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HomeMy WebLinkAbout2008-07-10 - Board of Directors Meeting Agenda PacketAgenda Packet Regular Meeting of the Board of Directors July 10, 2008 8:30 a. m. 1717 E. Miraloma Avenue, Placentia, CA 92870 ,inda Water District AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Thursday, July 10, 2008, 8:30 A.M. 1717 E. Miraloma Avenue, Placentia, CA 92870 (714) 701- 3020 CALL TO ORDER PLEDGE OF ALLEGIANCE ROLL CALL John W. Summerfield, President William R. Mills, Vice President Paul R. Armstrong Michael J. Beverage Ric Collett INTRODUCTION OF VISITORS AND 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 this 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 this agenda. Comments are limited to matters of public interest and matters within the jurisdiction of the Water District. Comments are limited to five minutes. SPECIAL RECOGNITION Recognize Jennifer Hill for her promotion to Meter Services Representative. Introduce Reynaldo Tobias, newly hired Instrumentation Technician. CONSENT CALENDAR (Items 1 throuah 61 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, the staff, or the public requests further consideration. Minutes of the Regular Board of Directors meeting held June 26, 2008. Recommendation: Approve the minutes as presented. 2. Payment of bills, refunds, and wire transfers. Recommendation: Ratify and authorize disbursements in the amount of $1,283,919.15. 3. Progress Payment No. 13 for the Lakeview Reservoir Project. Recommendation: That the Board of Directors approve Progress Payment No. 13 in the net amount of $305,846.75 to SSC Construction, Inc. for construction of the Lakeview Reservoir Project, Job No. 200704. 4. Progress Payment No. 2 for the Highland Reservoir Replacement Project. Recommendation: That the Board of Directors approve Progress Payment No. 2 in the net amount of $199,086.79 to Schuler Engineering Corporation for construction of the Highland Reservoir Replacement Project, Job No. 200309. 5. Quarterly Financial Statements for the Third Quarter of Fiscal Year 2007-2008 Ending March 31, 2008 Recommendation: That the Board of Directors receive and file the Financial Statement for the Third Quarter of Fiscal Year 2007-2008 Ending March 31, 2008. 6. Damage claim. Recommendation: Reject and refer to ACWA/JPIA the claim filed by Kamil Antonios, 5595 Mulberry Way, Yorba Linda. ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board actions. 7. Change Order No. 3 to SSC Construction, Inc. for the Lakeview Reservoir Project. Recommendation: That the Board of Directors approve Change Order No. 3 in the amount of $55,393.45 and 27 calendar days and reduce retention to 5 percent to SSC Construction, Inc. for construction of the Lakeview Reservoir Project, Job No. 200704. 8. Change Order for Asphalt Paving Contract. Recommendation: That the Board of Directors approve Change Order No. 1 to the Agreement with Hardy & Harper, the District's asphalt pavement contractor, adjusting the unit price to $14 per square foot. 9. Proposal for Financial and Utility Billing Software. Recommendation: That the Board of Directors authorize the General Manager to execute a Professional Services Agreement with Cogsdale Corporation in the amount of $291,790 for the installation, implementation and technical support of financial and utility billing software systems. 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. None -2- REPORTS, INFORMATION ITEMS AND COMMENTS 11. a. President's Report b. Directors Reports c. General Managers Report 1) Conflict of Interest Forms due no later than July 24. d. General Counsels Report COMMITTEE REPORTS 12. a. Executive-Administrative-Organizational Committee (Summerfield/Mills) Alternate: Collett 1) Meeting scheduled for July 15, 4:00 p.m. b. Finance-Accounting Committee (Beverage/Summerfield) Alternate: Mills 1) Meeting scheduled for July 8, 4:00 p.m. c. Personnel-Risk Management Committee (Armstrong/Collett) Alternate: Summen`ield 1) Minutes of meeting held June 9. 2) Meeting scheduled for July 14, 4:00 p.m. d. Planning-Engineering-Operations Committee (Mills/Armstrong) Alternate: Beverage 1) Minutes of meeting held July 3 will appear in the Board agenda for July 24. 2) Meeting scheduled for August 7, 4:00 p.m. e. Public Information-Technology Committee (Collett/Beverage) Alternate: Armstrong 1) Minutes of meeting held July 1. 2) Meeting scheduled for July 17, 4:00 p.m. 3) Meeting scheduled for August 5, 4:00 p.m. f. MWDOC Ad Hoc Committee (Mills/Collett) Alternate: Summerfield 1) Minutes of meeting held June 24. 2) Meeting scheduled for August 26, 4:00 p.m. -3- g. City of Placentia Ad Hoc Committee (Beverage/Payne) 1) Meeting to be scheduled. INTERGOVERNMENTAL MEETINGS 13. a. MWDOC/MWD Joint Workshop, July 2 (Staff) b. OCWD Board, July 2 (Staff) c. Yorba Linda Planning Commission, July 9 (Collett) BOARD OF DIRECTORS ACTIVITY CALENDAR Authorization to attend meetings scheduled after July 10, 2008. Agenda is available in the District office prior to meeting. July 2008 rPersonnel-Risk Management Committee, July 14, 4:00 p.m. Executive-Admin-Organizational Committee, July 15, 4:00 p.m Yorba Linda City Council, July 15, 6:30 p.m. MWDOC Board, July 16, 8:30 a.m. District Administration Building Dedication, 4:00 p.m. OCWD Board, July 16, 5:00 p.m. Yorba Linda Planning Commission, July 23, 7:00 p.m. District Board Meeting, July 24, 8:30 a.m. Auaust 2008 FPublic Information Committee, August 5, 4:00 