 HOSE FOR UNIT #215 & REPAIR OF SEWER ROVER 140.29 WATER QUALITY WORK MATERIALS 490.55 PFAS PLANT PARTS 1,039.50 J18-27 HIDDEN HILLS SERVICE OCTOBER 2022 8,150.74 BILLING & POSTAGE CUSTOMER BILL 200.00 CERTIFICATE REIMBURSEMENT - COLLECTIONS 2 120.00 CERTIFICATE REIMBURSEMENT - COLLECTIONS 2 17,231.90 LEGAL SERVICES - NOVEMBER 2022 572.63 MECHANIC SHOP SUPPLIES 7,822.50 PROFESSIONAL SERVICES NOVEMBER 2022 140.86 ON SITE SERVICE REPAIRS 31.50 MILEAGE REIMBURSEMENT- GOVERNMENT TAX SEMINAR 177.75 EAP - DECEMBER 2022 127.50 MILEAGE REIMBURSEMENT - ACWACONFERENCE 175.20 PARTS FOR WELL#19 & HYDRANTS 316.91 SCADA MATERIALS & FACILITIES ELECTRICAL SUPPLIES 28,602.87 121-32 PROFESSIONAL SERVICES NOVEMBER 2022 27.54 DOCULIVERY- NOVEMBER 2022 7,789.18 FUEL 11/16/22-11/30/22 518.55 OFFICE SUPPLIES 350.00 PEST CONTROL 168.50 MECHANIC SHOP SUPPLIES 2,117.58 ROAD MATERIAL Page 20 of 59 81240 12/27/2022 QUADIENT LEASING USA INC 81241 12/27/2022 Quinn Company 81242 12/27/2022 Resource Computer Solutions 81243 12/27/2022 Robert Murata 81244 12/27/2022 Shred Confidential, Inc. 81245 12/27/2022 Source 1 Environmental 81246 12/27/2022 Rachel Padilla/Petty Cash 81247 12/27/2022 Staples Business Advantage 81248 12/27/2022 Step Saver Inc 81249 12/27/2022 Sunrise Medical Group 81250 12/27/2022 Sunstate Equipment Co 81251 12/27/2022 CA State Water Resources Control Board (SWRCB; 81252 12/27/2022 Total Administrative Service Corp (TASC) 81253 12/27/2022 Underground Service Alert 81254 12/27/2022 United Industries 81255 12/27/2022 United Water Works, Inc. 81256 12/27/2022 West Coast Batteries Inc 81257 12/27/2022 YO Fire W120822 12/08/2022 Southern Calif Edison Co. W121322 12/13/2022 Southern Calif Gas Co. W121522 12/15/2022 Municipal Water District W121522A 12/15/2022 Southern Calif Gas Co. W121522B 12/15/2022 Switch Ltd W121922 12/19/2022 Southern Calif Edison Co. 12/08/2022 PAYROLL- EMPLOYEE DIRECT DEPOSIT 12/08/2022 PAYROLL -PAYROLL TAX PAYMENT 12/08/2022 PAYROLL-CALPERS & TASC 81170 12/08/2022 Allstate 81171 12/08/2022 Ameritas 81172 12/08/2022 California State Disbursement Unit 81173 12/08/2022 Colonial Life & Accident 81174 12/08/2022 Lincoln Financial Group 81175 12/08/2022 Midland Life Insurance 81176 12/08/2022 Nationwide Retirement Solutions 81177 12/08/2022 Reliance Plan Insurance 81178 12/08/2022 State of CA - Franchise Tax Board 286.82 LEASE PAYMENT 12/27-3/26 1,108.06 PARTS FOR WELL#18 ENGINE 21,213.00 122-30,31,32,33 SERVICE WORK & IT CONSULTING 11/15/22-12/14/22 120.00 CLAIMS REIMBURSEMENT 79.88 MONTHLY SHRED SERVICE 15,094.50 PIPE PATCH KITS FOR SEWER 29.33 WATER QUALITY TEST MATERIAL & OFFICE EXPENSE 1,759.44 PRINTER TONER 865.09 SALT FOR CL2 SYSTEM 115.00 EMPLOYEE PHYSICALS 154.90 PROPANE REFILL 3,274.00 ANNUAL PERMIT FEE 777.83 FSA ADMIN FEES 1/1-3/31 474.74 NEW TICKET CHARGES & CA STATE FEE 165.31 OPERATIONS PPE 2,680.60 PARTS FOR VALVE & SEWER REPAIR 1,163.61 BATTERIES FOR HIGHLAND 2,712.22 HARDWARE FOR WATER OPERATIONS 456.73 ELECTRICITY CHARGES - NOVEMBER 2022 VARIOUS LOCATIONS 37,816.51 120-20 GAS LINE FOR BACKUP GENERATOR 394,280.94 WATER DELIVERIES - OCTOBER 2022 58,897.78 GAS CHARGES - NOVEMBER 2022 VARIOUS LOCATIONS 667.00 DATA HOSTING CO -LOCATION 595,361.69 ELECTRICITY CHARGES - NOVEMBER 2022 & PRIOR VARIOUS LOCATIONS 1,5/4,U9U./4 Payroll Checks #25 206,631.92 54,876.71 47,651.02 932.12 1,665.15 751.84 86.73 3,623.91 200.00 21,114.00 39.01 206.40 337,778.81 Page 21 of 59 Yorba Linda Water District Check Register For Checks Dated: 12/28/2022thru 01/05/2023 Check No. Date Vendor Name Amount Description 81262 01/05/2023 BRECKENRIDGE PROPERTY FUND 2016, LLC 378.29 CUSTOMER REFUND 81263 01/05/2023 WEN WIN REALTY CO 387.36 CUSTOMER REFUND 81264 01/05/2023 T.E. ROBERTS 1,770.20 CUSTOMER REFUND 81265 01/05/2023 WHITESTONE PROPERTIES INC 20,781.49 CUSTOMER REFUND 81266 01/05/2023 AIRGAS INC 193.75 WELDING SUPPLIES 81267 01/05/2023 Albert A. Webb Associates 5,652.50 J21-36 PROFESSIONAL SERVICES NOVEMBER 2022 81268 01/05/2023 Alternative Hose Inc. 197.50 PARTS FOR WELL #18 81269 01/05/2023 Amazon Capital Services 413.52 J22-34 PROJECT PARTS & CHAIR CART 81270 01/05/2023 Aqua -Metric Sales Co. 2,323.28 OPERATIONS WORK MATERIAL 81271 01/05/2023 Aramark 250.61 UNIFORM SERVICE 81272 01/05/2023 A & Y Asphalt Contractors Inc. 99,198.39 PERMANENT ASPHALT REPAIRS - VARIOUS LOCATIONS 81273 01/05/2023 Backflow Apparatus & Valve Co., Inc 6,862.13 BACKFLOWS 81274 01/05/2023 BrightView Tree Care Services Inc. 5,398.57 MONTHLY LANDSCAPE SERVICE 81275 01/05/2023 CalCard US Bank 29,709.08 CREDIT CARD TRANSACTIONS - NOVEMBER 2022 81276 01/05/2023 City Of Anaheim - Anaheim Public Utilities 20,000.23 ELECTRICAL CHARGES NOVEMBER 2022 -VARIOUS LOCATIONS 81277 01/05/2023 CivicPlus 4,167.45 CIVIC CLERK ANNUAL RENEWAL 2023 81278 01/05/2023 Communications Lab 10,614.48 PROFESSIONAL SERVICES OCTOBER & NOVEMBER 2022 81279 01/05/2023 deRose Promos 13.05 NAME BADGE FOR DIRECTOR 81280 01/05/2023 Dick's Lock & Safe Inc. 151.07 KEY COPIES 81281 01/05/2023 Dion & Sons, Inc. 4,710.81 ENGINE OIL 81282 01/05/2023 Enkay Engineering & Equipment Inc 950.00 CEMENT PIPE PICKUP 81283 01/05/2023 Factory Motor Parts 39.29 J22-30 LITTLE CANYON MATERIAL & MECHANIC SHOP SUPPLIES 81284 01/05/2023 GCI Construction Inc. 27,713.90 J18-28 DEVELOPER DEPOSIT RETURN 81285 01/05/2023 Grainger 30.86 FACILITIES ELECTRICAL PARTS 81286 01/05/2023 Harrington Industrial 201.21 CL2 PARTS 81287 01/05/2023 Infosend Inc. 6,576.49 BILLING & POSTAGE CUSTOMER BILL 81288 01/05/2023 Jackson's Auto Supply - Napa 22.62 WELL #18 PARTS 81289 01/05/2023 J.J. Roofing 275.00 BUILDING 2 ROOF SERVICE 81290 01/05/2023 Killingsworth Gear 14,595.02 WELL#18 SERVICE 81291 01/05/2023 Malissa Muttaraid 68.69 MILEAGE REIMBURSEMENT 81292 01/05/2023 Mario S. Banuelos 1,725.00 CLA VAL WELDING SERVICE 81293 01/05/2023 Mc Fadden -Dale Hardware 124.64 PRODUCTION TOOLS & WATER SERVICE REPAIR PARTS 81294 01/05/2023 Mc Master -Carr Supply Co. 780.27 SCADA MATERIALS 81295 01/05/2023 MCR Technologies Inc. 16,374.86 J20-20 FLOWMETER & WELL #18 ENGINE PARTS 81296 01/05/2023 Mid -West Hose & Specialty, Inc 1,565.25 SEWER HOSE CONNECTORS 81297 01/05/2023 Nickey Kard Lock Inc 7,678.92 FUEL 12/l/22-12/15/22 81298 01/05/2023 North American Recycling and Crushing, LLC 750.00 DISPOSAL OF OLD ROAD MATERIAL 81299 01/05/2023 Office Solutions 1,359.67 OFFICE SUPPLIES 81300 01/05/2023 Orange County Business Council 5,000.00 2022 ANNUAL INVESTMENT 81301 01/05/2023 Orvac Electronics 68.83 MECHANIC SHOP & ELECTRICAL SUPPLIES 81302 01/05/2023 Pacific Hydrotech Corporation 235,620.23 J18-27 HIDDEN HILLS BOOSTER PUMP STATION SERVICE 81303 01/05/2023 Psomas & Associates 3,600.00 J21-36 PROFESSIONAL SERVICES NOVEMBER 2022 81304 01/05/2023 Quinn Company 1,284.72 PARTS FOR WELL#18 ENGINE 81305 01/05/2023 Raftelis Financial Consultants, Inc. 1,957.50 PROFESSIONAL SERVICES NOVEMBER 2022 81306 01/05/2023 Red Wing Shoes 224.11 SAFETY BOOTS FOR STAFF 81307 01/05/2023 So Cal Sandbags Inc. 897.81 FILLED SANDBAGS 81308 01/05/2023 CA State Water Resources Control Board (SWRCB 3,453.00 ANNUAL PERMIT FEE 81309 01/05/2023 Tetra Tech, Inc. 1,320.00 J20-37 PROFESSIONAL SERVICES OCTOBER 2022 81310 01/05/2023 Townsend Public Affairs, Inc. 5,000.00 CONSULTING SERVICES - DECEMBER 2022 81311 01/05/2023 United Industries 300.99 OPERATIONS PPE 81312 01/05/2023 UNUM Life Insurance Co. of America 5,606.80 LIFE,AD&D,STD&LTD -JANUARY 2023 81313 01/05/2023 United Water Works, Inc. 5,083.10 PRODUCTION REPAIR PARTS & WATER SERVICE PARTS 81314 01/05/2023 Vision Service Plan 2,529.60 VISION