HomeMy WebLinkAbout2012-01-26 - Board of Directors Meeting Agenda Packet
Yorba Linda
Water District
AGENDA
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Thursday, January 26, 2012, 8:30 AM
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
2. PLEDGE OF ALLEGIANCE
3. ROLL CALL
Phil Hawkins, President
Gary T. Melton, Vice President
Michael J. Beverage
Ric Collett
Robert R. Kiley
4. ADDITIONS/DELETIONS TO THE AGENDA
5. PUBLIC COMMENTS
Any individual wishing to address the Board is requested to identify themselves and state the matter on which
they wish to comment. If the matter is on the agenda, the Board 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 matters of public interest and matters within the jurisdiction of the Water District. Comments are limited to five
minutes.
6. SPECIAL RECOGNITION
6.1. Recognize Doug Baker, Mechanic II, for Receiving the H.R. LaBounty Safety Award
7. COMMITTEE REPORTS
7.1. Citizens Advisory Committee
(Beverage)
• Minutes of meeting held January 23, 2012 at 8:30 a.m. (To be provided at the Board
meeting.)
• Meeting scheduled February 27, 2012 at 8:30 a.m.
8. CONSENT CALENDAR
All items listed on the consent calendar are considered to be routine matters, status reports, or documents
covering previous Board instructions. The items listed on the consent calendar may be enacted by one motion.
There will be no discussion on the items unless a member of the Board, staff, or public requests further
consideration.
8.1. Minutes of the Board of Directors Regular Meeting Held January 12, 2012
Recommendation: That the Board of Directors approve the minutes as presented.
8.2. Minutes of the Board of Directors Workshop Meeting Held January 16, 2012
Recommendation: That the Board of Directors approve the minutes as presented.
8.3. Payments of Bills, Refunds, and Wire Transfers
Recommendation: That the Board of Directors ratify and authorize disbursements
in the amount of $1,472,448.81.
8.4. Progress Payment No. 3 for Construction of Well No. 20 Well Head Equipping Project
Recommendation: That the Board of Directors approve Progress Payment No. 3 in
the net amount of $257,610.60 to Pascal & Ludwig Constructors for construction of
the Well No. 20 Well Head Equipping Project, Job No. 200711.
8.5. Progress Payment No. 12 for Construction of the Highland Booster Pump Station Project
Recommendation: That the Board of Directors approve Progress Payment No. 12 in
the net amount of $375,521.48 to Pacific Hydrotech Corporation for construction of
the Highland Booster Pump Station Project, Job No. 200814.
8.6. Final Progress Payment No. 4 and Notice of Completion for the 2010 Waterline
Replacement Project, Phase 1 - Plumosa Drive Project.
Recommendation: That the Board of Directors approve Final Progress Payment No.
4, in the net amount of $115,670.25, to Kana Pipeline Inc. and 10% retention of
$12,852.25; authorize staff to file the Notice of Completion and release the retention
thirty five days following recordation, if no liens have been filed, release the Labor
and Material Bond, and release the Faithful Performance Bond in one year if no
defects have been found for the construction of the 2010 Waterline Replacement
Project, Phase 1 - Plumosa Drive Project, Job No. 201012.
8.7. Declaration of Restrictive Covenants with William Payne - 4389 Smoketree Avenue,
Yorba Linda
Recommendation: That the Board of Directors authorize the President and
Secretary to execute the Declaration of Restrictive Covenants with William Payne.
9. ACTION CALENDAR
This portion of the agenda is for items where staff presentations and Board discussions are needed prior to
formal Board action.
9.1. Resolution Authorizing an Amendment to the Contract with CalPERS to Provide Section
20475 (Different Levels of Benefits)
Recommendation: That the Board of Directors adopt Resolution No. 12-01
Authorizing an Amendment to the Contract with CaIPERS, to provide Section 20475
(Different Levels of Benefits) implementing a Second tier level under Section 21353
(2% 0 60 Full formula), applicable to new hires after the contract amendment is
executed.
9.2. Resolution For Employer Paid Member Contributions
Recommendation: That the Board of Directors adopt Resolution No. 12-02 For
Employer Paid Member Contributions providing that the District will pay 0% of the
Employer Paid Member Contributions for employees hired after January 26, 2012.
9.3. Proposal for Additional Coverage to the Property Insurance Program
Recommendation: That the Board of Directors approve extending comprehensive
and collision insurance coverage to the remaining District vehicles not currently
covered under the District's Property Program. The proposed coverage would
become effective during the April 1, 2012 property insurance renewal period.
9.4. Reject and Refer Claim to ACWA/Joint Powers Insurance Authority
Recommendation: That the Board of Directors reject the claim filed by Mr. D'Amico
and refer it to ACWA/Joint Powers Insurance Authority.
10. DISCUSSION ITEMS
This portion of the agenda is for matters that cannot reasonably be expected to be concluded by action of the
Board of Directors at the meeting, such as technical presentations, drafts of proposed policies, or similar items for
which staff is seeking the advice and counsel of the Board of Directors. Time permitting, it is generally in the
District's interest to discuss these more complex matters at one meeting and consider formal action at another
meeting. This portion of the agenda may also include items for information only.
10.1. Debrief - MWD Shutdown January 8-15, 2012
11. REPORTS, INFORMATION ITEMS, AND COMMENTS
11.1. President's Report
11.2. Directors' Reports
11.3. General Manager's Report
11.4. General Counsel's Report
11.5. Future Agenda Items and Staff Tasks
12. COMMITTEE REPORTS CONTINUED
12.1. Executive-Administrative-Organizational Committee
(Hawkins/Melton)
Minutes of meeting held January 11, 2012 at 4:00 p.m.
Meeting scheduled February 8, 2012 at 4:00 p.m.
12.2. Finance-Accounting Committee
(Kiley/Hawkins)
• Minutes of meeting held January 23, 2012 at 4:00 p.m. (To be provided at the next
Board meeting.)
• Meeting scheduled February 27, 2012 at 4:00 p.m.
12.3. Personnel-Risk Management Committee
(Beverage/Collett)
Minutes of meeting held January 10, 2012 at 4:00 p.m.
Meeting scheduled February 14, 2012 at 4:00 p.m.
12.4. Planning-Engineering-Operations Committee
(Collett/Kiley)
Minutes of meeting held January 5, 2012 at 4:00 p.m.
Meeting scheduled February 2, 2012 at 4:00 p.m.
12.5. Public Affairs-Communications-Technology Committee
(Melton/Beverage)
Minutes of meeting held January 9, 2012 at 4:00 p.m.
Minutes of meeting held January 19, 2012 at 4:00 p.m. (To be provided at the next
Board meeting.)
• Meeting scheduled February 6, 2012 at 4:00 p.m.
12.6. YLWD-MWDOC-OCWD Joint Agency Committee
(Hawkins/Beverage)
• Minutes of meeting held January 24, 2012 at 4:00 p.m. (To be provided at the next
Board meeting.)
• Meeting scheduled March 27, 2012 at 4:00 p.m.
13. INTERGOVERNMENTAL MEETINGS
13.1. YL City Council - January 17, 2012 (Melton)
13.2. MWDOC Board - January 18, 2012 (Melton/Staff)
13.3. OCWD Board - January 18, 2012 (Kiley/Staff)
13.4. YL Planning Commission - January 25, 2012 (Collett)
14. BOARD OF DIRECTORS ACTIVITY CALENDAR
14.1. Meetings from January 27, 2012 - February 29, 2012
15. CONFERENCES, SEMINARS, AND SPECIAL EVENTS
This section of the agenda is for the Board of Directors to authorize Director attendance at the listed events.
15.1. MWDOC Water Policy Forum & Dinner - February 2, 2012
Recommendation: That the Board of Directors authorize Director attendance at this
event if desired.
16. CLOSED SESSION
The Board may hold a closed session on items related to personnel, labor relations and/or litigation. The public is
excused during these discussions.
16.1. Conference with Legal Counsel - Pending Litigation
Pursuant to Subdivision (a) of Section 54956.9 of the California Government Code
Name of Case: Itani, et al vs. YLWD (OC Superior Court - Case No. 00124906)
Name of Case: Johnson, et al vs. YLWD, et al (OC Superior Court - Case No.
00125994)
Name of Case: State Farm General Insurance Company vs. YLWD (OC Superior Court
- Case No. 00311353)
Name of Case: Weiss vs. YLWD (OC Superior Court - Case No. 00319080)
Name of Case: Lindholm vs. YLWD, et al (OC Superior Court - Case No. 00320239)
Name of Case: Travelers Commercial Insurance Company vs. YLWD (OC Superior
Court - Case No. 00327152)
Name of Case: Manista vs. YLWD, et al (OC Superior Court - Case No. 00332968)
Name of Case: American Security Insurance Company, et al vs. YLWD (OC Superior
Court - Case No. 00348304)
Name of Case: Buc vs. YLWD (OC Superior Court - Case No. 00409755)
Name of Case: Interinsurance Exchange of the Automobile Club vs. YLWD (OC
Superior Court - Case No. 00425404)
Name of Case: ACWA/JPIA, et al vs. Insurance Company of the State of Pennsylvania,
et al (OC Superior Court - Case No. 00486884)
16.2. Public Employee Performance Evaluation
Pursuant to Section 54957 of the California Government Code
Title: General Manager
17. ADJOURNMENT
17.1. The next regular meeting of the Board of Directors will be held February 9, 2012 at 8:30
a. m.
Items Distributed to the Board Less Than 72 Hours Prior to the Meeting
Pursuant to Government Code section 54957.5, non-exempt public records that relate to open session agenda items
and are distributed to a majority of the Board less than seventy-two (72) hours prior to the meeting will be available for
public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA 92870,
during regular business hours. When practical, these public records will also be made available on the District's internet
website accessible at http://www.ylwd.com/.
Accommodations for the Disabled
Any person may make a request for a disability-related modification or accommodation needed for that person to be
able to participate in the public meeting by telephoning the Executive Secretary at 714-701-3020, or writing to Yorba
Linda Water District, P.O. Box 309, Yorba Linda, CA 92885-0309. Requests must specify the nature of the disability and
the type of accommodation requested. A telephone number or other contact information should be included so the
District staff may discuss appropriate arrangements. Persons requesting a disability-related accommodation should
make the request with adequate time before the meeting for the District to provide the requested accommodation.
ITEM NO. 7.1
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Citizens Advisory Committee
(Beverage)
• Minutes of meeting held January 23, 2012 at 8:30 a.m. (To be provided at the
Board meeting.)
• Meeting scheduled February 27, 2012 at 8:30 a.m.
ATTACHMENTS:
Name: Description: Type:
012312 - CAC Minutes.docx CAC Mtg Minutes 01/23/12 Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
CITIZENS ADVISORY COMMITTEE MEETING
January 23, 2012
1. CALL TO ORDER
A meeting of the Citizens Advisory Committee was called to order at 8:30 a.m. by
Chair Daniel Mole. The meeting was held at the District's Administrative Office at
1717 E Miraloma Ave, Placentia CA 92870.
COMMITTEE MEMBERS PRESENT
Daniel Mole, Chair Rick Buck Joe Holdren
Greg Myers Oscar Bugarini Sr. Modesto Llanos
Lindon Baker Carl Boznanski Cheryl Spencer-Borden
Gus Bruner Fred Hebein
YLWD DIRECTORS PRESENT YLWD STAFF PRESENT
Michael J. Beverage, Director Ken Vecchiarelli, General Manager
Damon Micalizzi, PI Officer
Stephen Parker, Finance Manager
OTHER VISITORS
Mark Schock
2. PUBLIC COMMENTS
None.
3. PRESENTATIONS
3.1. Water Rate Study and Financial Planning Workshop
Mr. Parker presented to the Committee a PowerPoint presentation which
included an overview of some financial plan scenarios and water rate
structure options. Staff responded to questions from the Committee
regarding the water financial model, the District's reserve funds, bond
funds, and Capital Improvement Plan (CIP), and savings associated with
annexation to OCWD. There was some discussion about what is the
Committee to do with the abundance of information presented and
Chairman Mole asked the Committee to be active in using the information
to educate other District Customers about the intricacies of the water
supply and the variables that affect the District's rate.
