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HomeMy WebLinkAbout1998-07-22 - Finance-Accounting Committee Meeting Minutes• 0 ITEM NO. /3 Q • AGENDA REPORT DATE: August 13, 1998 TO: President and Members of the Board FROM: Finance Committee SUBJECT: Summary Minutes of the Finance Committee Meeting The Finance Committee held a meeting on July 22, 1998. Present were Directors Art Korn and Sterling Fox, and staff members William Robertson, Michael Payne, Beverly Meza, and Chuck Gray. The following items were discussed by the committee. 1. Water and Sewer Development Fees. Chuck Gray, Engineering Manager, presented a staff report on proposed water and sewer development fees for fiscal year 1998 -99. Water and sewer development fees are fees paid by land developers for engineering services such as plan check and inspection, and for water meters. Items discussed were the annual review of fees to determine if District coats are covered by the proposed fees, and the incorporation of current labor and material costs. A public hearing on Water and Sewer Development Fees is scheduled for this Board of Directors meeting. 2. Sewer Maintenance Fees. William Robertson, General Manager, presented a staff report on the proposed Sewer Maintenance fees for fiscal year 1998 -99. Sewer maintenance rates were discussed for District sewer customers including the Locke Ranch sewer service area. A public hearing on Sewer Maintenance Charges is scheduled for this Board of Directors meeting. 3. Customer Service Fees. Chuck Gray, Engineering Manager, presented a staff report on Customer service fees for fiscal year 1998 -99. Customer development fees are fees paid by the District's customers for late payment fees, reconnection fees, after hour service calls, and meter testing services. Items discussed were the annual review of fees to determine if District coats are covered by the proposed fees, and the incorporation of current labor and material costs. A public hearing on Customer Development Fees is scheduled for this Board of Directors meeting. 4. Bond Refunding and Debt Reserves for Improvement District No. 2. Michael Payne, Assistant General Manager, presented a staff report on bond refunding and debt reserves for ID No.2. Items discussed were the bond structure, term, and savings for the District's customers. In addition, the proposed bond sale schedule submitted by Bartle Wells Associates was reviewed. An agenda for Board of Directors consideration is contained within this agenda package. 5. Gann Appropriations Calculations. Beverly Meza, Business Manager, presented a staff report on the Gann appropriations process.