SERVICE PLAN - JANUARY 2023 81315 01/05/2023 West Coast Batteries Inc 752.13 BATTERIES FOR VARIOUS VEHICLES 81316 01/05/2023 Western A/V 360.00 TROUBLESHOOT CONTROL PANELS 81317 01/05/2023 Yorba Linda Chamber 5,000.00 YORBA LINDA STATE OF THE CITY SPONSORSHIP 81318 01/05/2023 Konica Minolta Business 2,755.91 COPY CHARGES FOR C258 & C558 Page 22 of 59 81319 01/05/2023 Safety-Kleen Systems Inc 382.50 HAZARDOUS MATERIAL DISPOSAL W010523 01/05/2023 American Business Bank 12,401.07 PACIFIC HYDROTECH RETENTION ESCROW HOLDINGS 587,603.75 Payroll Checks #26 12/22/2022 PAYROLL- EMPLOYEE DIRECT DEPOSIT 214,869.63 12/22/2022 PAYROLL -PAYROLL TAX PAYMENT 64,265.10 12/22/2022 PAYROLL - CALPERS & TASC 47,724.55 81258 12/22/2022 California State Disbursement Unit 751.84 81259 12/22/2022 Colonial Life & Accident 86.73 81260 12/22/2022 Lincoln Financial Group 3,623.91 81261 12/22/2022 Nationwide Retirement Solutions 20,964.83 352,286.59 Page 23 of 59 S -Jan -23 Cal Card Credit Card U S Bank Vendor Name Amount Description Yorba Linda Chamber 50.00 CHAMBER LUNCH REGISTRATION - MARTIN, A Home Depot 294.47 FACILITIES ELECTRICAL SUPPLIES American Society of Civil Engineers (ASCE) 310.00 MEMBERSHIP REGISTRATION - WESTON, R Rubio's 53.16 FOOD FOR STAFF WORKING OT APPLE 0.99 OFFICE EXPENSE Home Depot 313.72 J22-30 ELECTRICAL SUPPLIES Southwest Airlines 42.00 TRAVEL EXPENSE - CALPELRA CONFERENCE - KNIGHT, G Yorba Linda Chamber 35.00 CHAMBER LUNCH REGISTRATION -TOY, M 91 Express Lanes 30.00 EXPRESS LANE ACCOUNT REPLENISHMENT Home Depot 74.21 CLEANER FOR WELL #18 Lands End 207.65 JACKETS FOR STAFF Riverside Express 1.50 TOLL ROAD CHARGE Alliance Safety Council 2,299.00 COSS TRAINING FOR VALENZUELA, G Costco 370.90 BREAKROOM & CLEANING SUPPLIES Home Depot 438.00 (64) BAGS OF QUICKRETE CONCRETE Time Warner Cable 659.58 INTERNET & DISTRICT TV SERVICES Del Taco 36.95 FOOD FOR STAFF WORKING OT Alternative Hose Inc. 132.46 AIR HOSE FOR WATER VEHICLES Home Depot 168.68 CLEANER, BATTERIES, & LIGHTS UTILITY PRO 99.98 OPERATIONS PPE Home Depot 175.41 TOOLS FOR PRODUCTION Duke's Cafe 64.38 FOOD FOR STAFF WORKING OT Bartlett & West 2,067.00 J21-36 PLAN CHECK & LICENSE FEE Monterey Bay Inn 1,459.51 LODGING - CALPELRA CONFERENCE - KNIGHT, G ONTARIO AIRPORT LOT 52.00 PARKING FEES - CALPELRA CONFERENCE - KNIGHT, G Filter Products Company 74.79 MESH FILTERS ZOOM 84.97 VIRTUAL MEETING SUBSCRIPTION SMARTSHEET 19.00 MONTHLY SOFTWARE SUBSCRIPTION Priceline.com 24.31 CALPELRA CONFERENCE EXPENSE - KNIGHT, G 7 -Eleven 15.78 DRINKS FOR STAFF WORKING OT Adobe 54.99 SOFTWARE LICENSE ONLINE Information Services, Inc. 470.30 ONLINE UTILITY EXCHANGE & COLLECTION Republic Services #676 694.47 DISPOSAL SERVICE EI Farolito 119.90 EXECUTIVE TEAM LUNCH MEETING -6 ATTEND Blackgold Golf Club 258.60 DIEMER PLANT TOUR LUNCH - 10 ATTEND Home Depot 185.44 FACILITIES ELECTRICAL SUPPLIES & TOOLS Yorba Linda Chamber 35.00 BEST OF YORBA LINDA REGISTRATION - TOY, M Tlaquepaque Restaurant 100.00 DEPOSIT FOR DISTRICT EVENT Buffer, Inc 24.00 SOCIAL MEDIA MANAGEMENTTOOL Bitwarden Inc. 180.00 PASSWORD PROGRAM Tom's Place 32.29 FOOD FOR STAFF WORKING OT GSE 76 14.36 DRINKS FOR STAFF WORKING OT Tom's Place 41.96 FOOD FOR STAFF WORKING OT GSE 76 14.76 DRINKS FOR STAFF WORKING OT International Institute of Municipal Clerks 225.00 MEMBERSHIP DUES -ALEXANDER, A Orvac Electronics 12.82 SCADA MATERIAL Renaissance Esmerelda Resort & Spa 725.34 LODGING - ACWA CONFERENCE - TOY, M City Clerks Association of California 50.00 REGISTRATION FOR ARAMBARRI, T Home Depot 300.00 BOOM LIFT RENTAL DEPOSIT Home Depot 76.52 BOOM LIFT RENTAL CHARGE Home Depot 72.59 PVC REPAIR MATERIAL Renaissance Esmerelda Resort & Spa 41.56 MEAL - ACWA CONFERENCE - TOY, M & DAVERT, D Home Depot 54.52 DOOR LUBE FOR ROLL UP DOORS Home Depot 129.08 FLASHING TO PROTECT BACKUP GENERATORS Universal Air Filter Company 207.90 AIR FILTERS FOR PRODUCTION Universal Air Filter Company 16.97 AIR FILTERS FOR PRODUCTION Minuteman Press 59.26 BUSINESS CARDS FOR STAFF COUNTY OF ORANGE RECORDER 6.50 RECORD COPIES & PARKING FEE Hyatt Regency Hotels 229.95 LODGING - ACWA CONFERENCE - WESTON, R ARMA International 215.00 MEMBERSHIP DUES - ARAMBARRI,T Yorba Linda Chamber 105.00 BEST OF YORBA LINDA REGISTRATION - 3 ATTEND Time Warner Cable 226.48 INTERNET & DISTRICT TV SERVICES Home Depot 97.41 J22-31 BOOM LIFT RENTAL Chipotle Mexican Grill 105.44 INTERVIEW PANEL LUNCH - 4 ATTEND Calif Water Environ Assn (CWEA) 202.00 CWEA RENEWAL- MCDONALD Page 24 of 59 Calif Water Environ Assn (CWEA) 202.00 CERTIFICATE RENEWAL- MURILLO, C Home Depot 285.00 FLASHING TO PROTECT BACKUP GENERATORS Alliance Safety Council 149.00 COSS RECERTIFICATION FOR KNIGHT, G BACKGROUNDS ONLINE 207.53 NEW HIRE BACKGROUND CHECK Home Depot 206.04 TUBE CUTTERS & TARP COVER Eco -Worthy Solar Technology Co. 410.18 J22-30 SOLAR PANEL & CONNECTORS Home Depot 164.84 ROOF REPAIR MATERIAL Blue -White Industries 23.08 PARTS FOR CL2 SYSTEM Government Finance Officers 485.00 ANNUAL CONFERENCE REGISTRATION - LUGO, D Southwest Airlines 375.96 TRAVEL EXPENSE - GFOA CONFERENCE - LUGO, D Home Depot 61.33 FLASHING TO PROTECT BACKUP GENERATORS Home Depot 27.86 PVC GLUE Amazon Capital Services 54.35 2022 TAX FORMS Time Warner Cable 232.11 INTERNET & DISTRICT TV SERVICES Hilton Hotels 348.23 LODGING - GFOA CONFERENCE - LUGO, D Government Finance Officers 460.00 CERTIFICATE OF ACHIEVEMENT REVIEW FEE Liebert Cassidy Whitmore 1,725.00 ANNUAL CONFERENCE REGISTRATION - GK,DL,MT Liebert Cassidy Whitmore 620.00 ANNUAL CONFERENCE REGISTRATION - SEGURA, J Hilton Hotels 348.23 LODGING - LCW CONFERENCE - SEGURA, J Orvac Electronics 75.53 PATCH CABLE & ADAPTER PANELS Orvac Electronics 58.67 FIBER OPTIC CABLE KB Design 324.33 WORK COAT EMBROIDERY Eco -Worthy Solar Technology Co. 289.99 J22-30 WIND TURBINE GENERATOR Amazon Capital Services 23.91 EMPLOYEE SERVICE RECOGNITION Time Warner Cable 2,038.04 INTERNET & DISTRICT TV SERVICES Costco 26.08 OPERATIONS PPE Hilton Hotels 348.23 LODGING - LCW CONFERENCE -TOY, M Costco 869.95 PATIO HEATERS Mc Call's Meter Sales/Service 50.00 CERTIFIED FLOW TEST METER Franklin Covey 171.30 2023 CALENDAR PLANNER - KNIGHT, G SPIN POKE & GRILL 51.68 GASB UPDATE LUNCH - 4 ATTEND Costco 1,358.83 FOLDING CHAIRS FOR EVENT California Department of Fish and Wildlife 2,546.00 J21-36 PERMIT FEES APPLE 0.99 OFFICE EXPENSE Elementor 49.00 WEBSITE DESIGNER ANNUAL SUBSCRIPTION 29,709.08 Page 25 of 59 Row Labels Hawkins, Phill Lindsey, Tom Miller, J Wayne Grand Total 5 -Jan -23 Cal Card Credit Card Board of Directors Vendor Name Document Amount Description Yorba Linda Chamber 35.00 BEST OF YORBA LINDA EVENT REGISTRATION Yorba Linda Chamber 35.00 BEST OF YORBA LINDA EVENT REGISTRATION Yorba Linda Chamber 35.00 BEST OF YORBA LINDA EVENT REGISTRATION 105.00 Page 26 of 59 ITEM NO. 10.5. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Delia Lugo SUBJECT: Budget to Actual Statements for Month Ended November 30, 2022 RECOMMENDATION: That the Board of Directors receive and file the Budget to Actual Statements for Month Ended November 30, 2022. SUMMARY: For the month ended November 30, 2022, 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 November 30, 2022, reflects an average increase of approximately 4.6% as compared to the prior year for the same reporting period. Total Variable Costs results, as reported through the month ending November 30, 2022, reflect an approximate 29% decrease when compared to prior year results for the same reporting period. With the completion of the PFAS Treatment Plant, the decrease in costs is the direct result of the District having returned to its traditional operating plan where a vast percentage of the water source to meet demand of the water system comes from the groundwater basin. ATTACHMENTS: 1. Budget to Actual Statements November 2022 Page 27 of 59 Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending November 30, 2022 (With November 30, 2021 for comparison purposes) Annual YTD Nov YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual Budget Budget Actual Actual (Under) Over Nov Actual Actual (thru vs vs FY23 FY23 FY23 FY23 YTD Budget FY22 November 2021) PY Actual $ PY Actual % Revenue (Operating): Water Revenue (Residential) $16,933,387 $8,429,440 $1,421,732 $ 7,819,032 $ (610,408) $1,170,853 $ 7,520,118 298,914 3.97% Water Revenue (Commercial & Fire Det.) 1,737,255 $864,806 160,898 800,076 (64,730) 124,981 752,904 47,172 6.27% Water Revenue (Landscape/Irrigation) 4,046,832 $2,014,513 343,186 2,107,201 92,688 277,987 2,036,281 70,920 3.48% Water Revenue (Service Charge) 14,720,797 $6,133,665 1,228,885 6,035,306 (98,359) 1,126,406 5,474,387 560,919 10.25% Water Revenue (PFAS Impact Fee) - - - - - 148,361 741,123 (741,123) 100.00% Property Taxes- CFC Charges 3,103,900 372,468 381,231 388,360 15,892 507,665 898,963 (510,603) 100.00% Sewer Charge Revenue 3,115,771 $1,298,238 260,939 1,288,961 (9,277) 238,050 1,187,231 101,730 8.57% Locke Ranch Assessments 363,158 43,579 38,835 39,686 (3,893) 71,208 74,429 (34,743) 4.55% Other Operating Revenue 1,287,829 536,595 150,705 733,120 196,525 256,665 630,431 102,689 16.29% Total Operating Revenue: 45,308,929 19,693,304 3,986,411 19,211,742 (481,562) 3,922,176 19,315,867 (104,125) -0.54% Revenue (Non -Operating): Interest 106,925 44,552 35,107 220,704 176,152 3,259 39,610 181,094 457.19% Property Tax 2,095,000 251,400 258,513 309,947 58,547 344,014 388,338 (78,391) 2254.83% Other Non -Operating Revenue 692,942 288,726 202,157 866,213 577,487 166,655 328,689 537,524 163.54% Total Non -Operating Revenue: 2,894,867 584,678 495,777 1,396,864 812,186 513,928 756,637 640,227 84.61% Total Revenue 48,203,796 20,277,982 4,482,188 20,608,606 330,624 4,436,104 20,072,504 536,102 2.67% Expenses (Operating): - - - - - 8,966 (8,966) 5,508 Transaction GASB 34 Compliant) Variable Water Costs (G.W., Import & Powe 17,686,074 8,804,128 1,162,130 7,640,619 (1,163,509) 1,805,038 10,826,412 (3,185,793) -29.43% Salary Related Expenses 13,231,809 5,089,157 895,878 4,591,841 (497,316) 903,622 4,391,979 199,862 4.55% Supplies & Services 9,258,295 3,857,623 577,422 3,124,156 (733,467) 533,658 2,231,644 892,512 39.99% Total Operating Expenses 40,176,178 17,750,908 2,635,430 15,356,616 (2,394,292) 3,242,318 17,450,035 (2,093,419) -12.00% Expenses (Non -Operating): Interest on Long Term Debt 2,436,750 1,015,313 192,344 886,700 (128,613) 101,277 522,463 364,237 69.72% Other Expense 18,135 7,556 592 443,980 436,424 (74,907) 18,854 425,126 2254.83% Total Non -Operating Expenses: 2,454,885 1,022,869 192,936 1,330,680 307,811 26,370 541,317 789,363 145.82% Total Expenses 42,631,063 18,773,777 2,828,366 16,687,297 (2,086,481) 3,268,688 17,991,352 (1,304,056) -7.25% Net Position Before Capital Contributions 5,572,733 1,504,206 1,653,822 3,921,309 2,417,104 1,167,416 2,081,152 1,840,157 88.42% Capital Contributions (Non -Cash - - - - - - 8,966 (8,966) Transaction GASB 34 Compliant) Net Position Before Depreciation 5,572,733 1,504,206 1,653,822 3,921,309 2,417,104 1,167,416 2,090,118 1,831,191 87.61% Depreciation & Amortization 9,500,000 3,958,333 657,696 3,288,481 (669,852) 730,804 3,654,020 (365,539) -10.00% Total Net Position ($3,927,267) ($2,454,128) 996,126 632,828 $3,086,957 $436,612 ($1,563,902) $2,196,730 -140.46% Page 28 of 59 Yorba Linda Water District Water Fund For Period Ending November 30, 2022 (With November 30, 2021 for comparison purposes) Page 29 of 59 YTD 0 Annual YTD Nov YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Actual Nov Actual (thru vs vs FY23 FY23 FY23 FY23 YTD Budget FY22 November 2021) PY Actual $ PY Actual % Revenue (Operating): Water Revenue (Residential) $ 16,933,387 $8,429,440 $ 1,421,732 $ 7,819,032 $ (610,408) $ 1,170,853 $ 7,520,118 $ 298,914 4% Water Revenue (Commercial & Fire Det.) 1,737,255 $864,806 $ 160,898 800,076 (64,730) 124,981 752,904 47,172 6% Water Revenue (Landscape/Irrigation) 4,046,832 $2,014,513 $ 343,186 2,107,201 92,688 277,987 2,036,281 70,920 3% Water Revenue (Service Charge) 14,720,797 6,133,665 $1,228,885 6,035,306 (98,359) 1,126,406 5,474,387 560,919 10% Water Revenue (PFAS Impact Fee) - - - - 148,361 741,123 (741,123) -100% Water Revenue (CFC) 3,103,900 372,468 381,231 388,360 15,892 507,665 898,963 (510,603) -57% Other Operating Revenue 1,171,574 488,156 $ 123,651 661,440 173,284 198,654 503,886 157,554 31 Total Operating Revenue: 41,713,745 $18,303,048 3,659,583 17,811,415 (491,633) 3,554,907 17,927,662 (116,247) -1 Revenue (Non -Operating): Interest 70,200 29,250 26,795 166,370 137,120 1,205 25,057 141,313 564% Property Tax 2,095,000 251,400 258,513 309,947 58,547 344,014 388,338 (78,391) -20% Other Non -Operating Revenue 659,672 274,863 197,917 798,725 523,862 27,174 158,321 640,404 404% Total Non -Operating Revenue: 2,824,872 555,513 483,225 1,275,042 719,529 372,393 571,716 703,326 123% Total Revenue 44,538,617 18,858,561 4,142,808 19,086,457 227,896 3,927,300 18,499,378 587,079 3% Expenses (Operating): Variable Water Costs (G.W., Import & Power) 17,686,074 8,804,128 1,162,130 7,640,618 (1,163,510) 1,805,038 10,826,412 (3,185,794) -29% Salary Related Expenses 11,359,392 4,368,997 755,438 3,880,253 (488,744) 779,374 3,764,120 116,133 3% Supplies & Services: Communications 166,307 69,295 8,573 91,875 22,580 12,181 49,110 42,765 87% Contractual Services 541,358 225,566 57,584 263,969 38,403 60,244 221,754 42,215 19% Data Processing 361,462 150,609 31,052 144,946 (5,663) 15,306 64,884 80,062 123% Dues & Memberships 82,932 34,555 1,863 49,548 14,993 2,049 55,660 (6,112) -11 Fees & Permits 416,062 173,359 20,955 115,786 (57,573) 24,020 122,098 (6,312) -5% Board Election 116,450 48,521 - - (48,521) - - - 0% Insurance 369,402 153,918 44,602 122,342 (31,576) 19,043 104,643 17,699 17% Materials 2,313,020 963,758 135,468 526,037 (437,721) 45,463 277,920 248,117 89% District Activities, Emp Recognition 38,677 16,115 2,419 15,589 (526) 4,915 13,717 1,872 14% Maintenance 1,122,055 467,523 1,972 329,675 (137,848) 138,913 422,689 (93,014) -22% Non -Capital Equipment 151,105 62,960 11,414 88,540 25,580 11,956 41,884 46,656 111 Office Expense 35,956 14,982 3,276 13,310 (1,672) 4,083 15,400 (2,090) -14% Professional Services 1,560,430 650,179 95,932 457,942 (192,237) 64,158 320,048 137,894 43% Training 69,748 29,062 1,370 14,162 (14,900) 2,308 9,237 4,925 53% Travel & Conferences 85,199 35,500 (1,136) 8,364 (27,136) 1,951 4,678 3,686 0% Uncollectible Accounts 8,500 3,542 505 4,368 826 (167) 1,788 2,580 144% Utilities 190,400 79,333 26,098 153,100 73,767 11,165 62,752 90,348 144% Vehicle Equipment 473,350 197,229 45,590 311,914 114,685 22,430 100,214 211,701 211 Supplies & Services Sub -Total 8,102,413 3,376,005 487,537 2,711,467 (664,538) 440,018 1,888,476 822,991 44% Total Operating Expenses 37,147,879 16,549,130 2,405,105 14,232,338 (2,316,792) 3,024,430 16,479,008 (2,246,670) -14% Expenses (Non -Operating): Interest on Long Term Debt 2,436,750 1,015,313 192,344 886,700 (128,613) 101,277 522,463 364,237 70% Other Expense 12,350 5,146 592 402,783 397,637 4,080 6,862 395,921 5770% Total Non -Operating Expenses: 2,449,100 1,020,458 192,936 1,289,483 269,025 