p.m. Yorba Linda City Council, August 5, 6:30 p.m. MWDOC/MWD Joint Workshop, August 6, 8:30 a.m. OCWD Board, August 6, 5:00 p.m. Planning-Engineering-Operations Committee, Aug 7, 4:00 p.m. Personnel-Risk Management Committee, August 11, 4:00 p.m. Finance-Accounting Committee, August 12, 4:00 p.m. Yorba Linda Planning Commission, August 13, 7:00 p.m. District Board Meeting, August 14, 8:30 a.m. Executive-Admin-Organizational Committee, Aug 19, 4:00 p.m. Yorba Linda City Council, August 19, 6:30 p.m. MWDOC Board, August 20, 8:30 a.m. OCWD Board, August 20, 5:00 p.m. Yorba Linda Planning Commission, August 27, 7:00 p.m. District Board Meeting, August 28, 8:30 a.m. Armstrong/Collett Summerfield/Mills Armstrong Staff Staff Summerfield I Collett/Beverage Mills Staff Staff Mills/Armstrong Armstrong/Collett Beverage/Summerfield Collett **Summerfield/Mills Armstrong Staff Staff **Summerfield -4- CONFERENCES AND SEMINARS 14. Authorize attendance of Directors and such staff members of the District as approved by the General Manager to attend the following conferences and seminars. a. MWDOC's Water Policy Forum & Dinner, Wednesday, July 23, 6:00-8:00 p.m. ADJOURN TO 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. 15. None ADJOURNMENT A regular meeting of the Board of Directors is scheduled for July 24, 2008, at 8:30 a.m., at 1717 E. Miraloma Avenue, Placentia 92870. Accommodation 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 Michael A. Payne, General Manager/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. -5- 2008 BOARD OF DIRECTORS CALENDAR • S M 6 7 13 14 20 21 27 28 JUL T W T F S 1 2 3 4F5 8 9 11 12 15 16 17 18 19 22 23M 25 26 29 30 31 AUG S M T W T F S 1 2 3 4 5 6 7 8 9 10 11 12 13- 15 16 17 18 19 20 21 22 23 24 25 26 27M 29 30 311 OCT NOV S M T W T F S S M T W T F S 1 2 3 4 1 5 6 7 8. 10 11 2 3 4 5 6 7 8 12 13 14 15 16 17 18 9 10 11 12 - 14 15 19 20 21 22 24 25 16 17 18 19 20 21 22 26 27 28 29 31 23 24 25 26M 28 29 30 1 SEP S M T W T F S 1 1 2 3 4 5 6 7 8 9 10- 12 13 14 15 16 17 18 19 20 21 22 23 24 = 26 27 28 29 30 DEC S M T W T 1 2 3 4 7 8 9 10M 14 15 16 17 18 21 22 23 24 25 28 29 30 31 F S 5 6 12 13 19 20 26127 2009 BOARD OF DIRECTORS CALENDAR 1] S M 4 5 11 12 18 19 25 26 S M 5 6 12 13 19 20 26 27 JAN T 6 13 20 27 APR T W T 1 2 7 8 9 14 15 16 21 22 28 29 30 W T F S 1 2 3 7 9 10 14 15 16 17 21M 23 24 28 29 30 31 F S 3 4 10 11 17 18 24 25 FEB S M T W T F S 1 2 3 4 5 6 7 8 9 10 11 13 14 15 16 17 18 19 20 21 22 23 24 25 M 27 28 MAY S M 3 4 10 11 17 18 24 25~ 311 T 5 12 19 26 W T 6- 13 14 20M 27 28 F S 1 2 8 9 15 16 22 23 29 30 MAR S M T W T F S1 1 2 3 4 5 6 7 8 9 10 11- 13 14 15 16 17 18 19 20 21 22 23 24 25M 27 28 29 30 31 1 JUN S M T W T F 7 1 8 2 9 3 4 10- 5 12 6 13 14 21 15 22 16 23 17 18 24 M 19 26 20 27 28 29 301 Holiday Dec 2-5, 2008 - ACWA Fall Conference, Long Beach 0 Board Meeting Dec 15-17 - CRWUA 2008 Annual Conference, LV Activities May 19-22 - ACWA Spring Conference, Sacramento APPROVED BY THE BOARD Of DIRECTOR'S OF THE YORBA LINDA WATER DISTRICT ITEM NO. 1 MINUTES OF THE JUL 1 0 20YORBA LINDA WATER DISTRICT j BOARD OF DIRECTORS REGULAR MEETING BY. June 26, 2008 The June t~08 regular meeting of the Yorba Linda Water District Board of Directors was called to order by President Summerfield at 8:34 a.m. The meeting was held at the District's offices at 1717 E. Miraloma Avenue, Placentia, CA. DIRECTORS PRESENT AT ROLL CALL John W. Summerfield, President Paul R. Armstrong Michael J. Beverage DIRECTORS ABSENT AT ROLL CALL William R. Mills, Vice President Ric Collett STAFF PRESENT Kenneth R. Vecchiarelli, Asst. G.M. Diane Cyganik, Finance Director Lee Cory, Operations Manager Pat Grady, IT Director Cindy Mejia, Management Analyst Amelia Cloonan, Personnel Tech INTRODUCTION OF VISITORS AND PUBLIC COMMENTS None SPECIAL RECOGNITION `None CONSENT CALENDAR (Items 1 throuah 31 On a motion by Director Beverage, seconded by Director Armstrong, the Board of Directors voted 3-0 to approve the Consent Calendar. 1. Minutes of the Regular Board of Directors meeting held June 12, 2008. Recommendation: Approve the minutes as presented. 2. Payment of bills, refunds, and wire transfers. Recommendation: Ratify and authorize disbursements in the amount of $772,680.68. 3. Terms and Conditions for Water and Sewer Service with Ms. Kate Gulewich. Recommendation: Approve Terms and Conditions for Water and Sewer Service with Ms. Kate Gulewich for 5112 Eureka Avenue, Yorba Linda, Job No. 200808. Director Ric Collett entered the meeting at 8:37 a.m. ACTION CALENDAR 4. Implement Level 1 of the 2005 Urban Water Management Plan Calling For a Voluntary 10% Reduction In Water Use District Wide. Assistant General Manager Vecchiarelli introduced the item and explained the reasons for the need to adopt the reduction in water use. Commencing July 1, all reporting and requirements will be tracked. Metropolitan Water District will introduce water conservation measures on January 1, 2009. Director Armstrong stated the City Council spoke negatively about the District, because no one from the District appeared before the City Council to speak about water reduction. P 9 Shortage Contingency Plan established by the 2005 Urban Water Management Plan calling for an immediate voluntary ten percent reduction in water use. 5. Adopt appropriations limit for FY 2008-09. Finance Director Cyganik introduced the report and explained the reasons for the need to adopt the appropriation limit. On a motion by Director Collett, seconded