1
4. DISCUSSION ITEMS
4.1. Colorado River Inspection Trip
Accompanied by photographs from the weekend tour, Mr. Bruner offered a
recap of the Colorado River Inspection Trip he attended that was hosted
by Metropolitan Director Brett Barbre. Mr. Bruner suggested that the rest
of the Committee try to attend future Inspection trips, as it was not only a
very educational look at California's water delivery system but an
enjoyable weekend as well.
4.2. New District Signs (Verbal Report)
Mr. Micalizzi presented to the Committee the new signage that will be
replacing the District's conservation meter signs throughout Yorba Linda.
4.3. Future Agenda Items
■ Intro to Metropolitan Water District - Q&A with Director Brett Barbre
■ Golden State Water District
■ District Emergency Preparedness Efforts
■ District Public Affairs Efforts
5. ADJOURNMENT
5.1. The Committee adjourned at 10:20 a.m. The next regular meeting of the
Citizens Advisory Committee will be held February, 27, 2012 at 8:30 a.m.
2
ITEM NO. 8.1
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Minutes of the Board of Directors Regular Meeting Held January 12, 2012
STAFF RECOMMENDATION:
That the Board of Directors approve the minutes as presented.
ATTACHMENTS:
Name: Description: Type:
011212 BOD - Minutes.doc BOD Mtg Minutes 01/12/12 Minutes
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
January 12, 2012
1. CALL TO ORDER
The January 12, 2012 Regular Meeting of the Yorba Linda Water District Board
of Directors was called to order by President Hawkins at 8:30 a.m. The meeting
was held in the Board Room at the District's Administrative Building located at
1717 East Miraloma Avenue in Placentia, California 92870.
2. PLEDGE OF ALLEGIANCE
Director Hawkins led the pledge. {
3. ROLL CALL
DIRECTORS PRESENT STAFF PRESENT
Phil Hawkins, President Ken Vecchiarelli, General Manager
Gary T. Melton, Vice President Steve Conklin, Engineering Manager
Michael J. Beverage Lee Cory, Operations Manager
Ric Collett Stephen Parker, Finance Manager
Robert R. Kiley Art Vega, Interim IT Manager
Damon Micalizzi, PI Officer
Annie Alexander, Executive Secretary
ALSO PRESENT
Nancy Rikel, Councilmember, City of Yorba Linda (Arrived 8:35 a.m.)
Art Kidman, General Counsel, Kidman Law LLP
Eddy Beltran, Senior Associate, Kidman Law LLP
Eileen Facer
4. ADDITIONS/DELETIONS TO THE AGENDA
Mr. Vecchiarelli announced that the Closed Session (Item No. 14.1.) was no
longer required.
5. PUBLIC COMMENTS
Ms. Eileen Facer addressed the Board and expressed her gratitude for the
installation of a gate on the access road near the Highland Reservoir. Mr.
Vecchiarelli and Mr. Conklin then reported on staff's efforts related to the project.
The gate will be officially closed the morning of January 16, 2012.
6. SPECIAL RECOGNITION
6.1. Recognize Stephen Parker, Finance Manager, for Completion of the
ACWA/JPIA Supervisor Basics Certification Program
President Hawkins presented Mr. Parker with a plaque commemorating
his completion of this certification program.
1
7. CONSENT CALENDAR
Director Collett made a motion, seconded by Director Beverage, to approve the
Consent Calendar. Director Collett abstained from voting on Check No. 58194 of
Item No. 7.2. as he has a financial interest with the vendor. Motion carried 5-0.
7.1. Minutes of the Board of Directors Regular Meeting Held December 22, 2011
Recommendation. That the Board of Directors approve the
minutes as presented.
7.2. Payments of Bills, Refunds and Wire Transfers
Recommendation. That the Board of Directors ratify and authorize
disbursements in the amount of $1,964,280.05.
7.3. Progress Payment No. 2 for Construction of the Well No. 20 Well Head
Equipping Project
Recommendation. That the Board of Directors approve Progress
Payment No. 2 in the net amount of $17,738.10 to Pascal & Ludwig
Constructors for construction of the Well No. 20 Well Head
Equipping Project, Job No. 200711.
7.4. Progress Payment No. 5 for Construction of the Ohio St. and Oriente Dr.
Pipeline Replacement
Recommendation. That the Board of Directors approve Progress
Payment No. 5 in the net amount of $123,919.20, to Mamco
Construction for the Ohio Street and Oriente Drive Pipeline Project,
Job No. 201006.
7.5. Progress Payment No. 11 for Construction of the Highland Booster Pump
Station Project
Recommendation. That the Board of Directors approve Progress
Payment No. 11 in the net amount of $330,751.37 to Pacific
Hydrotech Corporation for construction of the Highland Booster
Pump Station Project, Job No. 200814.
7.6. Change Order No. 2 for Additional Engineering Services for Steven
Andrews Engineering
Recommendation. That the Board of Directors approve Change
Order No. 2 for Additional Engineering Services for Steven
Andrews Engineering for $6,900, and direct staff to request
payment of $3,450 from the City of Anaheim for its half of this
additional project cost.
2
8. ACTION CALENDAR
8.1. ACWA Health Benefits Authority Board of Directors Election
Mr. Vecchiarelli explained that the ACWA HBA was soliciting votes for the
election of one Director. Four individuals are currently running for this
seat. The Executive-Administrative-Organizational Committee reviewed
this matter and initially was going to recommend that the Board nominate
Joan C. Finnegan for this position. After additional consideration, the
Committee thought that the Board might want to nominate Steven M.
Ruettgers for this position as ACWA had been providing great support for
the Freeway Complex Fire litigation. Ultimately, the Committee did not to
make a recommendation to the Board.
Director Beverage made a motion, seconded by Director Collett, to cast
the District's vote for Steven M. Ruettgers for the position of ACWA HBA
Director. Motion carried 5-0.
9. REPORTS, INFORMATION ITEMS, AND COMMENTS
9.1. President's Report
President Hawkins briefly commented on the construction taking place
near the high school.
9.2. Directors' Reports
■ CRWUA Conference - December 14-16, 2011 (Beverage/Melton)
Directors Beverage and Melton provided a summary of the topics
covered during the conference. A video regarding the Colorado
River was also shown at this time.
9.3. General Manager's Report
■ Highland Reservoir Access Road Closure
Mr. Vecchiarelli previously reported on this matter under Item No. 5.
■ District Historical Information
Mr. Vecchiarelli reported that he had been presented with a binder
of historical information from the family of Leonard Dueker, the
District's first General Manager.
9.4. General Counsel's Report
Mr. Kidman reported that his firm had moved to a new location and would
now be known as Kidman Law LLP.
9.5. Future Agenda Items and Staff Tasks
None.
3
10. COMMITTEE REPORTS
10.1. Executive-Administrative-Organizational Committee
(Hawkins/Melton)
Minutes of the meeting held December 20, 2011 at 4:00 p.m. were
provided in the agenda packet.
Minutes of the meeting held January 11, 2012 at 4:00 p.m. will be
provided at the next Board meeting.
Next meeting is scheduled February 8, 2012 at 4:00 p.m.
10.2. Finance-Accounting Committee
(Kiley/Hawkins)
Minutes of the meeting held December 27, 2011 were provided in the
agenda packet.
Next meeting is scheduled January 23, 2012 at 4:00 p.m.
10.3. Personnel-Risk Management Committee
(Beverage/Collett)
Minutes of the meeting held January 10, 2012 at 4:00 p.m. will be
provided at the next Board meeting.
Next meeting is scheduled February 14, 2012 at 4:00 p.m.
10.4. Planning-Engineering-Operations Committee
(Collett/Kiley)
Minutes of the meeting held January 5, 2012 at 4:00 p.m. will be provided
at the next Board meeting.
Next meeting is scheduled February 2, 2012 at 4:00 p.m.
10.5. Public Affairs-Communications-Technology Committee
(Melton/Beverage)
Minutes of the meeting held January 9, 2012 at 4:00 p.m. will be provided
at the next Board meeting.
Next meeting is scheduled February 6, 2012 at 4:00 p.m.
10.6. YLWD-MWDOC-OCWD Joint Agency Committee
(Hawkins/Beverage)
Next meeting is scheduled January 24, 2012 at 4:00 p.m.
4
10.7. Citizens Advisory Committee
(Beverage)
Next meeting is scheduled January 23, 2012 at 8:30 a.m.
11. INTERGOVERNMENTAL MEETINGS
11.1. YL City Council - January 3, 2012 (Hawkins)
Director Hawkins attended and commented on the recent California State
Supreme Court decision regarding redevelopment agencies which was
discussed at length during the meeting.
11.2. MWDOC/MWD Workshop - January 4, 2012 (Melton/Staff)
Director Melton attended and commented on a report provided by Jeff
Kightlinger regarding the Bay/Delta and Colorado River water issues
which was provided at the meeting.
11.3. OCWD Board - January 4, 2012 (Kiley/Staff)
Director Kiley attended but did not have any District related business to
report.
11.4. WACO - January 6, 2012 (Hawkins/Kiley)
Directors Hawkins and Kiley attended and commented on a panel
discussion regarding the Delta which was held during the meeting.
11.5. YL Planning Commission - January 11, 2012 (Kiley)
Director Kiley attended but did not have any District related business to
report.
12. BOARD OF DIRECTORS ACTIVITY CALENDAR
12.1. Meetings from January 13, 2012 - February 29, 2012
The Board reviewed the listed meetings and made no changes.
13. CONFERENCES, SEMINARS, AND SPECIAL EVENTS
13.1. ISDOC Shared Services Program Workshop - January 26, 2012
WEF Sea to Sierra Water Tour - March 1-2, 2012
None of the Directors expressed an interest in attending either of these
events.
14. CLOSED SESSION
No Closed Session was held.
14.1. Conference with Legal Counsel - Pending Litigation
Pursuant to Subdivision (a) of Section 54956.9 of the California
Government Code
5
Name of Case: Itani, et al vs. YLWD (OC Superior Court - Case No.
00124906)
Name of Case: Johnson, et al vs. YLWD, et al (OC Superior Court -
Case No. 00125994)
Name of Case: State Farm General Insurance Company vs. YLWD
(OC Superior Court - Case No. 00311353)
Name of Case: Weiss vs. YLWD (OC Superior Court - Case No.
00319080)
Name of Case: Lindholm vs. YLWD, et al (OC Superior Court - Case
No. 00320239)
Name of Case: Travelers Commercial Insurance Company vs. YLWD
(OC Superior Court - Case No. 00327152)
Name of Case: Manista vs. YLWD, et al (OC Superior Court - Case
No. 00332968)
Name of Case: American Security Insurance Company, et al vs.
YLWD (OC Superior Court - Case No. 00348304)
Name of Case: Buc vs. YLWD (OC Superior Court - Case No.
00409755)
Name of Case: Interinsurance Exchange of the Automobile Club vs.
YLWD (OC Superior Court - Case No. 00425404)
.4
Name of Case: ACWA/JPIA, et al vs. Insurance Company of the
State of Pennsylvania, et al (OC Superior Court -
Case No. 00486884)
15. ADJOURNMENT
15.1. On a motion by Director Beverage, seconded by Director Kiley, the
meeting was adjourned at 9:20 a.m. A Board of Directors workshop
meeting to discuss financial planning and water rate alternatives will be
held January 16, 2012 at 3:00 p.m. The next regular meeting of the Board
of Directors will be held January 26, 2012 at 8:30 a.m.
Kenneth R. Vecchiarelli
Board Secretary
6
ITEM NO. 8.2
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Minutes of the Board of Directors Workshop Meeting Held January 16, 2012
STAFF RECOMMENDATION:
That the Board of Directors approve the minutes as presented.
ATTACHMENTS:
Name: Description: Type:
011612 BOD - Minutes.doc BOD Mtg Minutes 01/16/12 Minutes
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS WORKSHOP MEETING
January 16, 2012
CALL TO ORDER
The January 16, 2012 Workshop Meeting of the Yorba Linda Water District
Board of Directors was called to order by President Hawkins at 3:00 p.m. The
meeting was held in the Board Room at the District's Administrative Building
located at 1717 East Miraloma Avenue in Placentia, California 92870.