97,197 529,325 760,158 144% Total Expenses 39,596,979 17,569,588 2,598,041 15,521,821 (2,047,767) 3,121,627 17,008,333 (1,486,512) -9% Net Position Before Capital Contributions 4,941,638 1,288,973 1,544,767 3,564,636 2,275,663 805,673 1,491,046 2,073,591 139% Capital Contributions (Non -Cash Transaction - - - - - - - 8,966 (8,966) 896600 GASB 34 Compliant) Net Position Before Depreciation 4,941,638 1,288,973 1,544,767 3,564,636 2,275,663 805,673 1,500,012 2,064,625 138% Depreciation & Amortization 8,005,000 3,335,417 532,315 2,661,575 (673,842) 606,903 3,034,515 (372,940) -12% Total Net Position S (3.063.3621 S (2.046.4441 $ 1.012.452 903.061 $ 2.949.505 S 198.770 $ (1.534.5041 $ 2.437.565 -159% Page 29 of 59 Water Revenues & Expenses - November (excludes Depreciation, Special Items, and Contributed Capital ) $25,000,000 $20,000,000 $15,041,668 515,000,000 � $11,750,506 $12,164,707 $10,000,000 $5,000,000 S - Nov. 2016 Nov. 2017 $18,499,378 $13,007,096 $13,305,509 $13,305,509 $19,086,457 3.44% $15,521,821 -11.17 Nov. 2018 Nov. 2019 Nov.2020 Nov. 2021 Nov. 2022 Total Revenue f Total Expenses Page 30 of 59 3,000,000 2,412,958 2,500,000 2,000,000 1,671,801 1,603,595 1,660,561 1,500,000 1,469,440 / 1,000,000 1,492,928 J 0 Jul 5 -Year Variable Costs Analysis 2,439,092 2,240,006 486 1,929,318 - 1WIG,479 1 SC 2,249,247 2,093,627 1,898,999 2,065,064 2,084,721 729,514 - 1,789,071 1,512,043 1,448,941 1,569,860 1,636,877 1,494,768 1,435,706 1,367,226 1,459,682 1,392,832 1,372,040 1,451,208 1,361,053 1,286,293 1162129 1,058,481 ,, 11556,303 1,231,436 1,306,798 1,306,610 915,454 1,307,477 1,254,568 1,100,471 1 1 1,185,077 1,305,692 1,132,782 Aug 772,447 981,38 1,019,234 1,103,786 945,974 590,007 657,883 460,667 t FY19 Var Costs tFY20 Var Costs tFY21Var Costs tFY22 Var Costs tFY23 Variable Cost Sept Oct Nov Dec Jan Feb Mar April May June Page 31 of 59 Revenue (Operating): Sewer Charge Revenue Locke Ranch Assessments Other Operating Revenue Total Operating Revenue: Revenue (Non -Operating): Interest Other Non -Operating Revenue Total Non -Operating Revenue: Total Revenue Expenses (Operating): Salary Related Expenses Supplies & Services: Communications Contractual Services Data Processing Dues & Memberships Fees & Permits Board Election Insurance Materials District Activities, Emp Recognition Maintenance Non -Capital Equipment Office Expense Professional Services Training Travel & Conferences Uncollectible Accounts Utilities Vehicle Equipment Supplies & Services Sub -Total Total Operating Expenses Expenses (Non -Operating): Other Expense Total Non -Operating Expenses: Total Expenses Net Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position Before Depreciation Depreciation & Amortization Total Net Position Yorba Linda Water District Sewer Fund For Period Ending November 30, 2022 (With November 30, 2021 for comparison purposes) Annual YTD Nov YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Budget Actual Actual (Under)Over Actual Nov Actual (thru vs vs FY23 FY23 FY23 FY23 YTD Budget FY22 November 2021) PY Actual $ PY Actual 9 $3,115,771 $1,298,238 $260,939 $ 1,288,961 ($9,277) $238,050 $ 1,187,231 $101,730 8.57% 363,158 43,579 38,835 39,686 (3,893) 71,208 74,429 (34,743) 0.00% 116,255 48,440 27,055 71,680 23,240 58,011 126,545 54,865 -43.36% 3,595,184 1,390,256 326,829 1,400,327 10,071 367,269 1,388,205 12,122 0.87% 36,725 15,302 8,312 54,335 39,033 2,054 14,553 39,782 273.36% 33,270 13,863 4,240 67,489 53,627 139,481 170,368 102,879 -60.39% 69,995 29,165 12,552 121,824 92,659 141,535 184,921 (63,097) -34.12% 3,665,179 1,419,421 339,381 $ 1,522,151 102,730 508,804 1,573,126 50,975 -3.24% 1,872,417 720,160 140,441 711,590 (8,570) 124,248 627,859 83,731 13.34% 26,693 11,122 1,300 8,614 (2,508) 2,150 10,486 (1,872) -17.85% 78,681 32,784 6,221 36,544 3,760 9,537 32,938 3,606 10.95% 55,152 22,980 6,418 24,906 1,926 2,304 11,353 13,553 119.38% 14,590 6,079 329 8,744 2,665 362 9,822 (1,078) -10.98% 51,928 21,637 2,899 17,135 (4,502) 4,146 12,867 4,268 33.17% 20,550 8,563 - - (8,563) - - - 0.00% 65,188 27,162 7,871 21,589 (5,573) 3,361 18,466 3,123 16.91% 64,280 26,783 8,838 36,067 9,284 27,768 36,283 (216) -0.60% 6,823 2,843 427 2,751 (92) 867 2,414 337 13.96% 405,845 169,102 28,645 109,125 (59,977) 13,958 75,570 33,555 0.00% 60,195 25,081 8,304 39,531 14,450 6,728 15,461 24,070 155.68% 6,344 2,643 578 2,349 (294) 721 2,718 (369) -13.58% 168,330 70,138 10,706 52,818 (17,320) 15,186 79,667 (26,849) -33.70% 13,402 5,584 458 7,404 1,820 651 5,010 2,394 47.78% 17,581 7,325 (200) 1,477 (5,848) 344 (46) 1,523 0.00% 1,500 625 136 1,316 691 (47) 567 749 132.10% 33,600 14,000 4,606 8,276 (5,724) 1,970 11,074 (2,798) -25.27% 65,200 27,167 2,350 34,047 6,880 3,633 18,518 15,529 83.86% 1,155,882 481,618 89,886 412,693 (68,925) 93,639 343,168 69,525 20.26% 3,028,299 1,201,778 230,327 1,124,283 (77,495) 217,887 971,027 153,256 15.78% 5,785 2,410 41,197 38,787 70,828 11,993 29,204 5,785 2,410 - 41,197 38,787 (70,828) 11,993 29,204 - 3,034,084 1,204,188 230,327 1,165,480 38,708 147,059 983,020 182,460 18.56% 631,095 215,233 109,054 356,671 141,438 361,745 590,106 (233,435) -39.56% 631,095 215,233 109,054 356,671 141,438 361,745 590,106 (233,435) -39.56% 1,495,000 622,917 125,381 626,906 3,989 123,901 619,505 7,401 1.19% (863,905) (407,684) (16,327) (270,235) 137,449 237,844 (29,399) (240,836) -819.20% Page 32 of 59 Sewer Revenues & Expenses - November $1,800,000 (excludes Depreciation, Special Items, and Contributed Capital) $1,600,000 $1,573,126 $1,522,151 _2 7Ao% $1,400,000 $1,200,000 $1,000,000 $800,000 $600,000 $400,000 $200,000 Nov. 2016 Nov. 2017 Nov. 2018 Nov. 2019 Nov.2020 Nov. 2021 Nov.2022 Total Revenue f Total Expenses Page 33 of 59 ITEM NO. 10.6. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Delia Lugo SUBJECT: Cash and Investment Report for Month Ended November 30, 2022 RECOMMENDATION: That the Board of Directors receive and file the Cash and Investment Reports for the Month Ended November 30, 2022. SUMMARY: The Cash & Investment Portfolio Report presents the market value and percent yield for all District investments by institution. The Cash & Investment Summary Report includes budget and actual interest and average term portfolio information as well as market value broken out by reserve categories. The Fair Value Measurement Report categorizes investments 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 seven years. The average portfolio yield for the month ended November 30, 2022 is 1.83%. The District's Total Cash and Investment balance as of November 30, 2022 resulted in an overall increase from that of October 31, 2022 by approximately $560,000. Large account balance changes occurred as follows: an approximate $1.4 million combined increase between the Water and Sewer Operating Funds due to positive net results between cash receipts and accounts payable activity for the reporting month and an approximate decrease of $760,000 in the Water Capital fund due to the purchase of a Vactor Hydro Excavator in the amount of $560,000 and a Backhoe Loader in the amount of $175,000 as planned for in the Capital Outlay budget of the current fiscal year. ATTACHMENTS: Cash and Investment Report for November 2022 Page 34 of 59 Yorba Linda Water District Cash & Investment Portfolio Report November 30, 2022 Market % Date of Percent Value Par of Total Institution Maturity Yield Checking Account. $ 1,381,781 $ 1,381,781 Wells Fargo Bank $ S $ 1,381,781 $ 1,381,781 2.07% Total 0.00% Depository Account $ 1,994,964 1,994,964 US Bank Depository Account (Cielo Vista) 1.40% $ 1,994,964 $ 1,994,964 2.99% 1.40% Money Market Accounts: $ 21,006,088 $ 21,006,088 US Bank (2017A & 2022A Revenue Bonds) 1.40% $ 4,336,663 4,336,663 US Bank (Money Market) 3.62% $ 1,167,110 1,167,110 Public Agency Retirement Svcs. (PARS) 0.74% $ 26,509,861 $ 26,509,861 39.76% Total 1.81% Pooled Investment Accounts: $ 36,790,189 $ 36,790,189 Local Agency Investment Fund 2.01% $ S 36,790,189 66,676,796 $ S 36,790,189 55.18% 66,676,796 1001yo Total Investments 2.01% 1.83% Per Government Code requirements, the Investment Report is in compliance with the Yorba Linda Water District's Investment Policy, and there are adequate funds available to meet budgeted and actual expenditures for the next six months. 