by Director Armstrong, the Board of Directors on a Roll Call voted 4-0-1, with Vice President Mills absent, to adopt Resolution 08-08 adopting the District's Appropriation Limit for fiscal 6. Pre-Annexation Agreement with Placentia-Yorba Linda Unified School District. Assistant General Manager Vecchiarelli presented the report to consider the agreement with the Placentia-Yorba Linda Unified School District. The agreement was considered and passed by the PYLUSD Board of Directors at their meeting on Tuesday evening. President Summerfield will sign the agreement after it is signed by the PYLUSD. On a motion by Director Beverage, seconded by Director Collett, the Board of Directors voted 4-0 to authorize the President and Secretary to execute the Pre-Annexation Agreement between Yorba Linda Water District and Placentia-Yorba Linda Unified School District for the new Yorba Linda High School, Job No. 200620. Assistant General Manager Vecchiarelli responded to a question from President Summerfield by stating the 10% voluntary reduction in water use could be rescinded if the water supply situation reverses. Assistant General Manager Vecchiarelli stated there are reporting mechanisms in place at the District regarding use of water, so a regular report can come to the Board of Directors to indicate whether the District is meeting the conservation target. On a motion by Director Armstrong, seconded by Director Collett, the Board of Directors on a Roll Call voted 4-0-1, with Vice President Mills absent, to adopt Resolution No. 08-07, A Resolution of the Board of Directors of the Yorba Linda Water District lm /ementin Action Level 1 of the Water -2- 7. Approve the 2007 Consumer Confidence Report. Assistant General Manager Vecchiarelli presented the item. The report is prepared annually with the requirement that it be delivered to each of the District's customers. One thing to note is that the District is looking at having the report delivered in the customers' bills to save considerable mailing costs. The report is also available on the District's website. On a motion by Director Beverage, seconded by Director Armstrong, the Board of Directors voted 4-0 to approve the Consumer Confidence Report to be distributed to all District customers. DISCUSSION ITEMS 8. None REPORTS. INFORMATION ITEMS AND COMMENTS 9. a. President's Report There was no report. b. Directors Reports Director Armstrong reported that at the southwest corner of Bastanchury and Lakeview there is ground subsidence. Does this in any way jeopardize the District's pipes? Assistant General Manager Vecchiarelli said our people have already been out and checked several times. Staff will check with the city engineer. c. General Managers Report Assistant General Manager Vecchiarelli reported the Yorba Linda Star gave a preview of candidates who will be supported by the Yorba Linda Residents for Responsible Representation to run for the District's Board. IT Director Grady gave an update on the phone answering system. Phone calls will be answered by an individual instead of going to an automated system commencing July 1. If there is a backup of calls these will be picked up from the queue. He will report at the PIT Committee meeting to be held on July 1. Assistant General Manager Vecchiarelli reported the District's offices will be closed on July 4. On July 16, the Administration building dedication will be held at 4:00 p.m. On a motion by Director Beverage, seconded by Director Collett, the Board of Directors voted 4-0 to add an item the agenda. This item came to the attention of Assistant General Manager Vecchiarelli only this morning, June 26, and required immediate action. -3- A request was received from MWDOC to oppose AB 885, a Bill amending the MWD act and containing the option of having alternate board members. What MWD would like to see is to allow their current board members to vote by proxy if they cannot come to a particular board meeting. The District agrees that this Assembly Bill does not improve how MWD does business and asks President Summerfield to sign letters to be sent to Senator Margett and Assemblyman Duvall. On a motion by Director Beverage seconded by Director Collett, the Board of Directors voted 4-0 to send letters signed by President Summerfield to Senator Margett and Assemblyman Duvall in opposition of AB 885. COMMITTEE REPORTS 10. a. Executive-Administrative-Organizational Committee (Summerfield/Mills) Alternate: Collett 1) Minutes of meeting held June 17 will appear in the Board agenda for July 10. 2) Meeting scheduled for July 15, 4:00 p.m. ;s b. Finance-Accounting Committee (Beverage/Summerfield) Alternate: Mills •lba. .f 1) Minutes of meeti The Committee Statements and Directors. The accepted. Keith portfolio. The AK meeting. Tom C Notification. ing c. held June 10. mbers reviewed March 31 and April 30, 2008 Financial recommend these be received and filed by the Board of vestment Report dated April 30 was discussed and orey of Wells Capital gave an update on the District's )priations Limited was addressed at the June 26 Board tars of Fieldman Rolapp addressed the Material Event for July 8, 4:00 p.m. inagement Committee Alternate: Summerfield 1) Minutes of meeting held June 9. The Committee discussed the comments received from the management group regarding revisions to the Personnel Rules. Staff informed the Committee about the status of the District's recruitments and new hires and the status of personnel on Administrative Leave. The General Manager gave an update on his attendance at the ACWA/JPIA Conference. 