1. PLEDGE OF ALLEGIANCE
Director Hawkins led the pledge. {
2. ROLL CALL
DIRECTORS PRESENT STAFF PRESENT
Phil Hawkins, President Ken Vecchiarelli, General Manager
Gary T. Melton, Vice President Steve Conklin, Engineering Manager
Michael J. Beverage Lee Cory, Operations Manager
Ric Collett Gina Knight, Human Resources Manager
Robert R. Kiley Stephen Parker, Finance Manager
Art Vega, Interim IT Manager
Damon Micalizzi, Public Information Officer
Cindy Botts, Management Analyst
4 Annie Alexander, Executive Secretary
ALSO PRESENT
Brett Barbre, Director, Municipal Water District of Orange County
Sanjay Gaur, Manager, Raftelis Financial Consultants
Khanh Phan, Senior Consultant, Raftelis Financial Consultants
3. PUBLIC COMMENTS
None.
4. PRESENTATIONS
4.1. Water Rate Study and Financial Planning Workshop (Presentations
and Discussion)
Mr. Vecchiarelli introduced Mr. Sanjay Gaur and Ms. Khanh Phan and
explained that Raftelis Financial Consultants had been hired to provide the
District with a Cost of Service and Water Rate Study as well as two
Financial Models for the Water and Sewer Funds. These models will
assist staff during the budget process for years to come.
1
Cost of Service, Financial Model & Rate Alternatives
Mr. Gaur provided a PowerPoint presentation which included an overview
of some financial plan scenarios and water rate structure options. Mr.
Gaur and staff responded to questions from the Board regarding the water
financial model, the District's reserve funds, bond funds, and Capital
Improvement Plan (CIP), and savings associated with annexation to
OCWD. Mr. Gaur recommended that the Board consider proceeding with
the second financial plan scenario which included a modified CIP while
continuing lobbying efforts for annexation. Mr. Gaur further recommended
that the Board consider implementing one of two rate structure options,
both of which included modified uniform commodity rates instead of
staying with the status quo. Mr. Gaur then provided an overview of the
new sewer financial model. Staff responded to questions from the Board
regarding sewer rates for existing customers and new customers who
were recently transferred from the City of Yorba Linda.
A brief recess was declared at 4:11 p.m.
The meeting was reconvened at 4:21 p.m.
Revenue Needs and Options
Ms. Botts provided a PowerPoint presentation regarding the current water
rate and projected water costs. This included an overview of staff's
capability of meeting objectives identified in the strategic plan with and
without the implementation of a rate increase and/or a rate structure
change. The Board then discussed the prioritization of projects listed in
the CIP. The presentation concluded with a review of some housekeeping
items related to refunds from outside agencies and determination of the
monthly service charge. Staff was instructed to provide the Board with a
' prioritized CIP for review at a future meeting.
5. ADJOURNMENT
5.1. The meeting was adjourned at 5:29 p.m. The next regular meeting of the
Board of Directors will be held January 26, 2012 at 8:30 a.m.
Kenneth R. Vecchiarelli
Board Secretary
2
ITEM NO. 8.3
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: Yes
To: Board of Directors Cost Estimate: $1,472,448.81
Funding Source: All Funds
From: Ken Vecchiarelli, General Manager
Presented By: Stephen Parker, Finance Manager Dept: Finance
Prepared By: Maria Trujillo, Accounting Assistant
I
Subject: Payments of Bills, Refunds, and Wire Transfers
SUMMARY:
Section 31302 of the California Water Code says the District shall pay demands made against it when they
have been approved by the Board of Directors. Pursuant to law, staff is hereby submitting the list of
disbursements for Board of Directors' approval.
STAFF RECOMMENDATION:
That the Board of Directors ratify and authorize disbursements in the amount of $1,472,448.81.
DISCUSSION:
The wire and major items on this disbursement list are as follows: A wire of $97,357.22 to ACWA-HBA for
February 2012 health premium; a check of $115,670.25 to Kana Pipeline, Incorporated for final progress
payment on Pipeline Replacement; a check of $375,521.48 to Pacific Hydrotech Corporation for Highland
December progress payment; and a check of $257,610.60 to Pascal & Ludwig Contractors for Well 20
December progress payment. The balance of $383,030.22 is routine invoices.
The Accounts Payable check register total is $1,229,189.77; Payroll No. 1 total is $243,259.04; and, the
disbursements of this agenda report are $1,472,448.81. A summary of the checks is attached.
PRIOR RELEVANT BOARD ACTION(S):
The Board of Directors approves bills, refunds and wire transfers semi-monthly.
ATTACHMENTS:
Name : Des=cription: i ype:
CkReg12612 BCD.Pdf Check Register Backup Material
12-CS 126.doc Cap Sheet Backup Material
CC Breakdown BB 1.26.12.xls Credit Card Detail Backup Material
Approved by the Board of Directors of the Yorba
Linda Water District
1/26/2012
MB/RC 5-0
RC abstained from voting on Check No. 58301
as he has a financial interest with the vendor.
Yarba Linda Water District
Check Register
For Checks Dated: 1/13/2012 thru 1/26/2012
Check No. Date Vender Name Amount Description ($11)k or greater)
58317 01/26/2012 1st Enterprise Bank 41,724.62 Highland retention Dec
58138 01/13/2012 AAA Backflow & Meter Testing (110m)
58225 01/26/2012 ACWA/JPIA 25,81100 Workers' Comp prem Oct-Dec
W12612 01/26/2012 ACWA-HBA 97,357.22 Health premium February
58226 01/26/2012 Advanced School Of Driving 5,985.00
57854 01/13/2012 Alex Yen ;1,000-00}
58227 01/26/2012 Anaheim Wheel & Tire 30.00
58228 01/26/2012 Anthem Blue Cross EAP 175-45
58229 01/26/2012 Apollo Technologies Inc. 410-00
58230 01/26;{2012 Aramark 617.21
58231 01/26/2012 Archie's Towing 95.00
58232 01/26/2012 Arrow hardware 161-71
58233 01/26/2012 Associated Laboratories 2,693-90
58234 01/26/2012 Autoscribe Corporation 157-25
58237 01/26/2012 B & M Lawn and Garden Inc 116.02
W11312 01/13/2012 Bank Of America 9,098.57
58235 01/26/2012 Battery Systems 366-72
58236 01/26/2012 Bee Busters, Inc 150.00
58238 01/26,12012 Brian Vargas 105-00
58250 01/26/2012 C. Wells Pipeline 1,333-41
58152 01/13,12012 Cal Municipal Treasurers Assn (70.00)
58239 01/26,!2012 Calif Water Environ Assn (CWEA) 73.00
58058 01113/2012 California Water Envlron Assn (146.00)
58240 01/26/2012 CDW Government, Inc 2,778.06
58241 01/26/2012 Certified Laboratories 667.53
58242 01/26/2012 Chambers Group inc. 740.40
58243 01/26/2012 Citizen's Business Bank 28,623-40 Well 20 retention December
58244 01/26/2012 City Of Anaheim 1,158.54
58245 01/26/2012 City Of Anaheim 1,500.00
58246 01/26/2012 City Of Placentia 10,535.43 Sewer Fees/Placentia Nov-Dec
58247 01/26/2012 City Of Yorba Linda 20,000.00 Palm Ave BPS deposit/insp svc
58248 01/26/2012 CIVILTEC Engineering, Inc 1,892.50
58221 01/26/2012 CLAUDIA ALBA 65.30
58249 01/26/2012 Clinical Lab. Of San Bern- 1,455-00
S8267 01/26/2012 Co5tco Online 389.44
58251 01/26/2012 Datalok Orange County 444-88
58223 01/26/2012 David lanacone 74.71
58255 01/26/2012 Dean Criske Trucking 1,300.57
S82S2 01/26/2012 DeltaCare USA 375.30
58253 01/26/2012 Dick's Lock & Safe Inc- 86-50
58254 01/26/2012 Doug A- Baker 74.00
58256 01/26/2012 Eisel Enterprises, Inc. 1,264.66
58257 01/261`2012 Equarius Waterworks 115.68
58259 01/26/2012 €yeMed 1,395-36
58258 01/26/2012 Facility Solutions Group Inc 1,032-47
58260 01/26/2012 Fry's Electronics 465.16
58261 01/26/2012 Fullerton Paint & Flooring 16130
58262 0112612012 Gary Melton 502.44
58213 01/26/2012 Hall & Foreman, Inc 13,212.30 PRS Upgrades December secs
58264 01/26/2012 Hi-Tech Security Solutions 313.65
58265 01/26/2012 Hobe Recreation Inc 110.00
58266 01/26/2012 Home Depot Credit Services 5.36
58268 01/26/2012 Infosend Inc. 3,460.05
58270 01/26/2012 J & S Construction 7,350.00
58271 01/25/2012 J. Todd Howard 50.00
58269 01/26/2012 Jackson's Auto Supply - Napa 815.84
58272 01/26/2012 Kana Pipeline, Inc 115,670.25 Pipeline Replacement final Nov
58281 01/26/2012 Kidman, Behrens, & Tague, LLP 34,076.46 Legal services December
58273 01/26/2012 Konica Minolta Business 39.45
58274 01/26/2012 Konica Minolta Business 928.16
57945 01/13/2012 Lakeview Associates, LLC (2,935-00)
58275 01/26/2012 Lee & Ro, Inc. 12,110.23 Palm Ave BPS December Svcs
58276 01/26/2012 Leighton Consulting, Inc. 2,481.50
58277 01/2612012 Liebert Cassidy Whitmore 7,155.00
582.78 01/26/2012 Light Bulbs Etc 400-03
58279 01/26/2012 LPR-Laser Printer Repair Co 396.39
58280 01/26/2012 Marina Landscape, Inc 1.377.47
58282 01/26/2012 Mc Fadden-Dale Hardware 537.72
58283 01/26/2012 Mc Master-Carr Supply Co. 28.03
58284 01/26/2012 Merchants Building Maintenance LL( 5,993.13
58285 01/26/2012 Michael J. Beverage 211.19
58286 01/26/2012 Microsoft Corporation 483.80
58287 01/26/2012 Minuteman Press 527.59
58288 01/26/2012 Morton Salt, Inc- 2,419.42
58289 01/26/2012 Muhammad Peshirnam 250.00
58290 01/26/2012 Muzak LI-C 70.88
58291 01/26/2012 MWH Americas, Inc. 28,025.19 Highland September Svcs
58292 01/26/2012 Nextel Of California 1,876.44
58293 01/26/2012 Nickey Petroleum Co 5,444-27
58294 01/26/2012 Novusolutions 3,800.00
58295 01/26/2012 Office Solutions 522.28
58296 01/26/2012 One Source Distributors, LLC 516.13
58297 01/26/2012 Orange County - Tax Collector 100.00
58305 01/26/2012 P.T.I. Sand & Gravel, Inc. 1,648.50
58299 01/26/2012 Pacific Hydrotech Corporation 375,521.48 Highland progress pay Dec
58298 01/26/2012 Pacific Sewer Maintenance 7,439.45
58300 01/26/2012 Pascal & Ludwig Constructors, Inc 257,610.60 Well 20 progress pay Dec
58301 01/26/2012 Placentia Disposal #676 469.58
58302 01/26/2012 Powerstride Battery 6536
58303 01/26/2012 Praxair Distribution 105.95
58304 01/26/2012 Prudential Group Insurance 3,025.46
58306 01/26/2012 Raftelis Financial Consultants, Inc. 3,150.00
58307 01/26/2012 Ramtek LLC 513.97
58308 01/26/2012 Sancon Engineering Inc. 9,215.00
W11812 0111812012 Southern Calif Edison Co. 31,775.51 All sites December
W12412 01/2412012 Southern Calif Edison Co. 1,986.71
58309 01/26/2012 Southern Calif Gas Co- 11,949.52 Richfield, Highland secs Dec
58310 01/261/2012 Staples Business Advantage 861.25
58311 01/26/2012 Stephen Parker/ Petty Cash 237.78
58220 01/26/2012 STEVE MC CLASKEY 14432
58312 01/26/2012 Sunstate Equipment Co 68.96
58222 01/26/2012 TED ARIHARA 63.77
58313 01/26/2012 Terminix Processing Center 185.00
58314 01/26/2012 Terryberry Company 968.17
58315 0112612012 Underground Service Alert 106.50
58316 01/26/2012 United Industries 131.19
58318 01'26/2012 Village Nurseries 110.39
58319 01/26/2012 Wells Supply Co 9,129.85
58320 01/26/2012 Wolverine Fence Co. Inc. 2,500.40
58321 01/26/2012 Yorba Linda Hardware 80.62
58224 01/26/2012 7BIGNIEW TYCNER 63-96
Total $1,229,189.77
January 26, 2012
CHECK NUMBERS:
Void Checks 57854, 57905, 58058,
58138, and 58152 $ (4261.00)
Computer Checks 58220-58321 $ 1,093,232.76
$ 1, 088, 971.76
WIRES:
W-11312 Business Card $ 9,098.57
W-11812 Southern Cal Edison $ 31,775.51
W-12412 Southern Cal Edison $ 1,986.71
W-12612 ACWA-HBA $ 97,357.22
$ 140,218.01
TOTAL OF CHECKS AND WIRES $ 1,229,189.77
PAYROLL NO. 1:
Computer Checks 5157-5160
Manual Checks 5161- 5169
Computer Checks 5170 $ 243,259.04
DISBURSEMENT TOTAL: $ 1,472,448.81
APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD
MEETING OF JANUARY 26, 2012
Cash Rewards Credit Card
Bank of America
November 22 - December 15
Date Vendor Name Amount Description
22-Nov CSDA 575.00 BOARD SEC CONFERENCE ALEXANDER
29-Nov IEC 95.36 FURNITURE LEVELER
29-Nov IBOATS.COM 78.57 UPS BATTERY TRAYS/IT
30-Nov SEES CANDY 959.15 YLWD EMP DISCOUNT PROG
6-Dec THAI HOUSE RESTAURANT 29.35 LUNCH/TRAINING CLASS
8-Dec RAMCO 288.00 ICE MACHINE REPAIR
9-Dec BATTERY STUFF.COM 215.00 BATTERY CHARGER
9-Dec PROFESSNL EDUC SREVICE 54.50 ETHICS FOR CPA PARKER
8-Dec Y L COUNTRY CLUB 2,841.29 YLWD EMP RECOGNITION DINNER
12-Dec Y L COUNTRY CLUB 144.82 YLWD EMP RECOGNITION DINNER
15-Dec INLAND GROUP 3,817.53 YLWD NEWSLETTER
TOTAL 9,098.57
ITEM NO. 8.4
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: Yes
Total Budget: $1,500,000
To: Board of Directors Cost Estimate: $1,134,109
Funding Source: Water Capital
Reserves
From: Ken Vecchiarelli, General Account No: 101-2700
Manager
Job No: 200711
Presented By: Steve Conklin, Engineering Dept: Engineering
Manager
Reviewed by Legal: No
Prepared By: Joe Polimino, Project Engineer CEQA Compliance: Exempt
Subject: Progress Payment No. 3 for Construction of Well No. 20 Well Head Equipping
Project
SUMMARY:
Work is proceeding on construction of the Well No. 20 Well Head Equipping Project. It includes
installation of a new well head, pump and electric motor, electrical controls and equipment, a
concrete well pad, various yard piping and new paving at the well site.