1—� Delia Lugo, Finance Manager 11/30/22 Page 35 of 59 YLWD Cash & Investment Summary Report Below is a chart summarizing the yields as well as terms and maturities for the month of November 2022: Average # of Month Portfolio Days to of 2022 Yield Maturity November 1.83% 1 Below are charts comparing operating fund interest for current and prior fiscal years. Actual Interest 11/30/2021 11/30/2022 Monthly - November Year -to -Date $ 3,259 $ 35,107 $ 39,610 $ 220,704 Budget 2020/2021 2021/2022 Interest Budget, November YTD $ 128,333 $ 44,552 Interest Budget, Annual $ 308,000 $ 106,925 Interest earned on investments is recorded in the fund that owns the investment. Cash & Investment Summary Comparison Between Current and Previous Month The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds is as follows: The table below displays the District's Cash and Investment balance of $66.7 million which is allocated between the established reserve funds, Wells Fargo Checking Account, and restricted funds held at U.S. Bank for current Bond transaction and PARS for the pension/OPEB transactions. The number of Days in Cash are 325 for the Un -Restricted Water Reserve balance and 919 for the Un -Restricted Sewer Reserve balances, as of November 30, 2022, which are subject to change with the final audited numbers. US Bank Held (Restricted) Rev. Bond 2017A -Principal & Interest Rev. Bond 2022A - Acquisition & COI Depository Account - Cielo Vista Development Public Agency Retirement Svc. -PARS (Restricted) Total Cash and Investments 213 21,184,951 1,994,956 1,116,814 $ 66,118,657 427 21,005,661 1,994,964 1,167,110 $ 66,676,796 Page 36 of 59 FY23 Reserve Cash and Requirements Investments October 2022 % Alloc November 2022 % Alloc "Target Available for Fund Description Balance 10/31/2022 Balance 11/30/2022 Levels" CY Obligations Water Operating Reserve $ 17,042,318 41.96% $ 18,604,343 45.24% $ 19,792,315 $ (1,187,972) Water Emergency Reserve 7,373,821 18.15% 7,374,347 17.93% 7,450,000 (75,653) Water Capital Project Reserve 3,590,507 8.84% 2,828,546 6.88% 11,721,573 (8,893,027) MWD Contingency Reserve - 0.00% - 0.00% 1,000,000 (1,000,000) Rate Stabilization Reserve 4,272,931 10.52% 4,275,580 10.40% 4,251,271 24,309 Un -Restricted Water Reserve Balance $ 32,279,577 $ 33,082,816 44,215,159 (11,132,343) Conservation Reserve $ 106,614 0.26% $ 106,614 0.26% 106,064 550 Employee Liability Reserve 311,511 0.77% 311,511 0.76% 309,040 2,471 Restricted Reserve Balance $ 418,125 $ 418,125 415,104 3,021 Sewer Operating Reserve $ 3,708,153 9.13% $ 3,410,637 8.29% 3,028,299 382,338 Sewer Emergency Reserve 1,981,438 4.88% 1,985,428 4.83% 1,971,423 14,005 Sewer Capital Project Reserve 2,229,846 5.49% 2,229,846 5.42% 2,772,000 (542,154) Un -Restricted Sewer Reserve Balance $ 7,919,438 $ 7,625,912 7,771,722 (145,810) Total Reserve Balances $ 40,617,140 100.00% $ 41,126,852 100.00% $ 52,401,985 $ (11,275,133) Wells Fargo Bank Checking Water Operating 1,624,017 1,468,697 Sewer Operating (419,434) (86,916) 1,204,583 1,381,781 US Bank Held (Restricted) Rev. Bond 2017A -Principal & Interest Rev. Bond 2022A - Acquisition & COI Depository Account - Cielo Vista Development Public Agency Retirement Svc. -PARS (Restricted) Total Cash and Investments 213 21,184,951 1,994,956 1,116,814 $ 66,118,657 427 21,005,661 1,994,964 1,167,110 $ 66,676,796 Page 36 of 59 INVESTMENT BY CATEGORY BALANCES (AS OF 11-30-2022) ■ CheckingAccount: Depository Account _ Checking Account: 0 ■ M M k t A t• 2.99% I 2.07% oney ar a ccoun s. ■ Certificates of Deposit: ■ Pooled Investment Accounts: ■ Depository Account Pooled Investment Accounts: 55.18% Money Market Accounts: 39.76% Checking Account: $ 1,381,781 2.07% Money Market Accounts: $ 26,509,861 39.76% Certificates of Deposit. $ - 0.00% Pooled Investment Accounts: $ 36,790,189 55.18% Depository Account $ 1,994,964 2.99% Total $ 66,676,796 100.00% Page 37 of 59 $35,020,000 $30,020,000 $25,020,000 $20,020,000 $15,020,000 $10,020,000 $5,020,000 $20,000 Unrestricted Reserves & Days in Cash (Water Fund) Nov. 2016 Nov. 2017 Nov. 2018 Nov. 2019 Nov. 2020 Nov. 2021 Nov. 2022 Unrestricted Reserves (Water) --W-Days in Cash (Water) Nov. 2016 Nov. 2017 Nov. 2018 Nov. 2019 Nov.2020 Nov. 2021 Nov.2022 Unrestricted Reserves (Water) $ 27,283,364 $ 27,539,269 $ 29,320,649 $ 30,792,320 $ 31,809,710 $ 28,992,282 $ 33,082,816 Days in Cash (Water) 386 376 375 369 350 291 325 60 Page 38 of 59 Yorba Linda Water District Financing Authority Revenue Bonds, Series 2022A Activity Summary as of November 30, 2022 Date Description Amount 07/28/22 Beginning Balance $30,000,000 08/01/22 Requisition #1 Paydown Bank of America Revolving Line of Credit ($5,743,751) Subtotal of Bond Proceeds for YLWD CIP $24,256,249 85% Target Spenddown of Bond Proceeds for CIP by 7/28/2025 $20,617,812 09/28/22 Requistion #2 - Reimburse District for eligible construction costs ($2,725,606) 10/27/22 Requistion #3 - Reimburse District for eligible construction costs ($391,170) 11/29/22 Requistion #3 - Reimburse District for eligible construction costs ($201,714) Available Balance of Target Spenddown as of November 30, 2022 $17,299,321 Revenue Bonds, Series 2022A Use of Funds to Meet 85% Spenddown Target by July 28, 2025 $3,318,490 16% 40 - $17,299,321 84% Available Balance as of Reporting Date ■ Total Spenddown to Date Page 39 of 59 PARS (Public Agency Retirement Services) Funding Summary for November 30, 2022 Transaction Date Transaction Description Water Operating Pension Water Sewer Operating OPEB Operating Sewer Pension Operating OPEB Account Total Beginning Balance as of 7/1/21 754,305.26 289,298.98 78,124.99 17,436.92 1,139,166.15 7/31/2022 Management Fees (378.17) (237.47) (39.17) (14.31) 1,138,497.03 7/31/2022 Investment Gain/(Loss) 35,526.79 13,624.14 3,679.59 821.17 1,192,148.72 8/31/2022 Management Fees 8/31/2022 Investment Gain/(Loss) (374.03) (21,025.08) (143.43) (8,062.76) T (38.74) (2,177.61) (8.64) (485.97) 1,191,583.88 1,159,832.46 9/30/2022 Management Fees (378.42) (145.09) (39.19) (8.74) 1,159,261.02 9/30/2022 Investment Gain/(Loss) (48,272.88) (18,508.28) (4,999.72) (1,115.55) 1,086,364.59 10/31/2022 Management Fees (360.96) (138.39) (37.38) (8.34) 1,085,819.52 10/31/2022 Investment Gain/(Loss) 20,523.73 7,870.53 2,125.80 474.31 1,116,813.89 11/30/2022 Management Fees 11/30/2022 Investment Gain/(Loss) (154.07) 33,460.90 (59.08) 12,829.29 (15.96) 3,465.62 (3.56) 773.26 1,116,581.22 1,167,110.29 Account Balance by Account Type 772,873.07 296,328.44 80,048.23 17,860.55 $ 1,167,110.29 Page 40 of 59 ITEM NO. 11.1. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, 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 approve the formation of the proposed committees and assignments, the continuation of existing committees and assignments, and the proposed agency and intergovernmental meeting assignments for the 2023 calendar year. FISCAL IMPACT: Total Budget: $90,000 for FY23 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 that were received prior to posting of the agenda. 