2) Meeting scheduled for July 14, 4:00 p.m. -4- d. Planning-Engineering-Operations Committee (Mills/Armstrong) Alternate: Beverage 1) Meeting scheduled for July 3, 4:00 p.m. e. Public Information-Technology Committee (Collett/Beverage) Alternate: Armstrong 1) Minutes of meeting held June 11. There was a report on MWDOC's Public Affairs Workgroup Regional Messaging Workshop. The governor's drought announcement was discussed. The Committee discussed final design approval for the District's rebranding of truck decals, signage and stationery. The Committee also discussed financial and utility billing software and the customer service answering system. 2) Meeting scheduled for July 1, 4:00 p.m. i,,," f. MWDOC Ad Hoc Committee g. City of Placentia Ad Hoc Committee (Beverage/Payne) 10. sly June 16 will appear in the Board agenda for July Director Beverage stated the committee members met with the new city manager who comes from the Coachella Valley. Director Beverage reported on the city's plans to utilize synthetic turf in medians. INTERGOVERNMENTAL MEETINGS 11. a. Yorba Linda City Council, June 17 Director Armstrong attended. Councilperson Anderson asked why the City Council had not invited the District to speak about water use reduction. Rules and regulations regarding political signs were discussed. b. MWDOC Board, June 17 Staff did not attend. c. OCWD Board, June 17 Staff did not attend. (Mills/Collett) Alternate: Summerfie/d 1) Minutes of meeting held June 24 will appear in the Board agenda for July 10. 2) Meeting scheduled for August 26, 4:00 p.m. President Summerfield will not be able to attend this meeting. -5- d. Yorba Linda Planning Commission, June 25 There were no items affecting the District. No one attended. BOARD OF DIRECTORS ACTIVITY CALENDAR Authorization to attend meetings scheduled after June 26, 2008. Agenda is available in the District office prior to meeting. July 2008 rPublic Information Committee, July 1, 4:00 p.m. Collett/Beverage Yorba Linda City Council, July 1, 6:30 p.m. Mills MWDOC/MWD Joint Workshop, July 2, 8:30 a.m. I Staff OCWD Board, July 2, 5:00 p.m. I Staff Planning-Engineering-Operations Committee, July 3, 4:00 p.m. I Mills/Armstrong District Holiday, July 4 I Offices Closed Finance-Accounting Committee, July 8, 4:00 p.m. I Beverage/Summerfield Yorba Linda Planning Commission, July 9, 7:00 p.m. I Collett District Board Meeting, July 10, 8:30 a.m. Personnel-Risk Management Committee, July 14, 4:00 p.m. Armstrong/Collett Executive-Admin-Organizational Committee, July 15, 4:00 p.m. I Summerfield/Mills Yorba Linda City Council, July 15, 6:30 p.m. Armstrong MWDOC Board, July 16, 8:30 a.m. I Staff Administration Building Dedication, July 16,4:00 p.m. OCWD Board, July 16, 5:00 p.m. I Staff Yorba Linda Planninq Commission, July 23, 7:00 p.m. I Summerfield District Board Meeting, July 24, 8:30 a.m. Auaust 2008 FPublic Information Committee, August 5, 4:00 p.m. I Collett/Beverage Yorba Linda City Council, August 5, 6:30 p.m. I Mills MWDOC/MWD Joint Workshop, August 6, 8:30 a.m. I Staff OCWD Board, August 6, 5:00 p.m. I Staff Planning-Enqineering-Operations Committee, Aug 7, 4:00 p.m. Mills/Armstrong Personnel-Risk Management Committee, August 11, 4:00 p.m. I Armstrong/Collett Finance-Accounting Committee, August 12, 4:00 p.m. I Beverage/Summerfield Yorba Linda Planning Commission, August 13, 7:00 p.m. I Collett District Board Meeting, August 14, 8:30 a.m. Executive-Admin-Organizational Committee, Aug 19, 4:00 p.m. I **Summerfield/Mills Yorba Linda City Council, August 19, 6:30 p.m. I Armstrong MWDOC Board, August 20, 8:30 a.m. I Staff OCWD Board, August 20, 5:00 p.m. I Staff Yorba Linda Planning Commission, August 27, 7:00 p.m. I **Summerfield District Board Meeting, August 28, 8:30 a.m. CONFERENCES AND SEMINARS 12. Authorize attendance of Directors and such staff members of the District as approved by the General Manager to attend the following conferences and seminars. a. None -6- ADJOURN TO CLOSED SESSION 13. None ADJOURNMENT On a motion by Director Beverage, seconded by Director Collett, the Board of Directors voted 4-0 to adjourn at 9:28 a.m. to a regular meeting of the Board of Directors scheduled for July 10, 2008, at 8:30 a.m., at 1717 E. Miraloma Avenue, Placentia 92870. -7- ITEM NO. AGENDA REPORT APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT Board Meeting Date: July 10, 2008 JUL 1 0 $ To: Board of Directors BY . - -1 From: Kenneth R. Vecchiarelli, Assistant General Manager 2 Staff Contact: Diane Cyganik, Finance Director Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: N/A Funding Source: All Funds CEQA Account No: N/A Job No: N/A Compliance: N/A Estimated Costs: $1,283,919.15 Dept: Bus 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. DISCUSSION: The major items and wire transfers on this disbursement list are as follows: A wire of $72,726.47 to ACWA-HBA for July 2008 health premium; a wire of $244.08 to ACWA-EAP for July 2008 EAP; a wire of $18,601.39 to Parsons for Job 0704 March and April 2008 partial payments; a wire of $33,962.97 to First Regional Bank for Job 0704 June 2008; a check of $141,428.06 to Aqua-Metric for in-house materials; a check of $199,086.79 to Schuler Engineering for Job 0309 progress payment; and, a check of $305,846.75 to SSC Construction for Job 0704 progress payment. The balance of $291,850.07 is routine invoices. In