STAFF RECOMMENDATION:
That the Board of Directors approve Progress Payment No. 3 in the net amount of $257,610.60 to
Pascal & Ludwig Constructors for construction of the Well No. 20 Well Head Equipping Project, Job
No. 200711.
DISCUSSION:
In accordance with the contract documents, Pascal & Ludwig Constructors submitted a request for
Progress Payment No. 3, in the amount of $286,234.00 for completed work through December 31,
2011. During this period, the contractor constructed the well pedestal and began trenching for yard
piping. They installed approximately 430 feet of yard piping and installed a butterfly valve. Work also
continued on the outfall structure with the placement of rock for the drain discharge. The status of
the construction contract with Pascal & Ludwig Constructors is as follows:
. The current contract is $1,134,109.00 and 120 calendar days starting September 29, 2011.
. If approved, Progress Payment No. 3 is $286,234.00 (25.2% of the total contract amount),
less 10% retention of $28,623.40 for a net payment of $257,610.60.
. If approved, total payments to date including retention will be $351,543.00 (31.0% of the total
contract amount).
. As of December 31, 2011, 94 calendar days were used (78.3% of the contract time). District
staff is currently reviewing the contractor's request for additional days due to equipment
delivery delays.
Staff reviewed the contractor's progress payment and recommend approval. A copy of Progress
Payment No. 3 is attached for your reference.
STRATEGIC PLAN:
SR 3-A: Complete Implementation of Five Year Capital Improvement Plan from FY 2011-2015 with
adopted amendments
PRIOR RELEVANT BOARD ACTION(S):
The Board has approved two progress payment to date for this project, the last which was approved
January 12, 2012.
ATTACHMENTS:
Name: Description: Type:
P L Well 20 Protect Progress Pay Request 3.pdf Well 20 Progress Payment No. 3 Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
YORBA LINDA WATER DISTRICT PROGRESS PAY DEPORT
PROJECT Well 20 Project - - PROGRESS PAY REQUEST NO. 003
LOCATION Yprba Linda, CAPROJECT NO, 200711 PAGE 1 OF 1 PAGES -
CONTRACTOR Pascal & Ludwig Constructors - - DATE 1111112
ORIGINAL CONTRACT AMOUNT: $ 1,134,909.00 ~ . J
AUTHORIZED CHANGE ORDER& S _
REVISED CONTRACT AMOUNT: S 1,134,109.00 _
PROGRESS PAY ESTIMATE FOR PERIOD December 1, 2012 TO _ December 31, 2012
PREVIOUS THIS MONTH TO DATE
VALUE OF WORK COMPLETED $ 55,309.00 S 286,23420 $ 351.543.00
CHANGE ORDER WORK COMPLETED $ $ _ $
TOTAL VALUE OF WORK COMP_,ETED $ 55,309.00 $ 286,234.00 $ 351,543.00
LESS RETENTION 1D% 5 58.778.1Q S 25,-.610.61) $ 316,388.70
LESS OTHER DEDUCTIONS Electronic Wire Fees
NET EARNED TO DATE $ 336.388.70
LESS AMOUNT PREVIOUSLY PAID S 58,778.10
BALANCE DUE THIS ESTIMATE $ 257.610.60
NOTICE TO PROCEED September 29, 2011
COMPLETION TIME 120 CALENDAR DAYS
APPROVED TIME EXTENSIONS 0 CALENDAR DAYS
TOTAL CONTRACT TIME 120 CALENDAR DAYS
TIME EXPENDED TO DATE 94 CALENDAR DAYS
TIME REMAINING 26 CALENDAR DAYS
1
REQUESTED BY:
Bryan Kaiser, P ie Manager. Pascal Ludwig
RECOMMENDED:
_ DATE:
J~~lae Poll Ina. Protect Engineer, YLWD
J
APPROVED BY: DATE:
Steve Cenlclin, Engineering Manager, YL4VD`
ITEM NO. 8.5
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: Yes
Total Budget: $5.5 M
To: Board of Directors Cost Estimate: $5.5 M
Funding Source: Water Capital
Reserves
From: Ken Vecchiarelli, General Account No: 101-2700
Manager
Job No: J-200814
Presented By: Steve Conklin, Engineering Dept: Engineering
Manager
Reviewed by Legal: No
Prepared By: Joe Polimino, Project Engineer CEQA Compliance: MND
Subject: Progress Payment No. 12 for Construction of the Highland Booster Pump
Station Project
SUMMARY:
Work is proceeding on construction of the Highland Pump Station Project that includes a new
building, three electric motor driven pumps, two natural gas engine driven pumps, various piping, a
surge tank and a new access road.
STAFF RECOMMENDATION:
That the Board of Directors approve Progress Payment No. 12 in the net amount of $375,521.48 to
Pacific Hydrotech Corporation for construction of the Highland Booster Pump Station Project, Job
No. 200814.
DISCUSSION:
In accordance with the contract documents, Pacific Hydrotech Corporation submitted a request for
Progress Payment No. 12, in the amount of $417,246.10 for completed work through December 31,
2011. During this period, the contractor continued work inside the building with discharge pipe
installation from the electric pumps and electrical work. They also continued work on the surge
control system, yard piping and valve installations. The contractor under Change Order No. 1
continued work on the drainage ditches for the existing reservoir, poured concrete for the desilting
basin and completed the abandonment of the existing 12-inch line, clearing the way for new yard
piping. The status of the construction contract with Pacific Hydrotech Corporation is as follows:
. The current contract is $4,655,065.72 and 352 work days (includes Change Order No. 1 & 2
which added 66 workdays and $129,265.72) starting November 1, 2010.
. If approved, Progress Payment No. 12 is $417,246.10 (9.0% of the total contract amount),
less 10% retention of $41,724.62 (adjusted by 1 cent) for a net payment of $375,521.48.
. If approved, total payments to date including retention will be $3,443,842.31 (74.0% of the
total contract amount).
. As of December 31, 2011, 291 work days were used (82.7% of the contract time).
Staff reviewed the contractor's progress payment and recommend approval. A copy of Progress
Payment No. 12 is attached for your reference.
STRATEGIC PLAN:
SR 3-A: Complete Implementation of Five Year Capital Improvement Plan from FY 2011-2015 with
adopted amendments
PRIOR RELEVANT BOARD ACTION(S):
A construction contract in the amount of $4,525,800 was awarded to the low bidder, Pacific
Hydrotech Corporation on August 12, 2010. The Board has approved eleven progress payments to
date for this project, the last of which was approved on January 12, 2012.
ATTACHMENTS:
PHC Progress Pay 12 for Highland PS.pdf PHC Progress Payment No. 12 Highland PS Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
Y®RBA LINDA WATER DISTRICT PROGRESS PAY REPORT
PROJECT Highland Booster Station Replacement PROGRESS PAY REQUEST NO. 012
LOCATION Yorba Linda, CA PROJECT NO. 200814 PAGE 1 OF 1 PAGES
CONTRACTOR Pacific Hydrotech Corporation DATE 1/612012
ORIGINAL CONTRACT AMOUNT: $ 4,525,800.00
AUTHORIZED CHANGE ORDERS; $ 129,265.72
REVISED CONTRACT AMOUNT: $ 4,656,065.72
PROGRESS PAY ESTIMATE FOR PERIOD December 1, 2011 TO December 31, 2011
PREVIOUS THIS MONTH TO DATE
VALUE OF WORK COMPLETED $ 2,989;500.00 $ 342,050.00 $ 3,331,550,00
CHANGE ORDER WORK COMPLETED $ 37,496.21 $ 75,196.10 $ 112,292.31
TOTAL VALUE OF WORK COMPLETED $ 3,026,596.21 $ 417,246.10 $ 3,443,842.31
LESS RETENTION 10% $ 344,384.23
LESS OTHER DEDUCTIONS Electronic Wire Fees $ -
NET EARNED TO DATE $ 3,099,458.07
LESS AMOUNT PREVIOUSLY PAID $ 2,723,936.59
BALANCE DUE THIS ESTIMATE $ 375,521.48
NOTICE TO PROCEED November 1, 2010
COMPLETION TIME 286 WORK DAYS
APPROVED TIME EXTENSfONS 66 WORK DAYS
TOTAL CONTRACT TIME 352 WORK. DAYS
TIME EXPENDED TO DATE 291 WORKDAYS
TIME REMAINING 61 WORK DAYS
REQUESTED BY: DATE' 1/6/2012
Ronald Wiebe, Proje Coordinator, Pacific Hydrotech Corporation
RECOMMENDED: G J- - - DATE: / tl Z I
Joe Polirnino, Project Engineer, YLWD
APPROVED BY: DATE:
Steve Conklin, Engineering Manager, YLWD
ITEM NO. 8.6
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: Yes
Total Budget: $873,300
To: Board of Directors Cost Estimate: $670,000
Funding Source: Water Capital
Reserves
From: Ken Vecchiarelli, General Account No: 101-2700
Manager
Job No: 201012
Presented By: Steve Conklin, Engineering Dept: Engineering
Manager
Reviewed by Legal: No
Prepared By: Joe Polimino, Project Engineer CEQA Compliance: Exempt
Subject: Final Progress Payment No. 4 and Notice of Completion for the 2010 Waterline
Replacement Project, Phase 1 - Plumosa Drive Project.