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). I_'%aIF_[91:ILY, 14011&S List of Active and Proposed Committees, Agency, and Intergovernmental Meeting Assignments Page 41 of 59 YORBA LINDA WATER DISTRICT Board of Directors' Committee, Agency and Intergovernmental Meeting Assignments for 2023 JOINT / INTERAGENCY COMMITTEES YLWD / MWDOC / OCWD Miller Meets as needed. DesRoches YLWD / City of Yorba Linda Lindsey Meets as needed, generally on quarterly basis. DesRoches YLWD / City of Placentia Lindsey Meets as needed. DesRoches YLWD / City of Brea Barbre Schedule to be determined. Lindsey YLWD / PYLUSD Barbre Schedule to be determined. Lindsey AD HOC COMMITTEES YLWD Labor Negotiations Barbre Meets as needed. DesRoches OTHER YLWD Financial Review Group Lindsey Meets as needed. DesRoches INTERGOVERNMENTAL MEETINGS MWDSC Board of Directors Meets 2nd Tuesday of the month at 12:00 p.m. All Directors mwdh2o.com MWDSC Committees Meets 2nd Monday and 4th Tuesday of the month, times vary. All Directors mwdh2o.com MWDOC Board of Directors Miller Meets 1st and 3rd Wednesday of the month at 8:30 a.m. All Directors mwdoc.com MWDOC/OCWD Joint Planning Miller / DesRoches Meets 4th Wednesday of Jan, Apr, Jul and Oct at 8:30 a.m. All Directors mwdoc.com OCWD Board of Directors DesRoches Meets 1st and 3rd Wednesday of the Month at 5:30 p.m. All Directors ocwd.com 1 of 3 Page 42 of 59 YORBA LINDA WATER DISTRICT Board of Directors' Committee, Agency and Intergovernmental Meeting Assignments for 2023 INTERGOVERNMENTAL MEETINGS CONTINUED OC Sanitation Board of Directors * Hawkins / Lindsey / Miller Meets 4th Wednesday of the month at 6:00 p.m. 3 Expressed Interest ocsan.gov Need Primary & Alternate YL City Council Lindsey Meets 1 st and 3rd Tuesday of the month at 6:30 p.m. All Directors yorbalindaca.gov YL Planning Commission Hawkins Meets 2nd and 4th Wednesday of the month at 6:30 p.m. All Directors yorbalindaca.gov/206/Planning-Commission Placentia City Council Lindsey Meets 1 st and 3rd Tuesday of the month at 7:00 p.m. All Directors placentia.org Brea City Council Barbre Meets 1 st and 3rd Tuesday of the month at 7:00 p.m. All Directors ci.brea.ca.us PLYUSD Board of Directors Barbre Meets 2nd and 4th Tuesday of the month at 6:30 p.m. All Directors pylusd.org ISDOC All Directors Meets months with 5th Thursday at 11:30 a.m. isdoc.specialdistrict.org WACO All Directors Meets 1st Friday of the month at 7:30 a.m. mwdoc.com/waco OC LAFCO All Directors Meets 2nd Wednesday of the month at 8:15 a.m. oclafco.org ACCOC Board and Committees Barbre / Lindsey Varies All Directors accoc.org OCBC Board and Committees Barbre / Lindsey Varies All Directors ocbc.org CalMutuals Board of Directors Barbre Meets 3rd Tuesday of the month at 2:00 p.m. All Directors calmutuals.org 2 of 3 Page 43 of 59 YORBA LINDA WATER DISTRICT Board of Directors' Committee, Agency and Intergovernmental Meeting Assignments for 2023 INTERGOVERNMENTAL MEETINGS CONTINUED SAWPA Commission Miller Meets 1st and 3rd Tuesday of the month at 9:30 a.m. All Directors sawpa.org OCWA Webinars Meets 3rd Wednesday of the month at 12:30 p.m. All Directors ocwater.org ACWA-JPIA Board of Directors " Need Primary & Alternate Meets semi-annually in May and November. acwajpia.com * Submission of Form 700 for OC San required. Additional committee participation may be necessary and is determined by OC San Board. Submission of Form 700 for ACWA/JPIA required. 3 of 3 Page 44 of 59 ITEM NO. 12.1. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Delia Lugo, Finance Manager SUBJECT: Draft Calendar for Development of Fiscal Year 2023-24 Budget BACKGROUND: Staff is presenting a "draft calendar of key events" for development of the FY 2023-24 Annual Operating and Capital Improvement Plan Budget. The listed meeting dates are currently tentative and subject to change. ATTACHMENTS: 1. Slide Deck Page 45 of 59 01/5/2023 YLWD Goals B — Ensure Fiscal Responsibility 2 - Stay within the operating budget udget Development Process Yorba Linda Water District AP _ N:w i �1 •R �r � Y ���.,,+r ifs � .j � �= Board of Directors Meeting January 5, 2023 A. Board of Directors Regular Meeting .f w -1%. 10. 01/5/2023 YLWD Goals B — Ensure Fiscal Responsibility 2 - Stay within the operating budget udget Development Process Yorba Linda Water District AP _ N:w i �1 •R �r � Y ���.,,+r ifs � .j � �= Board of Directors Meeting January 5, 2023 A. Board of Directors Regular Meeting Budget Process Six month calendar the provides an overview on the process to develop the District's FY 2023-24 Annual Operating and Capital Improvement Budget. Key Elements of Draft Budget Calendar: • Scheduled meetings for discussions and updates on budgeting assumptions • Listed deadlines for the development of listed program budgets • Executive Staff meetings for review and discussion on the budget results • Key dates of Budget Workshops with presentations to the Board of Directors The Draft Budget Calendar is attached for your review and will be discussed in further detail at the January 19, 2023 scheduled Budget Workshop. Page 47 of 59 RY FEBRUARY CH PRIL MAY Wednesday,January4, 2023 Monday,January 16, 2023 Thursday, January 19, 2023 Wednesday, January 25, 2023 Wednesday, February 1, 2023 Wednesday, February 15, 2023 Thursday, February 16, 2023 Monday, February 20, 2023 Wednesday, February 22, 2023 Wednesday, March 1 , 2023 Wednesday, March 8, 2023 Thursday, March 16, 2023 Monday, March 20, 2023 Wednesday, March 22, 2023 Tuesday, Apri14. 2023 Wednesday, April 5, 2023 Monday, April 17, 2023 Thursday. Apri120. 2023 Wednesday, April 26, 2023 Wednesday, May 3, 2023 Wednesday, May 10, 2023 Monday, May 15, 2023 Thursday, M ay 18, 2023 Wednesday, May 24, 2023 Tuesday, M ay 30, 2023 Monday, June 5, 2023 Thursday, June 15, 2023 Draft Budget Calendar FY 2023-24 ANNUAL OPERATINGICAPITAL BUDGET DEVELOPMENT- CALENDAR OF KEY EVENTS Staff M eeting Executive Staff Bud get Wo rksho p Staff M eeting Eng/Ops Managers Staff Meet ng Bud get Wo rksho p Executive_ Staff Staff Meet ng Department Managers Staff Meet ng Bud get Wo rksho p Executive Staff Staff Meet ng HR and DeptManagers Staff M eeting Executive Staff Bud get Wo rksho p Staff M eeting Department Managers Staff M eeting Executive_ Staff Budget Workshop/Hearing Staff M eeting Department Managers Department Managers Budget WorkshoplHearing Distribute FY 2023-24 Budget Development Packages to Department Managers Discussion on budget development processes Meeting with BCD to establish goals and objectives for FY 2023-24 Annual Operating and Capital Budgets Status updates on department/program budget development FY2023-24 CIP, Capital Outlayand Variable Cost Budgets (V 1 .0) due to Finance Status updates on department/program budget development Present Draft FY 2023-24 CIP, Capital Outlay, and Variable CostBudgets (V 1.0) Update on Budgeted Positions and Draft Salary Projections for FY 2023-24 Status updates on FY2023-24 department and program budgets FY2023-24 Operating Revenue and Department Supplies & Services Budgets due to Finance (V 1.0) Status updates on FY2023-24 department and program budgets Present Draft FY 2023-24 Operating Revenue and Supplies & Services Budgets (V 1 .0) and Other Key Updates (V 2.0) Update on key components of FY 2023-24 Annual Operating and CIP Budget Discussion on FY2023-24 Budget updates and Department