summary, the check register total is $1,063,746.58; payroll No. 13 total is $220,172.57; and, the disbursements of this agenda report are $1,283,919.15. A summary of the checks is as follows: Pavables: Computer Checks Pavroll #13: Check Nos. 49234 49318 Computer Checks Check Nos. 3996 - 4000 Manual Checks Check Nos. 4001 - 4015 The disbursement total for the current period is 1,283,919.15, distributed as follows: Water $1,267,779.11 Sewer $ 15,652.43 ID #1 $ 0.00 ID #2 $ 487.61 TOTAL $1,283,919.15 PRIOR RELEVANT BOARD ACTION(S): The Board of Directors approves bills, refunds and wire transfers semi-monthly. STAFF RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of $1,283,919.15. July 10, 2008 CHECK NUMBERS 49234 TO 49318 $ 938,211.67 WIRES: W-62708 ACWA-HBA $ 72,726.47 W-62708A ACWA-EAP $ 244.08 W-71008 Parsons $ 18,601.39 W-71008A First Regional Bank $ 33,962.97 $ 125,534.91 TOTAL OF CHECKS AND WIRES: $ 1,063,746.58 PAYROLL NO. 13: CHECK NUMBERS: 3996 TO 4015 $ 220,172.57 TOTAL: $ 1,283,919.15 APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF JULY 10, 2008 TOTAL DISBURSEMENTS ARE DISTRIBUTED TO THE FUND ACCOUNTS AS FOLLOWS: WATER $1,267,779.11 SEWER $ 15,652.43 ID#1 $ 0.00 ID#2 $ 487.61 TOTAL: $1,283,919.15 Yorba Linda Water DistrictCHECK REGISTER FOR CHECKS DATED 06-27-08 THRU 07-10-08 Check. Check... Posting. Vendor Name Check..... No Date Date Amount 49234 07-10-08 07-10-08 ABIGAIL ABBOTT STAFFING SVC 3,238.75 W62708 06-27-08 06-27-08 ACWA-HBA 72,726.47 62708A 06-27-08 06-27-08 ACWA-HBA 244.08 49235 07-10-08 07-10-08 ACWA/JPIA 300.00 49236 07-10-08 07-10-08 ADVANCED INFRASTRUCTURE 1,432.35 49237 07-10-08 07-10-08 ALAIN JAMAR DESIGN 366.98 49238 07-10-08 07-10-08 ANAHEIM WHEEL & TIRE 152.00 49239 07-10-08 07-10-08 ANSWER ONE COMMUNICATIONS 464.28 49240 07-10-08 07-10-08 AQUA-METRIC SALES CO. 141,428.06 49241 07-10-08 07-10-08 ARTISTIC MAINTENANCE, INC 614.50 49242 07-10-08 07-10-08 AT&T 6.49 49243 07-10-08 07-10-08 AT&T/MCI 15,277.54 49244 07-10-08 07-10-08 AVALON TENT RENTAL 1,258.42 49245 07-10-08 07-10-08 BENNER METALS 844.76 49246 07-10-08 07-10-08 C & L REFRIGERATION CORP. 259.16 49247 07-10-08 07-10-08 CADET UNIFORM SERVICE 689.07 49248 07-10-08 07-10-08 CAROLLO ENGINEERS 20,258.50 49249 07-10-08 07-10-08 CDW-G GOVERNMENT, INC 2,449.17 49250 07-10-08 07-10-08 CHANNING BETE COMPANY INC. 768.75 49251 07-10-08 07-10-08 CITY OF PLACENTIA 951.24 49252 07-10-08 07-10-08 CLA-VAL CO. 108.00 49253 07-10-08 07-10-08 CLOUD 9 BALLOONS 150.00 49254 07-10-08 07-10-08 COAST TO COAST BUSINESS EQUIP 466.64 49255 07-10-08 07-10-08 COUNTY OF ORANGE 100.00 49256 07-10-08 07-10-08 DOSE, INC. 35,810.00 49257 07-10-08 07-10-08 DELL MARKETING L.P. 1,509.14 49258 07-10-08 07-10-08 DIANE CYGANIK 87.50 49259 07-10-08 07-10-08 DME INCORPORATED 1,301.39 49260 07-10-08 07-10-08 ECONOMY RADIATOR REPAIR 399.76 49261 07-10-08 07-10-08 EISEL ENTERPRISES, INC. 83.51 49262 07-10-08 07-10-08 ENR - MCGRAW HILL CONSTRUCTION 49.00 49263 07-10-08 07-10-08 ESRI 21,560.90 49264 07-10-08 07-10-08 ESTRADA HARDWARE CO INC. 870.00 49265 07-10-08 07-10-08 FEDERAL EXPRESS 24.15 71008A 07-10-08 07-10-08 FIRST REGIONAL BANK 33,962.97 49266 07-10-08 07-10-08 FRY'S ELECTRONICS 4,822.24 49267 07-10-08 07-10-08 GODWIN PUMPS 1,941.65 49268 07-10-08 07-10-08 HACH COMPANY 669.48 49269 07-10-08 07-10-08 HARDY & HARPER INC. 22,512.25 49317 07-10-08 07-10-08 HARNS, CHRISTY 713.92 49270 07-10-08 07-10-08 HOME DEPOT CREDIT SERVICES 133.87 49271 07-10-08 07-10-08 INFOSEND 4,663.49 49272 07-10-08 07-10-08 INTERIORS BY JANI-TRESS 5,315.47 49273 07-10-08 07-10-08 JACK IN THE BOX INC. 800.00 49274 07-10-08 07-10-08 KING CIVIL ENGINEERING CORP 5,807.00 49275 07-10-08 07-10-08 LAYNE CHRISTENSEN COMPANY 12,442.40 49276 07-10-08 07-10-08 MACIAS GINI & O'CONNELL LLP 550.00 49277 07-10-08 07-10-08 MANAGEMENT ACTION PROGRAMS INC 1,900.00 49278 07-10-08 07-10-08 MC CALL'S METER SALES/SERVICE 2,831.19 49279 07-10-08 07-10-08 MC MASTER-CARR SUPPLY CO. 276.78 49280 07-10-08 07-10-08 MICHAEL BRKICH 52.61 Yorba Linda Water DistrictCHECK REGISTER FOR CHECKS DATED 06-27-08 THRU 07-10-08 Check. Check... Posting. Vendor Name Check..... No Date Date Amount 49281 07-10-08 07-10-08 MINUTEMAN PRESS 165.21 49282 07-10-08 07-10-08 MORR-IS TESTED INC 875.00 49283 07-10-08 07-10-08 MUNICIPAL WATER DISTRICT 305.50 49284 07-10-08 07-10-08 OFFICE SOLUTIONS 651.84 49285 07-10-08 07-10-08 ORVAC ELECTRONICS 39.20 W71008 07-10-08 07-10-08 PARSONS ENGINEERING SCIENCE 18,601.39 49286 07-10-08 07-10-08 PARTITION SPECIALTIES INC. 226.28 49287 07-10-08 07-10-08 QUINN POWER SYSTEMS ASSOCIATES 279.35 49288 07-10-08 07-10-08 R J SERVICES, INC 150.00 49289 07-10-08 07-10-08 REGULATION COMPLIANCE INC. 1,000.00 49290 07-10-08 07-10-08 RICARDO DE ANDA 1,270.51 49291 07-10-08 07-10-08 ROBERT ZAMORA 11,129.00 49292 07-10-08 07-10-08 SC FUELS 1,542.70 49293 07-10-08 07-10-08 SCHULER ENGINEERING CORP. 199,086.79 49294 07-10-08 07-10-08 SCOTT W. MOULTON 3,112.50 49295 07-10-08 07-10-08 SHRED-IT LOS ANGELES 68.90 49296 07-10-08 07-10-08 SOUTHERN CALIF GAS CO. 32,626.05 49297 07-10-08 07-10-08 SOUTHWEST NETWORKS INC. 17,503.99 49298 07-10-08 07-10-08 SSC CONSTRUCTION, INC 305,846.75 49299 07-10-08 07-10-08 STACY BAVOL/PETTY CASH 203.28 49300 07-10-08 07-10-08 STAPLES BUSINESS ADVANTAGE 237.04 49301 07-10-08 07-10-08 SUMMIT CATERING 3,367.19 49302 07-10-08 07-10-08 TAB PRODUCTS CO. 132.08 49303 07-10-08 07-10-08 TDC GROUP INC 5,995.00 49304 07-10-08 07-10-08 THE OC ADVOCACY GROUP 2,500.00 