SUMMARY:
Work is complete for construction of the 2010 Waterline Replacement Project, Phase 1 - Plumosa
Drive Project. Submitted for consideration is Final Progress Payment Number 4 and request for
authorization to file the Notice of Completion for the project.
STAFF RECOMMENDATION:
That the Board of Directors approve Final Progress Payment No. 4, in the net amount of
$115,670.25, to Kana Pipeline Inc. and 10% retention of $12,852.25; authorize staff to file the
Notice of Completion and release the retention thirty five days following recordation, if no liens have
been filed; release the Labor and Material Bond; and release the Faithful Performance Bond in one
year if no defects have been found for the construction of the 2010 Waterline Replacement Project,
Phase 1 - Plumosa Drive Project, Job No. 201012.
DISCUSSION:
In accordance with the contract documents, Kana Pipeline, Inc. submitted a request for Final
Progress Payment No. 4 in the amount of $128,522.50, which is the final payment for all work on
the project through the completion date of November 20, 2011. During this period, the contractor
completed hydrotesting, all connections, restoration work to curb, gutter, sidewalk and pavement
and just recently finished all of the remaining punchlist items to complete the project. This is the final
pay request for this project, as described:
. The current contract is $668,112.50 and 146 calendar days starting June 28, 2011 (includes
$100,112.50 in authorized change orders and an additional 41 calendar days approved time
extension).
. If approved, Progress Payment No. 4 is $128,522.50 (19.2% of the total contract amount),
less 10% retention of $12,852.25 for a net payment of $115,670.25.
. If approved, total payments including retention will be $668,112.50 (100% of the total contract
amount).
. As of November 20, 2011, 146 calendar days were used (100% of the total contract time, by
which time the District received beneficial use of the pipeline).
Staff reviewed the contractor's final progress payment and recommends approval. A copy of Final
Progress Payment No. 4 is attached for your reference.
PRIOR RELEVANT BOARD ACTION(S):
The Board awarded a construction contract in the amount of $568,000 to Kana Pipeline, Inc. on
May 12, 2011, for construction of the 2010 Waterline Replacement Project, Phase 1 - Plumosa
Drive. The Board has approved three progress payments to date for this project, the last of which
was approved December 22, 2011. On that date, the Board also approved Change Order No. 1 in
the amount of $100,112.50 and the addition of 41 calendar days to the contract completion time.
ATTACHMENTS:
Name: Description: Type:
Plumosa Pipeline Protect Final PPR 4 Kana Pipeline.pdf Final Progress Payment No. 4 Kana Pipeline Inc. Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
YORBA LINDA WATER [DISTRICT FINAL PROGRESS PAY REPORT
PROJECT Plumosa Pipeline Project PROGRESS 'F'AY REQUEST NO. 004
LOCATION Yorba Linda, ACA PROJECT NO. 201012 PAGE 1 OF 1 PAGES
CONTRACTOR Kana Pipeline, Inc. DATE 119112
ORIGINAL CONTRACT AMOUNT: 568,000.00
AUTHORIZED CHANGE ORDERS: $ 100,112.50
REVISED CONTRACT AMOUNT: $ 668,112.50
PROGRESS PAY ESTIMATE FOR PERIOD November 1, 2011 TO November 30, 2011
PREVIOUS THIS MONTH TO DATE
VALUE OF WORK COMPLETED $ 539,590.00 $ 28,410.00 $ 568,000.010
CHANGE ORDER WORK COMPLETED $ - $ 100,112.50 $ 100,112.50
TOTAL VALUE OF WORK COMPLETED $ 539,590.00 $ 128,522.50 $ 668,112.50
LESS RETENTION 10% $ 485,631.00 $ 115,670.25 $ 601,301.25
LESS OTHER DEDUCTIONS Electronic Wire Fees
NET EARNED TO DATE $ 601.301.25
LESS AMOUNT PREVIOUSLY PAID $ 485,631.00
BALANCE DUE THIS ESTIMATE $ 115,670.25
NOTICE TO PROCEED June 28, 2011
COMPLETION TIME 105 CALENDAR DAYS
APPROVED TIME EXTENSIONS 41 CALENDAR DAYS
TOTAL CONTRACT TIME 146 CALENDAR DAYS
TIME EXPENDED TO DATE 166 CALENDAR DAYS
TIME REMAINING -10 CALENDAR DAYS
REQUESTED BY: DATE: I
Rizwan Rana, Pr I anager, Kana Pipeline
RECOMMENDED: DATE: Z~
'sloe Polirnno, Project Engineer, YLVVD
ii
APPROVED BY: DATE:
Steve Conklin, Engineering Manager, YLWD
ITEM NO. 8.7
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: N/A
To: Board of Directors
Funding Source: N/A
From: Ken Vecchiarelli, General Manager
Presented By: Steve Conklin, Engineering Dept: Engineering
Manager
Reviewed by Legal: Pending
Prepared By: Ariel Bacani, Engineering CEQA Compliance: N/A
Technician II
Subject: Declaration of Restrictive Covenants with William Payne - 4389 Smoketree Avenue,
Yorba Linda
SUMMARY:
Mr. William Payne proposes to extend a wrought iron fence and gate across the District's dedicated sewer
easement within 4389 Smoketree Avenue. District staff reviewed the encroachment and recommends
approval subject to the execution of a Declaration of Restrictive Covenants.
STAFF RECOMMENDATION:
That the Board of Directors authorize the President and Secretary to execute the Declaration of Restrictive
Covenants with William Payne.
DISCUSSION:
Mr. Payne proposes to extend an existing wrought iron fence and construct a gate within a dedicated
sewer easement at 4389 Smoketree Avenue. The improvements will run across the sewer main within the
easement, as shown in the enclosed exhibit.
Staff reviewed the applicant's request and determined the improvements would have minimal impact on
operations and maintenance of the District's facilities. To further protect the District's interest, staff
recommends the execution of the attached Declaration of Restrictive Covenants in the form approved by
General Counsel.
PRIOR RELEVANT BOARD ACTION(S):
The Board of Directors has authorized execution of similar Declarations of Restrictive Covenants with
various developers and property owners.
ATTACHMENTS:
Name: Description: Type:
DoRC - 4389 Smoketree Ave.pdf Declaration of Restrictive Covenants Agreement
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
RECORDING REQUESTED BY and when
recorded return to:
Yorba Linda Water District
P.O. Box 309
Yorba Linda, California 92885-0309
This is to certify that this Declaration of
Restrictive Covenants is presented for recording
under the provisions of Gov. Code Sec. 27383 by
the Yorba Linda Water District in pcrfornnancc of
an official service thereof.
Kenneth R. Vecchiarelli - Secretary
Space Above This Line for Recorder's Use
DECLARATION OF RESTRICTIVE COVENANTS
(ENCROACHMENT ON DISTRICT EASEMENT)
THIS DECLARATION OF RESTRICTIVE COVENANTS ("Declaration") is made this 26th
day of January, 2012, by and between YORBA LINDA WATER DISTRICT ("YLWD"), a public
agency, created and operating under the authority of Division 12 of the California Water Code, and
WILLIAM R. PAYNE, JR. ("Owner"), with reference to the following recitals of fact:
RECITALS
A. The Owner is the legal owner of that certain real property located at 4389 Smoketree
Avenue, Yorba Linda, California 92886 ("Subject Property"), which is more particularly described as
follows:
LOT 45 OF TRACT 10287, IN THE CITY OF YORBA LINDA, COUNTY
OF ORANGE, STATE OF CALIFORNIA, AS PER MAP, RECORDED
AUGUST 30, 1978, IN BOOK 438, PAGES 18 TO 23 INCLUSIVE, OF
MISCELLANEOUS MAPS, IN THE OFFICE OF THE COUNTY
RECORDER OF SAID COUNTY.
B. YLWD owns an Easement, as identified on the Tract Map No. 10287, recorded August
30, 1978, in Boole 438, Pages 18 through 23, Official Records of Orange County, California
("Easement"), across a portion of the Subject Property. Within the Easement, YLWD owns and
maintains an 8-inch sewer main and manhole ("District Facilities").
1
C. The Owner desires to construct a wrought iron fence and gate (collectively herein
referred to as "Improvements") within and along the Easement area (hereinafter, "Encroachment"), as
illustrated in Exhibit "A" attached hereto and incorporated by reference herewith.
D. YLWD conditionally consents to Encroachment of the Improvements within and along
the Easement area as stipulated in this Declaration. Owner is aware that the Improvements may lead to
problems affecting and/or interfering with YLWD's use of the Easement.
E. Although the construction or existence of walls, structures, and other improvements
within and along the Easement area may interfere or restrict YLWD's Easement rights, the Owner
wishes to construct and use the Improvements within and along the Easement area.
NOW, THEREFORE, incorporating the above recitals, YLWD and Owner declare as follows:
1. Covenant Running with Land. This Declaration constitutes a covenant running with the land
as provided by the California Civil Code Section 1468 and shall benefit, burden, and bind the
successive owners of the Subject Property and the Easement.
2. Successors and Assigns Bound. Since Owner wishes to pursue the Encroachment, this
Declaration obligates the current and future owners of the Subject Property to remedy any future
adverse events and to fund any necessary maintenance costs on the Easement and/or Subject
Property that may arise in full or in part due to the existence, construction, or damages caused by
the Encroachment.
3. Damages to District Facilities. Owner assumes full responsibility, liability and shall pay for
any cost(s) or damage(s) to the District Facilities and appurtenant structures, arising from or
related to the construction, existence, and/or use of the Improvements. YLWD shall not be
responsible for any cost(s) or damage(s) to the District Facilities and appurtenant structures that
arise from the Encroachment.
4. Damages to Third Parties. Owner, its successors or assigns, agrees to indemnify and hold
YLWD, its officers, directors, employees, agents and consultants, harmless against any third
2
party claims related to or arising out of the construction, existence and/or use of the
Improvements.
5. Damages to Improvements. Owner acknowledges that the Improvements may be damaged or
demolished to permit reasonable access to or reasonable work within and under the Easement
area. YLWD, its officers, directors, employees, agents and consultants, shall not be responsible
for any damage(s) to or because of the Improvements which results from YLWD's exercise of
rights under the Easement. Owner, its successors or assigns, waives all known, unknown, and
future claims, liabilities, causes of action, and expenses (including, but not limited to, attorneys'
fees) against YLWD, its officers, directors, employees, agents and consultants, for losses and
damages to the Improvements and from any obligation to protect, preserve, repair, or replace the
Improvements. Construction, use, protection, repair and replacement of the Improvements shall
be entirely the risk and obligation of Owner, its successors or assigns, even if damage is caused
by YLWD.
6. Recording of Agreement. This Declaration shall be recorded in the Office of the Recorder of
the County of Orange, California, and shall constitute notice to all successors and assigns of the
title to the Subject Property of the rights and obligations set forth herein.
3
Approved as to Form:
Kidman Law, LLP
YORBA LINDA WATER DISTRICT:
Arthur G. Kidman
General Counsel Phil Hawkins
President
Kenneth R. Vecchiarelli
Secretary
OWNER:
William R. Payne, Jr.
4
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PREPARED BY: EXHIBIT "All SCALE: AS-NOTED
YORBA LINDA WATER DISTRICT DATE: 01/12/2012
DECLARATION OF RESTRICTIVE
1717 E. MIRALOMA AVENUE COVENANTS FOR 4389
PLACENTIA, CALIFORNIA 92870 SMOKETREE AVE. FILENAME:
(714) 701-3000
ITEM NO. 9.1
AGENDA REPORT
Meeting Date: January 26, 2012
To: Board of Directors
From: Ken Vecchiarelli, General
Manager
Presented By: Gina Knight, HR/Risk Manager Dept: Human
Resources/Risk
Management
Reviewed by Legal: Yes
Prepared By: Amelia Cloonan, Personnel
Technician
Subject: Resolution Authorizing an Amendment to the Contract with CalPERS to
Provide Section 20475 (Different Levels of Benefits)
SUMMARY:
During Meet and Confer, the District proposed implementing a Second tier (Section 20475 -
Different Level of Benefits) under Section 21353 (2%@ 60 Full formula) for new hires. New
employees will pick up their 7% employee contribution to CalPERS. This contribution is now paid by
the District for employees hired prior to December 8, 2011.