Performance Measurements (V 1.0) Draft Salaries and Related Expense Budget (V1 .0) and other keyupdates due to Finance Update on key components of FY 2023-24 Annual Operating and CIP Budget Discussion on key components ofFY2023-24 Annual Operating and CIP Budget Present Draft FY 2023124 Salaries and Related Expense Budget(V 1 .0) and Other Key Updates (V 3.0) Update on key components of FY 2023-24 Annual Operating and CIP Budget Key updates for FY 2023-24 Annual Operating and CIP Budgetdueto Finance Overview on presentation of FY 2023-24 Annual Operating and CIP Budgetto Board of Directors Discussion on key components ofFY2023-24 Annual Operating and CIP Budget PresentFY2023-24 Annual Operating and CIP Budget (Draft Final4.0) to Board of Directors forAdoption GOAL Discussion on key components ofFY2023-24 Annual Operating and CIP Budget Key updates for FY 2023-24 Annual Operating and CIP Budgetdueto Finance Final Key updatesfor FY 2023-24 Annual Operating and CIP Budget due to Finance PresentFY 2023124 Operating and CIP Budget (Final Draft5.0) for Board of DirecmrApproval 'Additional meetings should the FY 2023-24 Annual Operating and CIP Sudget notbe adoptedon May 48, 2023. Page 48 of 59 ITEM NO. 12.2. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT: Scheduling Board Workshop Meeting BACKGROUND: Attached are calendars for January and February with potential dates for scheduling the Board workshop meeting. ATTACHMENTS: 1. Availability Calendars Page 49 of 59 BOARD WORKSHOP SCHEDULING CALENDAR JANUARY 2023 KEY Potential Date Known Conflict Page 50 of 59 MON TUE WED THU 2 3 4 5 9 AM SAWPA Comm 9:30 AM MWDOC Board 8:30 AM 12 PM 3 PM OCWD Board 5:30 PM YLWD Board 3:00 PM 9 10 11 12 9 AM 12 PM 3 PM YL Planning Comm 6:30 PM 16 17 18 19 9 AM SAWPA Comm 9:30 AM MWDOC Board 8:30 AM 12 PM OCWA Webinar 12:30 PM 3 PM YL City Council 6:30 PM OCWD Board 5:30 PM YLWD Board 6:30 PM 23 24 25 26 9 AM 12 PM 3 PM OC San Board 6:00 PM YL Planning Comm 6:30 PM 30 31 9 AM 12 PM 3 PM KEY Potential Date Known Conflict Page 50 of 59 BOARD WORKSHOP SCHEDULING CALENDAR FEBRUARY 2023 KEY Potential Date Known Conflict Page 51 of 59 MON TUE WED THU 1 2 9 AM MWDOC Board 8:30 AM 12 PM 3 PM OCWD Board 5:30 PM YLWD Board 3:00 PM 6 7 8 9 9 AM SAWPA COMM 9:30 AM 12 PM 3 PM YL City Council 6:30 PM MWDOC Policy 5:30 PM 13 14 15 16 9 AM MWDOC Board 8:30 AM 12 PM OCWA Webinar 12:30 PM 3 PM OCWD Board 5:30 PM YLWD Board 3:00 PM YL Planning Comm 6:30 PM 20 21 22 23 9 AM SAWPA Comm 9:30 AM UWI Conference UWI Conference 12 PM 3 PM YL City Council 6:30 PM OC San Board 6:00 PM 27 28 1 2 9 AM MWDOC Board 8:30 AM 12 PM 3 PM OCWD Board 5:30 PM YLWD Board 3:00 PM YL Planning Comm 6:30 PM KEY Potential Date Known Conflict Page 51 of 59 ITEM NO. 12.3. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Delia Lugo, Finance Manager SUBJECT: Status of CaIPERS Net Pension and Other Post -Employment Benefits (OPEB) Funded Liabilities and Public Agency Retirement Services (PARS) Funding The following information is being provided in response to questions from Directors posed at the December 13, 2022 Board meeting. 1. In response to President Barbre's inquiry on the District's June 30, 2022 resulting coverage percentages for existing CaIPERS Net Pension and OPEB funded liabilities: Net Pension Funded Liability Percentage = 87.81 % Other Post -Employment Benefits (OPEB) = 86.64% 2. In response to Director Miller's inquiry on the account activity for the District's accounts at PARS: PARS (Public Agency Retirement Services) Funding Summary for November 30, 2022 Balance as of 11/30/22 5 852.921.30 5 314.188.99 S 1,167,110.29 In summary, the Board authorized staff to establish accounts at PARS via Resolution No. 17- 32 at the October 10, 2017 meeting. As of that date, the District has deposited $1,940,186 with PARS. Since inception and as of November 30, 2022, the accounts have increased in value by $229,796.53 and have incurred management fees for a total of $33,543.36. Page 52 of 59 Pension OPER Total Initial Contribution as of 12/28/2017 S 247,599.00 - 247,599.00 Additional Contribution ...6/26/19 $ 1,105,248.00 587,339.00 1,694587.00 Total Contributions 1,940,186.00 Distribution to WIPERS 7/15/2020 S (631,392.00) - 631,392.00 Distribution to YLWD 6/30/2022 S (337,936.88) (337,936.88)1 Total Gain (or Loss) from Inception 5 152,804.46 76,992.07 229,79653 Total Management Fees from Inception S (21,338.16) [12,205.20] (33,543.36) Balance as of 11/30/22 5 852.921.30 5 314.188.99 S 1,167,110.29 In summary, the Board authorized staff to establish accounts at PARS via Resolution No. 17- 32 at the October 10, 2017 meeting. As of that date, the District has deposited $1,940,186 with PARS. Since inception and as of November 30, 2022, the accounts have increased in value by $229,796.53 and have incurred management fees for a total of $33,543.36. Page 52 of 59 On July 15, 2020, staff submitted invoices totaling $631,392 to PARS for a withdrawal from the District's Pension 115 Trust Account to fund the District's annual payment towards its annual Unfunded Accrued Liability obligation with CalPERS. Then on June 27, 2022, staff submitted the appropriate and required supporting documentation to PARS as a means to reimburse the District $337,936.88 for expenses related to extended retiree health benefits (medical, dental, and vision) for Fiscal Years 2020-21 and 2021-22. Page 53 of 59 ITEM NO. 13.1. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, 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: December 2022 OC LAFCO - December 14, 2022 YL Planning Commission - December 14, 2022 WACO Planning Committee - December 20, 2022 SAWPA Commission - December 20, 2022 YL City Council - December 20, 2022 MWDOC Board - December 21, 2022 OCWD Board - December 21, 2022 January 2023 ISDOC Executive Committee - January 3, 2023 SAWPA Commission - January 3, 2023 MWDOC Board - January 4, 2023 OCWD Board - January 4, 2023 Page 54 of 59 ITEM NO. 13.2. Yorba Linda Water District MEETING DATE: TO: FROM: STAFF CONTACTS: SUBJECT: AGENDA REPORT January 5, 2023 Board of Directors Mark Toy, General Manager Mark Toy, General Manager General Manager's Report A brief update on District activities and matters of interest as of December 27, 2022. General Manager As YLWD heads into the new year, on behalf of the entire District staff, I would like to congratulate Director Phil Hawkins and Director Tom Lindsey on their reelection to the YLWD Board of Directors. Additionally, I would like to congratulate Director Brett Barbre on his election to the Board and his selection as President for the upcoming year. Appreciate our Board members who attended our employee holiday luncheon — thank you for your special remarks to the entire staff. The festivities continue during the last week of December as we bid farewell to two longtime employees, Ms. Pati Medina and Mr. Mando Raya. The entire YLWD thanks Pati and Mando for their many years of dedicated service and we wish them well in their retirement. Coordination continues in earnest with Metropolitan Water District of Southern California (Metropolitan) on the planned design and construction of a third helicopter hydrant in the YLWD service area. Metropolitan and YLWD conducted two separate staff in -progress reviews (IPRs): (1) Design and Construction discussion with Ms. Nikki DuranAubrecht (Lead Project Manager); and (2) Memorandum of Understanding (MOU) discussion with Ms. Catherine Stites (Metropolitan General Counsel). Of note, a clearer interpretation of the intent of the design