49305 07-10-08 07-10-08 THOMAS ST. CLAIR 101.09 49306 07-10-08 07-10-08 THURSTON HUBBARD 65.00 49307 07-10-08 07-10-08 UNITED INDUSTRIES 466.04 49318 07-10-08 07-10-08 VERCO CONSTRUCTION 799.24 49308 07-10-08 07-10-08 VERIZON WIRELESS 423.29 49309 07-10-08 07-10-08 VILLAGE NURSERIES 94.82 49310 07-10-08 07-10-08 VINEYARD BANK 22,120.75 49311 07-10-08 07-10-08 VISION SERVICE PLAN 1,649.23 49312 07-10-08 07-10-08 WATER ENVIRONMENT FEDERATION 242.00 49313 07-10-08 07-10-08 WELLS SUPPLY CO 3,125.04 49314 07-10-08 07-10-08 WESTSIDE BUILDING MATERIAL 229.88 49315 07-10-08 07-10-08 XEROX CORPORATION 1,215.70 49316 07-10-08 07-10-08 YORBA LINDA AUTO PARTS 653.07 1,063,746.58 ITEM NO. 3 AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Ken Vecchiarelli, Assistant General Manager Joe Polimino, Project Engineer APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL 1 0 ZO BY_ - Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 11.5M Funding Source: District and Developer Funds CEQA Account No: 101-2700 Job No: 200704 Compliance: Mitigated Neg. Dec. Estimated Costs: $ 11.5M Dept: Eng Subject: Progress Payment No. 13 for the Lakeview Reservoir Construction SUMMARY: On January 25, 2007, the District Board of Directors authorized the execution of an agreement with SSC Construction, Inc. (SSC) for construction of an 8-million gallon underground concrete reservoir, piping and appurtenances. The project also includes demolition of the existing Bastanchury Booster Pump Station and Reservoir (two steel storage tanks). The site is located north of Bastanchury Road off the new Lakeview Avenue extension, north of the Hover Development and south of Vista Del Verde's Village 4. When completed, the project will increase operational, fire and emergency storage capacity, retain better water quality through improved circulation and improve reliability of the water system. DISCUSSION: In accordance with the contract documents, SSC submitted a request for Progress Payment No. 13, in the amount of $339,829.72 for completed work through May 31, 2008. During this period, the contractor water tested the West Bay and continued to finish concrete and seal the Center Bay floor joints. Work continued on inlet vault piping and exterior waterproofing. Drainage panels and footing drain installation began also. Backfill of the site commenced for the interior retaining walls. Surface drain installation began along the interior of the South and West retaining walls. Also included in this pay request is Change Order No. 2 in the amount of $2,887.92. The status of the construction contract with SSC Construction, Inc. is as follows: • The current contract is $10,642,387.92 and 547 calendar days starting June 18, 2007. • If approved, Progress Payment No. 13 is $339,829.72 (3.2%) of the total contract amount), less 10% retention of $33,982.97 for a net payment of $305,846.75. • Total payments to date including retention are $8,202,449.32 (77.1 of the total contract amount) • As of May 31, 2008, 349 calendar days were used (63.8% of the contract time). Staff and Butier, the District's construction manager for the project, have reviewed the contractor's progress payment including Change Order No. 2 and recommend approval. A copy of Progress Payment No. 13 is attached for your reference. PRIOR RELEVANT BOARD ACTION(S): On January 25, 2007, the District Board of Directors approved and awarded a construction contract with SSC Construction, Inc. in the amount of $10,489,500 for construction of an 8 million gallon underground concrete reservoir, piping and appurtenances, and demolition of the existing Bastanchury Booster Pump Station and Reservoir. On April 10, 2008, the District Board of Directors approved Change Order No. 1 increasing the total contract amount to $10,639,500 and total contract calendar days to 547. On June 30, 2008, staff approved Change Order No. 2 in the net amount of $2,887.92 increasing the total contract to $10,642,387.92. The Board has approved twelve progress payments to date for this project, the most recent of which was approved on May 29, 2008. STAFF RECOMMENDATION: Approve Progress Payment No. 13 in the net amount of $305,846.75 to SSC Construction, Inc. for construction of the Lakeview Reservoir Project, Job No. 200704. YORBA LINDA WATER DISTRICT PROGRESS PAY REPORT PROJECT Lakeview Reservoir Project PROGRESS PAY REQUEST NO. 13 LOCATION Yorba Linda, CA PROJECT NO. 200704 PAGE 1 OF 1 PAGES CONTRACTOR SSC Construction, Inc. DATE 5/31/08 ORIGINAL CONTRACT AMOUNT: AUTHORIZED CHANGE ORDERS REVISED CONTRACT AMOUNT PROGRESS PAY ESTIMATE FOR PERIOD VALUE OF WORK COMPLETED CHANGE ORDER WORK COMPLETED TOTAL VALUE OF WORK COMPLETED LESS RETENTION 10% LESS OTHER DEDUCTIONS NET EARNED TO DATE LESS AMOUNT PREVIOUSLY PAID BALANCE DUE THIS ESTIMATE NOTICE TO PROCEED COMPLETION TIME APPROVED TIME EXTENSIONS TOTAL CONTRACT TIME TIME EXPENDED TO DATE TIME REMAINING $ 10,489,500.00 G Inc f52!Se7. 