STAFF RECOMMENDATION:
That the Board of Directors adopt Resolution No. 12-01 Authorizing an Amendment to the Contract
with CalPERS, to provide Section 20475 (Different Levels of Benefits) implementing a Second tier
level under Section 21353 (2% @ 60 Full formula), applicable to new hires after the contract
amendment is executed.
COMMITTEE RECOMMENDATION:
The Personnel-Risk Management Committee reviewed the proposal at their meeting held
December 13, 2011 and recommends that the Board of Directors adopt Resolution No. 12-01.
DISCUSSION:
The Board of Directors of the District is asked to adopt Resolution No. 12-01 authorizing an
amendment to the contract between the District and the Board of Administration of the Public
Employees' Retirement System.
The District has certified compliance with Government Code Section 7507, which requires that the
future annual costs of the proposed contract be made public at a public meeting at least two weeks
prior to the adoption of the final resolution. The District has disclosed the rates identified in the
amendment actuarial valuation for the adoption of this plan amendment. The employer contribution
rate for the Second tier level of CalPERS benefits will be 8.197% of reportable earnings for local
miscellaneous members entering membership for the first time in the miscellaneous classification
after the effective date of the amendment to the CalPERS contract.
Additionally, new employees hired after approval of the amendment will pick up their 7% employee
contribution to CaIPERS. This change is included in the adopted Memorandum of Understanding
and approved Letters of Compensation and becomes effective with execution of the amended
CalPERS contract.
Pursuant to Government Code Section 20471, the District has allowed a 20-day period between the
adoption of the Resolution of Intention and the adoption of the final Resolution Amending the
CalPERS contract.
PRIOR RELEVANT BOARD ACTION(S):
At its meeting held December 22, 2011, the Board of Directors approved a Resolution of Intention to
Amend Contract with CalPERS to provide Section 20475 (Different Levels of Benefits).
ATTACHMENTS:
Name: Doscdpti; n: u ype:
SKMBT C55212011016130.pdf Resolution No. 12-01 and Contract Amendment Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
RC/GM 5-0 Roll Call
YORBA LINDA WATER DISTRICT
RESOLUTION
AUTHORIZING AN AMENDMENT TO THE CONTRACT
No. 12-01
WHEREAS, the Board of Administration of the California Public Employees' Retirement
System and the Board of Directors of the Yorba Linda Water District
entered into a contract effective on December 21, 1975 providing for the
participation of said public agency in the California Public Employees'
Retirement System; and
WHEREAS, it is now desirable to take advantage of certain benefits provided under
said Retirement System and not included in said contract;
NOW, THEREFORE, BE IT RESOLVED, that said governing body authorized, and it
does hereby authorize, an amendment to said contract, a copy of said
amendment attached hereto and by such reference made a part hereof as
though herein set out in full, and
NOW, THEREFORE, BE IT FURTHER RESOLVED, that the presiding officer of said
governing body is hereby authorized, empowered and directed to execute
said amendment for and on behalf of said public agency.
Adopted this 26th day of January ,2012
Presiding Officer Phil Hawkins
Board President
Yorba Linda Water District
Attest:
Clerk/Secretary Kenneth R. Vecch,iarelli
Board Secretary.
Yorba Linda Water District
(Amendment)
PERS-CON-13 (Rev. 1198)
CAPERS
California
Public Employees' Retirement System
AMENDMENT TO CONTRACT
Between the
Board of Administration
California Public Employees' Retirement System
and the
Board of Directors
Yorba Linda Water District
-
The Board of Administration, California Public Employees' Retirement System,
hereinafter referred to as Board, and the governing body of the above public agency,
hereinafter referred to as Public Agency, having entered into a contract effective
December 21, 1975, and witnessed November 26, 1975, and as amended effective July
1, 1979, September 26, 1999, November 14, 2003 and June 24, 2007 which provides
for participation of Public Agency in said System, Board and Public Agency hereby
agree as follows-
A. Paragraphs 1 through 13 are hereby stricken from said contract as executed
effective June 24, 2007, and hereby replaced by the following paragraphs
numbered 1 through 15 inclusive:
1. All words and terms used herein which are defined in the Public
Employees' Retirement Law shall have the meaning as defined therein
unless otherwise specifically provided. "Normal retirement age" shall
mean age 55 for local miscellaneous members entering membership in
the miscellaneous classification on or prior to the effective date of this
amendment to contract and age 60 for local miscellaneous members
entering membership for the first time in the miscellaneous classification
after the effective date of this amendment to contract.
2. Public Agency shall participate in the Public Employees' Retirement
System from and after December 21, 1975 making its employees as
hereinafter provided, members of said System subject to all provisions of
the Public Employees' Retirement Law except such as apply only on
election of a contracting agency and are not provided for herein and to all
amendments to said Law hereafter enacted except those, which by
express provisions thereof, apply only on the election of a contracting
agency.
3. Public Agency agrees to indemnify, defend and hold harmless the
California Public Employees' Retirement System (Ca1PERS) and its
trustees, agents and employees, the CalPERS Board of Administration,
and the California Public Employees' Retirement Fund from any claims,
demands, actions, losses, liabilities, damages, judgments, expenses and
costs, including but not limited to interest, penalties and attorneys fees
that may arise as a result of any of the following:
(a) Public Agency's election to provide retirement benefits,
provisions or formulas under this Contract that are different than
the retirement benefits, provisions or formulas provided under
the Public Agency's prior non-CalPERS retirement program.
(b) Public Agency's election to amend this Contract to provide
retirement benefits, provisions or formulas that are different than
existing retirement benefits, provisions or formulas.
(c) Public Agency's agreement with a third party other than
CalPERS to provide retirement benefits, provisions, or formulas
that are different than the retirement benefits, provisions or
formulas provided under this Contract and provided for under
the California Public Employees' Retirement Law.
(d) Public Agency's election to file for bankruptcy under Chapter 9
(commencing with section 901) of Title 11 of the United States
Bankruptcy Code and/or Public Agency's election to reject this
Contract with the CalPERS Board of Administration pursuant to
section 355, of Title 11, of the United States Bankruptcy Code
or any similar provision of law..
(e) Public Agency's election to assign this Contract without the prior
written consent of the CalPERS' Board of Administration.
(f) The termination of this Contract either voluntarily by request of
Public Agency or involuntarily pursuant to the Public Employees'
Retirement Law.
(g) Changes sponsored by Public Agency in existing retirement
benefits, provisions or formulas made as a result of
amendments, additions or deletions to California statute or to
the California Constitution.
4. Employees of Public Agency in the following classes shall become
members of said Retirement System except such in each such class as
are excluded by law or this agreement:
a. Employees other than local safety members (herein referred to as
local miscellaneous members).
5. In addition to the classes of employees excluded from membership by
said Retirement Law, the following classes of employees shall not become
members of said Retirement System:
a. SAFETY MEMBERS EFFECTIVE DECEMBER 21, 19'75.
6. Assets heretofore accumulated with respect to members in the local
retirement system have been transferred to the Public Employees'
Retirement System and applied against the liability for prior service
incurred thereunder. That portion of the assets so transferred which
represent the accumulated contributions (plus interest thereof) required of
the employees under said local system has been credited to the individual
membership account of each such employee under the Public Employees'
Retirement System.
7. The percentage of final compensation to be provided for each year of
credited prior and current service as a local miscellaneous member
entering membership in the miscellaneous classification on or prior to the
effective date of this amendment to contract shall be determined in
accordance with Section 21354 of said Retirement Law, subject to the
reduction provided therein for service prior to September 30, 1977,
termination of Social Security, for members whose service has been
included in Federal Social Security (2% at age 55 Full and Modified).
8. The percentage of final compensation to be provided for each year of
credited current service as a local miscellaneous member entering
membership for the first time in the miscellaneous classification after the
effective date of this amendment to contract shall be determined in
accordance with Section 21353 of said Retirement Law (2% at age 60
Full).
9. No credit shall be granted for service prior to January 1, 1960 (date district
was organized).
10. Public Agency elected and elects to be subject to the following optional
provisions:
a. Section 21536 (Local System Service Credit Included in Basic
Death Benefit).
b. Section 20965 (Credit for Unused Sick Leave).
C. Section 21574 (Fourth Level of 1959 Survivor Benefits).
d. Section 20042 (One-Year Final Compensation).
e. Section 20475 (Different Level of Benefits). Section 21353 (2% @
60 Full formula) is applicable to local miscellaneous members
entering membership for the first time in the miscellaneous
classification after the effective date of this amendment to contract,
11. Public Agency, in accordance with Government Code Section 20790,
ceased to be an "employer" for purposes of Section 20834 effective on
December 21, 1975. Accumulated contributions of Public Agency shall be
fixed and determined as provided in Government Code Section 20834,
and accumulated contributions thereafter shall be held by the Board as
provided in Government Code Section 20834.
12. Public Agency shall contribute to said Retirement System the contributions
determined by actuarial valuations of prior and future service liability with
respect to local miscellaneous members of said Retirement System.
13. Public Agency shall also contribute to said Retirement System as follows:
a. Contributions required per covered member on account of the 1959
Survivor Benefits provided under Section 21574 of said Retirement
Law, (Subject to annual change.) In addition, all assets and
liabilities of Public Agency and its employees shall be pooled in a
single account, based on term insurance rates, for survivors of all
local miscellaneous members.
b. A reasonable amount, as fixed by the Board, payable in one
installment within 60 days of date of contract to cover the costs of
administering said System as it affects the employees of Public
Agency, not including the costs of special valuations or of the
periodic investigation and valuations required by law.
C. A reasonable amount, as fixed by the Board, payable in one
installment as the occasions arise, to cover the costs of special
valuations on account of employees of Public Agency, and costs of
the periodic investigation and valuations required by law.
14. Contributions required of Public Agency and its employees shall be
subject to adjustment by Board on account of amendments to the Public
Employees' Retirement Law, and on account of the experience under the
Retirement System as determined by the periodic investigation and
valuation required by said Retirement Law.
15. Contributions required of Public Agency and its employees shall be paid
by Public Agency to the Retirement System within fifteen days after the
end of the period to which said contributions refer or as may be prescribed
by Board regulation. If more or less than the correct amount of
contributions is paid for any period, proper adjustment shall be made in
connection with subsequent remittances. Adjustments on account of
errors in contributions required of any employee may be made by direct
payments between the employee and the Board.
B. This amendment shall be effective on the day of
BOARD OF ADMINISTRATION BOARD OF DIRECTORS
PUBLIC EMPLOYEES' RETIREMENT SYSTEM YORBA LINDA WATER DISTRICT
BY BY
KAREN DE FRANK, CHIEF PRESIDING OFFICER
CUSTOMER ACCOUNT SERVICES DIVISION
PUBLIC EMPLOYEES' RETIREMENT SYSTEM
Witness Date
Attest:
Clerk
AMENDMENT ER# 2682144221
PERS-CON-702A
ITEM NO. 9.2
AGENDA REPORT
Meeting Date: January 26, 2012
To: Board of Directors
From: Ken Vecchiarelli, General
Manager
Presented By: Gina Knight, HR/Risk Manager Dept: Human
Resources/Risk
Management
Reviewed by Legal: Yes
Prepared By: Amelia Cloonan, Personnel
Technician
Subject: Resolution For Employer Paid Member Contributions
SUMMARY:
During Meet and Confer, the District proposed implementing a Second tier (Section 20475 -
Different Level of Benefits) under Section 21353 (2%@ 60 Full formula) for new hires and accepting
that new employees will pick up their 7% employee contribution to CalPERS. This contribution is
paid by the District for employees hired prior to December 8, 2011.