and construction of the helicopter hydrant was articulated; that is, the partnership between Metropolitan, the federal government (Forest Service), and YLWD (if necessary) will allow for the joint -funding construction of a facility that is efficient, effective, and has regional impact across the entire service area. My Zoom participation in Metropolitan Water District of Orange County's (MWDOC) and Orange County Water District's (OCWD) December 21, 2022 Board of Directors' meetings saw the installation of: President Yoo-Schneider and VP McVicker at MWDOC (current officer slate extended); and President Green, 1st VP Bilodeau, and 2nd VP Tran at OCWD (new slate). Congratulations on the installment of their respective officers for the next calendar year. Many of our employees are taking advantage of the holiday season and will be using vacation in the last week of the calendar year. We are all looking forward to a happy, healthy, and productive 2023! Page 55 of 59 Operations 2. Water Production: Fiscal year to date water purchases are tracking at 9% below budgeted. Fiscal year to date we are at 81 % for the BPP. The PFAS Treatment Plant continues to operate within the guidelines and the District's State approved Operating and Maintenance Plan. Facilities Maintenance: Facilities Maintenance has completed the installation and testing of new CCTV security cameras at three offsite facilities. Water Maintenance: Fiscal year to date the fire hydrant crew has completed the maintenance and testing of 1,624 fire hydrants and is on track for completing all District fire hydrants by fiscal year-end. Additionally, on the evening of Tuesday, December 13, 2022, starting at 7:00 p.m., the Maintenance Crew worked through the night on a water main break at Old Pomegranate Road 8" ductile iron pipe. Engineering 3. The BNSF Railway Waterline Crossing at Veterans Village project is scheduled to go out for bid before the end of December 2022. This CIP project will provide water service redundancy for our District Headquarters and approximately 200 customers located south of Orangethorpe Avenue. Design has commenced ahead of schedule for the Mountain View Waterline Replacement CIP project. This project has become a high priority due to recent and more frequent breaks, which have increased the Likelihood of Failure (LOF) rating. The 10 -inch cast iron pipe was installed in the 1930s. The replacement pipeline is being designed by District staff. Finance 4. As YLWD is about to embark on the FY2023-24 Annual Budget, Finance staff will be distributing initial budget packets to each department in early January. Thus begins the budget process for the coming fiscal year. Human Resources and Risk Management 5. Status of Recruitments: Customer Service Rep III — One promotion effective January 2023. Two new hires as Customer Service Rep IIs are in the background phase with tentative start dates end of January 2023. Plant Operator I/OIT — New hire to start on January 2, 2023. Safety and Training Analyst — Recruitment is Open until Filled. Tentative interviews January 2023. Maintenance Worker III - First review December 27, 2022. Public/Legislative Affairs 6. Public Affairs toured the host of Discover Yorba Linda around the PFAS Treatment Plant for Page 56 of 59 an upcoming episode. Discover Yorba Linda is a local Instagram show. Episodes are 15 minutes and can be viewed here: https://www.instagram.com/discover yorba linda/reels/?hl=en The United States Senate has passed the Consolidated Appropriations Act 2023 by a vote of 68-29. The Green Crest Lift Station earmark is included and now heads to the House for final congressional approval. The Senate struck an agreement on the timing for a vote on final passage of the FY2022-23 omnibus spending bill. In exchange for the timing agreement, senators requested 18 amendments be taken. Of note was an amendment from Sen. Alex Padilla to allow for greater flexibility in the eligible uses for the American Rescue Plan Act (ARPA) State and Local Fiscal Recovery Funds. The amendment passed unanimously. Another amendment of note was one offered by Sen. Ron Johnson of Wisconsin to strip out the more than seven thousand earmarks included in the bill. The amendment vote failed 34-63, maintaining the earmarks in the bill and demonstrating bipartisan support for earmarks. After amendment votes, the Senate passed the FY2022-23 omnibus. The House will try to take the bill up after it is enrolled by the Senate and transferred to the House. The bill will not be amended in the House and is expected to pass as soon as they are able to process it. The President has said he will sign the bill into law. Ultimately, there is little doubt the bill will become law, it's just a matter of how quickly. Attached is CommunicationLAB's monthly activity report for December 2022. Staff is available to answer any questions you may have regarding the foregoing. ATTACHMENTS: CommunicationsLAB December Activity Report Page 57 of 59 .v Communications AB discover your voice December Activity Report TO: Alison Martin, Public Affairs Manager, PIO, Yorba Linda Water District FROM: Diego Teran, Sr. Account Manager, Communications LAB DATE: Dec. 20, 2022 RE: Current communications projects Below are highlights of current Communications Lab projects for Yorba Linda Water District: • Social Media a) Agency sent updated Social Media calendar from Jan. 15 -Mar 15, 2023, for approval. Next steps: Add any special occasion to calendar as needed. b) Agency inquired about themes and categories for upcoming calendars. One specific topic that the agency proposes to include is drought. Next step: Proceed according to feedback. c) Client expressed a preference for an increase in video activity for the second quarter of year 2023. Next steps: The agency will present options during the first quarter. • Video Production a) Agency edited photos and videos provided by client, in video for two district retirees. Agency provided final videos on Dec. 27, ahead of Dec. 29 lunch, when videos will play. 701 e chapman ave. orange, ca 92866 www.communicationsiab.com Page 58 of 59 ITEM NO. 15.1. Yorba Linda Water District AGENDA REPORT MEETING DATE: January 5, 2023 TO: Board of Directors FROM: Mark Toy, General Manager STAFF CONTACTS: Annie Alexander, Senior Executive Assistant / Board Secretary SUBJECT: Meetings from January 6, 2023 - February 28, 2023 January WACO Fri, Jan 6 7:30 AM OC LAFCO Wed, Jan 11 8:15 AM YL Planning Commission Wed, Jan 11 6:30 PM WACO Planning Committee Tue, Jan 17 7:30 AM SAWPA Commission Tue, Jan 17 9:30 AM YL City Council Tue, Jan 17 6:30 PM MWDOC Board Wed, Jan 18 8:30 AM OCWA Webinar Wed, Jan 18 12:30 PM OCWD Board Wed, Jan 18 5:30 PM Board of Directors Regular Meeting Thu, Jan 19 3:00 PM OC Sanitation Wed, Jan 25 6:00 PM YL Planning Commission Wed, Jan 25 6:30 PM February MWDOC Board Wed, Feb 1 8:30 AM OCWD Board Wed, Feb 1 5:30 PM Board of Directors Regular Meeting Thu, Feb 2 3:00 PM WACO Fri, Feb 3 7:30 AM ISDOC Executive Committee Tue, Feb 7 7:30 AM SAWPA Commission Tue, Feb 7 9:30 AM YL City Council Tue, Feb 7 6:30 PM OC LAFCO Wed, Feb 8 8:15 AM MWDOC Water Policy Forum Thu, Feb 9 5:30 PM MWDOC Board Wed, Feb 15 8:30 AM OCWA Webinar Wed, Feb 15 12:30 PM OCWD Board Wed, Feb 15 5:30 PM YL Planning Commission Wed, Feb 15 6:30 PM Board of Directors Regular Meeting Thu, Feb 16 3:00 PM WACO Planning Committee Tue, Feb 21 7:30 AM SAWPA Commission Tue, Feb 21 9:30 AM YL City Council Tue, Feb 21 6:30 PM OC Sanitation Wed, Feb 22 6:00 PM As of December 28, 2022 Page 59 of 59