92 YS, o 8A lo, 62 , 387, 9M 0 May 1, 2008 PREVIOUS $ 7,712,619.60 I $ $ 150,000.00 I $ $ 7,862,619.60 I $ TO May 31, 2008 THIS MONTH TO DATE 336,941.80 ~ $ 8,049,561.40 2,887.921$ $ 152,887.92 339,829.72 $ 8,202,449.32 $ 820,244.93 $ 7,382,204.39 $ 7,076,357.64 $ 305,846.75 June 18, 2007 487 CALENDAR DAYS 60 CALENDAR DAYS 547 CALENDAR DAYS 349 CALENDAR DAYS 198 CALENDAR DAYS REQUESTED BY: r.. Brentprower, Controller, MC Con cti n Inc. l APPROVED BY: ark Butier, Jr., Project Ma ager, Bu ' r Engineering APPROVED BY: enneth R. Vecchiarelli, Assistant General Manager, YLWD DATE: DATE: Z DATE: (O b A a YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 02 DATE June 2 3, 2008 Page 1 of 2 CONTRACT NAME: Lakeview Reservoir CONTRACT AMT.: $ 10,639,500.00 DAYS: 547 CONTRACTOR: SSC Construction Inc. THIS CHANGE: $ 2,887.92 DAYS: 0 0.03 OWNER: Yorba Linda Water District REVISED CONTRACT DAYS: AMT: $ 10,642,387.92 547 This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon between the Contractor and Yorba Linda Water District otherwise referred to as Owner. +INCREASE CONTRACT TIME DESCRIPTION OF CHANGES ! OR +EXTENSION / - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT Deduct to replace the specified dry block with standard grey split-faced block for all retaining walls on the project. (COR #3) Removal of broken concrete. (COR #6) Change Sampling Tube material to 316 stainless steel. (COR #7R) Flo-Loc Seismic SCADA override. (COR #8) Deletion of fiberglass tape on vault joint. (PCO #9) <-$10,026.00> 0 +$5,230.80 0 +$3,960.27 0 +$5,030.85 0 $1308.00> 0 NET CHANGE +$2887.92 REVISED CONTRACT AMOUNT AND TIME $10,642,387.92 0 547 The amount of the contract will be increased by the sum of $ 2887.92 and the contract time shall be increased / decreased by 0 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead, profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execution of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above-referenced changes. ENGINEER OR RECOMMENDED: \_b~ CONSULTANT DATE: Ca- Z 3- 08 o n Whisen unt, Construction Abnager ACCEPT CONTRACTOR DATE: 6 - 24-08 r-om +Greg Larkin, President APPROVED: L OWNER DATE: 3 Do fD~ ~V..Pane'_,'General Manager ITEM NO. AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Ken Vecchiarelli, Assistant General Manager Leon de los Reyes, Water Quality Engineer APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL 10 200~ BY -1 Reviewed by General Counsel: No Budgeted: Yes Total Budget: $ 11.2M Funding Source: Water Revenue Bond CEQA Account No: 102-2700 Job No: 200309 Compliance: Mitigated Neg. Dec. Estimated Costs: $ 11.2M Dept: Eng Subject: Progress Payment No. 2 for the Highland Reservoir Replacement Project SUMMARY: The Highland Reservoir is a critical element of the District's water supply chain. The existing structure has surpassed its useful life and has become a potential water quality and maintenance liability. Increasing the size and reliability of the Highland Reservoir, as recommended in the District's 2005 Domestic Water System Master Plan, improves system integrity, service reliability and secures flexibility in the District's service by further optimizing groundwater production and transmission capabilities. The Board of Directors awarded a contract to Schuler Engineering for construction of the Highland Reservoir Replacement Project on April 10, 2008 and approved a project construction budget of $11.2M on May 15, 2008. DISCUSSION: In accordance with the contract documents, Schuler Engineering Corporation submitted a request for Progress Payment No. 2 for the period ending June 30, 2008. This progress pay request is 26% mobilization including bonds, insurance certificates, project related office expenses, preparation of submittals and related tasks, 4% pothole and survey of utilities tasks, 67% yard piping (material costs), and 3% electrical, telemetery, instrumentation and controls costs related to the temporary tanks and reservoir. The status of the construction contract with Schuler Engineering is as follows: • The current contract is $9,049,346 and 730 calendar days starting June 2, 2008. • If approved, Progress Payment No. 2 is $221,207.54 (2.4% of the total contract amount), less 10% retention of $22,120.75 for a net payment of $199,086.79. • If approved, total progress payments to date are $329,057.54 (3.6% of the contract amount) • As of June 30, 2008, 29 calendar days were used (4.0% of the contract time). Staff and Carollo Engineers, the District's construction management consultant, reviewed the progress payment request and recommend payment. In accordance with provisions established in the contract documents, the retention payments will be deposited to an escrow account. A copy of Progress Payment No. 2 is attached for your information. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors awarded a construction contract to Schuler Engineering on April 10, 2008 in the amount of $9,049,346 for construction of the project. On May 15, 2008, the Board approved execution of a Professional Service Agreement with Carollo Engineers in the amount of $605,856 for engineering support services, construction management and backup inspection services; a Professional Service Agreement with Leighton Consulting Engineers in the amount of $86,200 for geotechnical services, soils, concrete and materials testing; a Professional Service Agreement with BonTerra Consulting in the amount of $22,251 for environmental compliance services; and approved the proposed construction budget in the amount of $11,200,000 for construction of the Highland Reservoir Replacement Project. The Board of Directors approved Progress Payment No. 1 on June 12, 2008, in the net amount of $97,065.00. STAFF RECOMMENDATION: Staff recommends the Board of Directors approve Progress Payment No. 2 in the net amount of $199,086.79 to Schuler Engineering Corporation for construction of the Highland Reservoir Replacement Project, Job No. 200309. YORBA LINDA WATER DISTRICT PROGRESS PAY REPORT