STAFF RECOMMENDATION:
That the Board of Directors adopt Resolution No. 12-02 For Employer Paid Member Contributions
providing that the District will pay 0% of the Employer Paid Member Contributions for employees
hired after January 26, 2012.
COMMITTEE RECOMMENDATION:
The Personnel-Risk Management Committee reviewed the proposal to authorize a contract
Amendment with CalPERS at their meeting held December 13, 2011.
DISCUSSION:
The Board of Directors of the District is asked to adopt Resolution No. 12-02, Employer Paid
Member Contributions (EPMC). The Resolution provides that the District elects to pay 7% of the
EPMC for employees hired prior to December 8, 2011 and will pay 0% of the EPMC for employees
hired after January 26, 2012.
Thus, employees hired after approval of the resolution will pick up their 7% employee contribution to
CalPERS. This change is included in the adopted Memorandum of Understanding and approved
Letters of Compensation. It is a requirement of CalPERS that the District adopt a resolution
delineating this exception.
PRIOR RELEVANT BOARD ACTION(S):
At its meeting held December 22, 2011, the Board of Directors approved a Resolution of Intention to
Amend Contract with CalPERS to provide Section 20475 (Different Levels of Benefits).
ATTACHMENTS:
Name: Description: Type:
Resolution No. 12-02.doc Resolution No. 12-02 Resolution
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RK 5-0 Roll Call
RESOLUTION NO. 12-02
A RESOLUTION OF THE BOARD OF DIRECTORS
OF THE YORBA LINDA WATER DISTRICT
FOR EMPLOYER PAID MEMBER CONTRIBUTIONS
WHEREAS, the Board of Directors of the Yorba Linda Water District has elected to pay
all or a part of the normal member contributions to the California Public
Employees' Retirement System (CaIPERS) pursuant to Government Code
Section 20691, and applicable labor policies or agreements;
WHEREAS, the Board of Directors of the Yorba Linda Water District may elect an
Exception to said Employer Paid Member Contributions (EPMC) with a
given group or class of employees as defined in Government Code Section
20636(e)(1) and as specifically authorized in Title 2, California Code of
Regulations Section 569;
WHEREAS, the Board of Directors of the Yorba Linda Water District has identified the
following conditions for the application of said Exception;
• This exception shall apply to all employees of the Yorba Linda Water
District.
• Yorba Linda Water District elects to pay 7% for all current employees.
• For employees hired after January 26, 2012, the Yorba Linda Water
District will pay Employer Paid Member Contributions (EPMC) according
to the following schedule:
January 26, 2012 at 0 %
• The effective date of this Resolution shall be January 26, 2012.
NOW THEREFORE, BE IT RESOLVED that the Board of Directors of the Yorba Linda
Water District elects the Exception as set forth above.
Resolution No. 12-02 Employer Paid Member Contributions 1
PASSED AND ADOPTED this 26th day of January 2012 by the following called vote:
AYES:
NOES:
ABSTAIN:
ABSENT:
Phil Hawkins, President
Yorba Linda Water District
ATTEST:
Kenneth R. Vecchiarelli, Secretary
Yorba Linda Water District
Reviewed as to form by Labor Counsel:
Richard M. Kreisler
Liebert Cassidy Whitmore
Resolution No. 12-02 Employer Paid Member Contributions 2
ITEM NO. 9.3
AGENDA REPORT
Meeting Date: January 26, 2012 Budgeted: No
To: Board of Directors
Funding Source: Operating Funds
From: Ken Vecchiarelli, General
Manager
Presented By: Gina Knight, HR/Risk Manager Dept: Human
Resources/Risk
Management
Prepared By: Gina Knight, HR/Risk Manager
Subject: Proposal for Additional Coverage to the Property Insurance Program
SUMMARY:
Staff inquired into the costs of insuring approximately 41 additional District vehicles under the
District's property program through ACWA-JPIA. These vehicles have not been covered by any
insurance plan. Therefore, if any of these vehicles were damaged and it was determined that the
District was at fault for the damages, then the District would be fully responsible for any and all
repairs or replacement through the District's Self-Insured Program.
STAFF RECOMMENDATION:
That the Board of Directors approve extending comprehensive and collision insurance coverage to
the remaining District vehicles not currently covered under the District's Property Program. The
proposed coverage would become effective during the April 1, 2012 property insurance renewal
period.
COMMITTEE RECOMMENDATION:
The Personnel-Risk Management Committee discussed this item at its meeting held on January 10,
2012. The Committee will discuss its recommendation at the Board of Directors meeting on January
26, 2012.
DISCUSSION:
During the April 1, 2011 property renewal period, the Committee requested that staff research the
costs associated with extending insurance coverage for District vehicles not currently covered
through the District's property insurance program.
On December 16, 2011, an ACWA-JPIA insurance representative provided a rough estimate for the
additional costs for comprehensive and collision insurance for approximately 41 District vehicles (3
private passenger vehicles, 33 light trucks, 4 sport utility vehicles and 1 van). The estimated
premium for the additional coverage is approximately $5,300 based on 2011-2012 property rates.
The deductible will be $500 per reported incident.
The District's current property insurance policy will expire on March 31, 2012. The additional
coverage would become effective April 1, 2012 through March 31, 2013.
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
ITEM NO. 9.4
AGENDA REPORT
Meeting Date: January 26, 2012
To: Board of Directors
From: Ken Vecchiarelli, General
Manager
Presented By: Gina Knight, HR/Risk Manager Dept: Human
Resources/Risk
Management
Prepared By: Amelia Cloonan, Personnel
Technician
Subject: Reject and Refer Claim to ACWA/Joint Powers Insurance Authority
SUMMARY:
Reject and refer to ACWA/Joint Powers Insurance Authority a claim filed by Chris D'Amico,
STAFF RECOMMENDATION:
That the Board of Directors reject the claim filed by Mr. D'Amico and refer it to ACWA/Joint Powers
Insurance Authority.
COMMITTEE RECOMMENDATION:
The Personnel-Risk Management Committee discussed this claim at its meeting held January 10, 2012.
DISCUSSION:
Chris D'Amico, filed a claim with the District on December 28,
2011. Mr. D'Amico claims that while traveling on Bastanchury near Casa Loma in Yorba Linda, he drove
over a Yorba Linda Water District water cover, which flipped up under his car, causing auto body
damage and a blown out tire. Mr. D'Amico has receipts for replacement of a tire and estimates for auto
body repair and rental car. He is asking for an unspecified amount from the District to pay for
replacement of his tire, repair of his automobile and a rental car to use while his auto is under repair.
Staff discussed the claim with an ACWA-JPIA Sr. Claims Adjuster who recommended the claim be
rejected and referred. The Sr. Claims Adjuster will send an appraiser to assess the damage to Mr.
D'Amico's vehicle before considering payment of the claim.
ATTACHMENTS:
Carne: Description: Type:
Claim.pdf Claim Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
RC/RK 5-0
PLEASE CONTACT YLWD RECORDS DIVISION
FOR THIS ATTACHMENT
(714) 701-3101
records@ylwd.com
ITEM NO. 12.1
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Executive-Administrative-Organizational Committee
(Hawkins/Melton)
Minutes of meeting held January 11, 2012 at 4:00 p.m.
Meeting scheduled February 8, 2012 at 4:00 p.m.
ATTACHMENTS:
Name: Description: Type:
011112 EAO - Minutes.doc EAO Mtg Minutes 01/11/12 Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
EXEC-ADM IN-ORGANIZATIONAL COMMITTEE MEETING
January 11, 2012
A meeting of the Executive-Administrative-Organizational Committee was called to
order by Director Hawkins at 4:00 p.m. The meeting was held at the District's
Administrative Office at 1717 E Miraloma Ave, Placentia CA 92870.
COMMITTEE STAFF
Director Phil Hawkins, Chair Ken Vecchiarelli, General Manager
Director Gary T. Melton Damon Micalizzi, Public Information Officer
OTHER ATTENDEES
None.
1. PUBLIC COMMENTS
None.
2. ACTION CALENDAR
2.1. ACWA Health Benefits Authority Board of Directors Election
Mr. Vecchiarelli reported on the District's authority and right to elect a
member to the Board of ACWA Health Benefits Authority. Staff received
three letters requesting support of two candidates to the position. The
Committee considered the benefits of each of these nominees and
suggested the Board take the matter under consideration. The item will
be presented to the Board at their meeting on January 12 since election
ballots are due January 23 before the second Board of Directors meeting
in January.
2.2. Water Education Foundation Membership
The Committee discussed the benefits and costs of annual membership to
the Water Education Foundation. The recommended membership dues
has escalated substantially each year and staff was seeking the
Committee's and the Board's input to determine if they desired to continue
the District's membership and if so, at what sponsorship level. The
Committee suggested not renewing this year and further assessing the
value to determine if the District's goals and objectives are impacted by
this change.
1
3. DISCUSSION ITEMS
3.1. Rescheduling Standing Date of Future Committee Meetings
The Committee discussed future dates and established compatible
meeting dates for the Committee through June 2012. Staff will revised the
Board Calendar accordingly.
3.2. Status of Strategic Plan Initiatives
The Committee reviewed the status of strategic planning initiatives that
were revised since the last meeting.
3.3. Future Agenda Items and Staff Tasks
None.
4. ADJOURNMENT
4.1. The Committee adjourned at 5:35 p.m. The next meeting of the
Executive-Administrative-Organizational Committee will be held February
8, 2012 at 4:00 p.m.
2
ITEM NO. 12.3
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Personnel-Risk Management Committee
(Beverage/Collett)
Minutes of meeting held January 10, 2012 at 4:00 p.m.
Meeting scheduled February 14, 2012 at 4:00 p.m.
ATTACHMENTS:
Name: Description: Type:
011012 PRM - Minutes.doc PRM Mtg Minutes 01/10/12 Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
PERSONNEL-RISK MANAGEMENT COMMITTEE MEETING
January 10, 2012
A meeting of the Personnel-Risk Management Committee was called to order by
Director Beverage at 4:06 p.m. The meeting was held at the District's Administrative
Office at 1717 E Miraloma Ave, Placentia CA 92870.
COMMITTEE STAFF
Director Michael J. Beverage, Chair Ken Vecchiarelli, General Manager
Director Ric Collett Gina Knight, Human Resources Manager
1. PUBLIC COMMENTS
None.
2. ACTION CALENDAR
2.1. Proposal for Additional Coverage to the Property Insurance Program
Gina Knight presented a proposal to extend comprehensive and collision
insurance coverage to the remaining District vehicles not currently
covered through the District's property insurance provider. The
Committee will recommend that the Board of Directors consider the
proposal at the next Board of Directors meeting on January 26, 2012.
3. DISCUSSION ITEMS
3.1. Human Resources Department Activity
The Committee reviewed and discussed the updated activities log. Staff
reported on the status of several tort claims to include a recommendation
for the Committee to recommend that the Board of Directors reject and
refer a claim submitted by Mr. Chris D'amico at the next Board of Directors
meeting on January 26, 2012.
3.2. Status of Recruitments and Budgeted Positions
Gina Knight reported that the Public Affairs intern recruitment was posted
on January 5, 2012 with a closing date of January 19, 2012. Staff
reported that as of January 10, 2012 the District had received one
application for the intern position.
3.3. Status of Strategic Plan Initiatives (Verbal Report)
Staff discussed that more tools were needed to assist with the
development of a plan that was specific to the District's needs. Staff will
be participating in succession planning workshops in the near future to
acquire those tools.
1
3.4. Future Agenda Items and Staff Tasks
Staff was reminded by the Chair, to include on future agendas the
assessment of the District's organizational structure for efficiency and
streamlining opportunities as well as the restructuring of departments.
4. ADJOURNMENT
4.1. The Committee adjourned at 5:17 p.m. The next meeting of the
Personnel-Risk Management Committee will be held February 14, 2012 at
4:00 p.m.
2
ITEM NO. 12.4
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Planning-Engineering-Operations Committee
(Collett/Kiley)
Minutes of meeting held January 5, 2012 at 4:00 p.m.
Meeting scheduled February 2, 2012 at 4:00 p.m.
ATTACHMENTS:
Name: Description: Type:
010512 - PEO Minutes.docx PEO Mtg Minutes 01/05/12 Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
PLANNING-ENGINEERING-OPERATIONS COMMITTEE MEETING
January 5, 2012
A meeting of the Planning-Engineering-Operations Committee was called to order by
Director Collett at 4:00 p.m. The meeting was held at the District's Administrative Office
at 1717 E Miraloma Ave, Placentia CA 92870.
COMMITTEE STAFF
Director Ric Collett, Chair Ken Vecchiarelli, General Manager
Director Robert R. Kiley Steve Conklin, Engineering Manager
John DeCriscio, Chief Plant Operator
1. PUBLIC COMMENTS
None.
2. DISCUSSION ITEMS
2.4 Project Recap and Forward Planning
At the request of Mr. Vecchiarelli and approval of the Committee, this item
was brought forward to provide a briefing to the new Committee on
projects completed, in process, and in planning. Mr. Conklin presented
the summary table titled "Project Recap and Forward Planning." Mr.
Conklin discussed the construction projects, agreements and reports
completed in 2010, and projects currently in construction, design and
under study. Also presented and discussed were Forward Planning
Objectives for 2012 and the years to follow. Following this item, Mr.
Vecchiarelli excused himself from the meeting.
2.1 Monthly Preventative Maintenance Program Report
Mr. DeCriscio reported on the status of tasks in the PM Report through
December 2011. He noted that all work tasks are on target, with the
exception of Sewer Televising. Regarding this latter task, mechanical
problems with equipment have been addressed and more televising is
being completed. It was noted that the televising work is delayed at times,
if the televising identifies sewer lines in need of immediate repair work.
2.2. Monthly Groundwater Production and Purchased Import Water Report
Mr. DeCriscio reported that water demand for December 2011 was close
to the amount projected (2.5% below budget projections) due to the warm,
dry weather. For the first six months of FY 2011-12, the cumulative
demand is 7.6% under that projected. He also noted that we have been
taking more import water and less groundwater than normal, in order to
purchase more of the annual import water volume we use on an annual
basis, ahead of the MWD price increase n January 2012. We will increase
our groundwater use (and decrease import water use) so that we achieve
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our BPP goal of 48.1% by the end of the FY. Mr. DeCriscio also reported
that our efforts are essentially complete in preparation for the planned
MWD shutdown of the Diemer Plant from January 8t" to the 15t". Our
reservoirs will be full (approximately 50 million gallons) and all of our wells
are operational (approximately 18 mgd capacity). We anticipate no
problem meeting our daily system demand, which is expected to be in the
range of 15 mgd.
2.3. Groundwater Producers Meeting Report
Mr. Conklin reported on the items discussed at the December 14, 2011
meeting.
2.5. Status Report on Capital Projects in Progress
Mr. Conklin reported on the status of capital projects in planning, design
and construction. Regarding the OCTA's Lakeview Grade Separation
Project, he noted that the next meeting with OCTA to discuss cost-sharing
issues has been rescheduled to January 11. The Committee asked that
he provide a report to the Board on January 12 on the outcome of that
meeting. Mr. Conklin also reported that we are continuing to look at
alternatives with OCWD staff for a well site on OCWD property along La
Palma Avenue near Van Buren.
2.6. Status of Strategic Plan Initiatives
Mr. Conklin reported on the status of strategic planning objectives related
to engineering and construction.
2.7. Future Agenda Items and Staff Tasks
Mr. Conklin reported that, following the discussion with the Board on
December 22 on the subject of the planned closure of Highland access
roadway across District property, staff continued with preparations. Staff
is advising concerned residents that if they wish to voice their concerns,
they are invited to attend the January 12 Board meeting, after which we
plan to close the gate across the roadway. The Committee concurred with
this approach. Concerning future agenda items, the Committee asked if
the future projects discussed as part of the Project Recap and Forward
Planning will be included in the January 16 Board Workshop on the
Budget. Mr. Conklin confirmed that they will be part of the workshop and
discussion.
3. ADJOURNMENT
3.1. The meeting adjourned at 5:25 p.m. The next meeting of the Planning-
Engineering-Operations Committee will be held February 2, 2012 at 4:00
p.m.
2
ITEM NO. 12.5
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Public Affairs-Communications-Technology Committee
(Melton/Beverage)
Minutes of meeting held January 9, 2012 at 4:00 p.m.
Minutes of meeting held January 19, 2012 at 4:00 p.m. (To be provided at the
next Board meeting.)
• Meeting scheduled February 6, 2012 at 4:00 p.m.
ATTACHMENTS:
Name: Description: 1 ype:
010912 PACT - Minutes.docx PACT Mtg Minutes 01/09/12 Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
PUBLIC AFFAIRS-COMMUNICATIONS-TECHNOLOGY COMMITTEE MEETING
January 9, 2012
A meeting of the Public Affairs-Communications-Technology Committee was called to
order by Director Melton at 4:00 p.m. The meeting was held at the District's
Administrative Office at 1717 E Miraloma Ave, Placentia CA 92870.
COMMITTEE STAFF
Director Gary T. Melton, Chair Ken Vecchiarelli, General Manager
Director Michael J. Beverage Art Vega, Interim IT Manager
Damon Micalizzi, PI Officer
1. PUBLIC COMMENTS
None.
2. DISCUSSION ITEMS
2.1. Committee Activities Review and Future Objectives
Mr. Micalizzi summarized a list of significant items the Committee
reviewed and recommended action on within the past calendar year
including: District Participation in 2011 Water Education Festival; Audio &
Video Taping of District Meetings; Joint Use of District Reservoirs; and
enhancing outreach and Water Education in District Elementary Schools.
Many of these items will be revisited by the Committee for future
consideration and or budgetary needs. In addition, the Committee will be
looking at several items for the Calendar year including the District's New
Website, a History of YLWD Video and Possible Kiosk Display, and YLWD
Rebate Program.
2.2. Dynamics GP Consultant Status (Verbal Report)
Mr. Vega informed the Committee that the District had received a Training
Agenda from Tom Santorro. Once feedback is given from staff to Tom
from NeuLogics and adjustments made to the Training Agenda, then
further action will be taken.
2.3. Computerized Maintenance and Management System Project Status
Mr. Vega updated the Committee on the status of CMMS. IT and
Operations staff met on Dec. 14 to discuss current issues. Two additional
notebooks have arrived and are currently being setup by IT staff for
CMMS. Mr. Vega reviewed and the Committee discussed the projected
cost estimate for the CMMS project. Mr. Vega inquired if it was the desire
of the committee to include the prior months projected cost estimate. Mr.
Melton replied that yes it would be helpful.
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2.4. Review of New District Signage
The Committee discussed and agreed that the new signs replacing the
conservation signs throughout the District are both difficult to read and in
need of a change. Furthermore, the Committee discussed the amount of
time it took the vendor to replace complete the job. Staff was tasked with
creating one new sign to be presented to the Committee on January 19th
that will replace all of the signs and to arrange with the vendor so that the
new signs are put up as soon as possible.
2.5. 2012 Children's Water Education Festival
Mr. Micalizzi updated the Committee on staff's initial plan for this year's
presentation at the 2012 Children's Water Education Festival to be held at
the Nixon Library on March 28-29th. This year the YLWD team plans to
educate students about water quality. Mr. Melton inquired as to the status
of some promotional items that were approved for purchase by the
Committee, Mr. Micalizzi explained that those items were yet to be
purchased due to a need for additional photos and graphics for the design.
Designs for these display items will also be presented to the Committee at
the January 19th meeting.
2.6. Public Outreach Activities
The Committee reviewed the District's recent water donations and public
outreach activities.
2.7. Status of Strategic Plan Initiatives
The Committee reviewed the updates on Strategic Plan Initiatives noting
that the EPIC Committee was set to meet on January 17th. The
Committee also asked about the status of the recruitment of two Public
Affairs intern positions.
2.8. Future Agenda Items and Staff Tasks
Mr. Beverage mentioned that the Holiday Newsletter did not arrive to his
home until just before the New Year and suggested at deadline calendar
for such projects so to ensure that such publications get delivered on
schedule.
3. ADJOURNMENT
3.1. The meeting was adjourned at 5:37 p.m. The next meeting of the Public
Affairs-Communications-Technology Committee will be held January 19,
2012 at 4:00 p.m.
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ITEM NO. 14.1
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: Meetings from January 27, 2012 - February 29, 2012
ATTACHMENTS:
BOD - Activities Calendara.pdf BOD Activity Calendar Backup Material
Board of Directors Activity Calendar
Event Date Time Attendance by:
January 2012
District Offices Closed Fri, Jan 27 7:OOAM
February 2012
MWDOCIMWD Workshop Wed, Feb 1 8:30AM Melton/Staff
OCWD Board Wed, Feb 1 5:30PM Kiley/Staff
Planning-Engineering-Operations Committee Meeting Thu, Feb 2 4:OOPM Collett/Kiley
MWDOC Water Policy Forum & Dinner Thu, Feb 2 6:OOPM
District Offices Closed Fri, Feb 3 7:OOAM
WACO Fri, Feb 3 7:30AM Hawkins
Pub Affairs-Communications-Tech Committee Meeting Mon, Feb 6 4:00PM Melton/Beverage
Yorba Linda City Council Tue, Feb 7 6:30PM Hawkins
Exec-Admin-Organizational Committee Meeting Wed, Feb 8 4:OOPM Hawkins/Melton
Yorba Linda Planning Commission Wed, Feb 8 7:OOPM Kiley
Board of Directors Regular Meeting Thu, Feb 9 8:30AM
District Offices Closed Fri, Feb 10 7:OOAM
Personnel-Risk Management Committee Meeting Tue, Feb 14 4:OOPM Beverage/Collett
MWDOC Board Wed, Feb 15 8:30AM Melton/Staff
OCWD Board Wed, Feb 15 5:30PM Kiley/Staff
AB1234 Training Thu, Feb 16 9:OOAM Hawkins/Beverage
District Offices Closed Fri, Feb 17 7:OOAM
District Offices Closed Mon, Feb 20 7:OOAM
Yorba Linda City Council Tue, Feb 21 6:30PM Melton
Yorba Linda Planning Commission Wed, Feb 22 7:OOPM Collett
Board of Directors Regular Meeting Thu, Feb 23 8:30AM
District Offices Closed Fri, Feb 24 7:OOAM
Citizens Advisory Committee Meeting Mon, Feb 27 8:30AM Beverage
Finance-Accounting Committee Meeting Mon, Feb 27 4:OOPM Kiley/Hawkins
1/19/2012 10 37 44 AM
ITEM NO. 15.1
AGENDA REPORT
Meeting Date: January 26, 2012
Subject: MWDOC Water Policy Forum & Dinner - February 2, 2012
STAFF RECOMMENDATION:
That the Board of Directors authorize Director attendance at this event if desired.
ATTACHMENTS:
Name: Description: Type:
MWDOC Water Policy Foruma.pdf Event Flyer Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
1/26/2012
MB/RC 5-0
MUNICIPAL
wATE R
DISTRICT
OF
ORANGE
COUNTY
.
r
r ~ I
It is with great pleasure that we invite you to attend our first
Water Policy Forum & Dinner of 2012. The event will take
. c . • • , r place on Thursday, February 2, 2012 at the Westin South Coast
r r Plaza Hotel in Costa Mesa.
We are pleased to welcome as our guest speaker, Pat Mulroy,
General Manager of the Southern Nevada Water Authority.
Ms. Mulroy's presentation, The Colorado River: A Shared
_ I r Perspective, will focus on her unique perspective and
demonstrated success in addressing Colorado River water
issues, water use efficiency, and water supply management
challenges.
f
Registration for this event is $75 per person, which includes
the pre-dinner reception (cash bar), three-course dinner
(choice of entree), and self-parking. Online registration and
payment are available through the link above.
' Please register no later than Friday, January 27, 2012, to
- + - • ensure that you receive your requested entree. Cancellations
• - " • " made after this date and event "no-shows" will be charged.
We look forward to seeing you at the Water Policy Forum &
Dinner on Thursday, February 2, 2012.
Sincerely,
Joan C. Finnegan
Board President
Municipal Water District of Orange County
(714) 963-3058