PROJECT Highland Reservoir PROGRESS PAY REQUEST NO. 2 LOCATION Yorba Linda PROJECT NO. J- 20030 PAGE 1 OF 1 PAGES 9 CONTRACTOR Schuler Engineering DATE June 30, 2008 ORIGINAL CONTRACT AMOUNT: : 9,049,346 AUTHORIZED CHANGE ORDERS: i - REVISED CONTRACT AMOUNT: = 9,049,348 PROGRESS PAY ESTIMATE FOR PERIOD June 4, 2008 TO JUNE 302008 PREVIOUS THIS MONTH TO DATE VALUE OF WORK COMPLETED $ 107,850.001 $ 221207.54 I $ 329,057.54 CHANGE ORDER WORK COMPLETED $ - Is - Is - TOTAL VALUE OF WORK COMPLETED is 107,850.00 $ 221.207.54 $ 329,057.54 LESS RETENTION 1D% $ 32.905.751 LESS OTHER DEDUCTIONS $ - AMOUNT DUE THIS ES-i1MAT>= $ 296,151.79 LESS AMOUNT PREVIOUSLY PAID $ 97,065.00 BALANCE DUE THIS ESTIMATE $ 199.086.79 NOTICE TO PROCEED COMPLETION TIME APPROVED TIME EXTENSIONS TOTAL CONTRACT TIME TIME EXPENDED TO DATE TIME REMAINING June 2,2003 730 CALENDAR DAYS CALENDAR DAYS 730 CALENDAR DAYS ' -WT CALENDAR DAYS 4W CALENDAR DAYS •'9n i REQUESTED BY: DATE: S~k ENGINEERING-CONTRACTOR C-) APPROVED BY: Ile- DATE: !I - / - CAROLLO-OWNER - REPRESENTATIVE APPROVED BY: DATE: 1 L D-DOWNER ITEM NO. 5 AGENDA REPORT APPROVED BY THE BOARD )F )IRECTORS Board Meeting Date: July 10, 2008 OF THE YORBA LINDA WATER )ISTRICT To: Board of Directors J-UL 10 20A From: Michael A. Payne, General Manager BY x--~ / Staff Contact: Diane CY9anik Finance Director Y Sandi Van Etten, Senior Accountant Reviewed by General Counsel: N/A Budgeted: N/A Total Budget: Funding Source: All Funds CEQA Account No: Job No: Compliance: N/A Estimated Costs: Dept: Bus Subject: Quarterly Financial Statements for the third quarter of fiscal year 2007-2008 ending March 31, 2008. SUMMARY: A presentation of the Financial Statements for the third quarter of fiscal year 2007-2008 ending March 31, 2008 is presented below. DISCUSSION: The Water Operating Fund had a Net Loss for the third quarter of fiscal year 2007-2008 ending March 31, 2008 of $626,058. The key factors are outlined below: Yorba Linda Water District Quarterly Financial Statement Analysis - Water Operating Fund For the Month Ending March 31, 2008 March , Y-T-D Y-T-D Budget 2008 Budget Budget Description FY 2007/08 Actual Y-T-D Remaining Remaining Total Water Sales $ 17,217,870 $ 14,972,256 $ (2,245,614) -13% Total Variable Water Costs $ 10,520,000 $ 7,554,953 $ 2,965,047 28% Personnel Costs $ 6,992,970 $ 3,773,137 $ 3,219,833 46% Supplies & Services $ 3,740,200 $ 2,238,305 $ 1,501,895 40% The Water Operating Fund is showing water sales greater than what we had anticipated due to the drier weather conditions as well as the water rate increase that was not included in the budget. The variable water costs are pretty much on target with budget. Personnel costs as well as supplies & services are lower than anticipated based on the budget at this point in time. Personnel costs are due to budgeted positions that have not been filled and supplies & services are because of timing issues of as to when products are needed, ordered and received. The Sewer Fund had a Net Loss for the third quarter of fiscal year 2007-2008 ending March 31, 2008 of $108,875. The key factors are outlined below: Yorba Linda Water District Quarterly Financial Statement Analysis - Sewer Operating Fund For the Month Ending March 31, 2008 Description Sewer Maintenance Charges Personnel Costs Supplies & Services March, Y-T-D Budget 2008 Budget FY 2007/08 Actual Y-T-D Remaining $ 1,243,700 $ 904,609 $ (339,091) $ 694,130 $ 430,625 $ 263,505 $ 336,600 $ 202,403 $ 134,197 Y-T-D Budget Remaining -27% 38% 40% The Sewer Maintenance Charges are pretty much right on target as to what was budgeted for at this point in time. The Personnel Costs as well as the Supplies & Services are slightly lower than anticipated by 13% and 15%, respectively. However, there aren't any significant material variances to report. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors reviews each quarter's financial statements. The financial statements for the quarter ending December 31, 2007 were received and filed on April 24, 2008. STAFF RECOMMENDATION: That the Committee recommend the Board of Directors receive and file the financial statements for the third quarter of fiscal year 2007-2008 ending March 31, 2008. COMMITTEE RECOMMENDATION: The Finance - Accounting Committee reviewed the January and February 2008 financial statements at their meeting on April 8, 2008; reviewed the March 2008 financial statements at the June 10, 2008 meeting and supports staffs' recommendation. Operating Revenues: Metered water sales Sewer maintenance charges Construction water sales Irrigation sales Other Customer service fees Rents and royalties Outside District water sales Unmetered water sales Total Operating Revenues Operating Expenses: Variable water costs Personnel services Depreciation Supplies and services Total Operating Expenses Operating (Loss) FUND 1 Schedule of Revenue & Expense 03-31-08 ANNUAL CURR YR VARIANCE VAR BUDGET Y-T-D Y-T-D $ 16,789,370.00 14,654,489.43 2,134,880.57 13 0.00 0.00 0.00 -100 335,000.00 226,525.10 108,474.90 32 42,500.00 61,519.95 <19,019.95> -45 12,830.00 73,260.69 <60,430.69> -471 123,400.00 128,479.32 <5,079.32> -4 102,100.00 49,605.40 52,494.60 51 45,000.00 22,443.87 22,556.13 50 6,000.00 7,277.61 <1,277.61> -21 17,456,200.00 15,223,601.37 2,232,598.63 13 10,520,000.00 7,554,952.95 2,965,047.05 28 6,992,970.00 3,773,137.00 3,219,833.00 46 2,933,300.00 2,283,264.18 650,035.82 22 3,740,200.00 2,238,305.44 1,501,894.56 40 24,186,470.00 15,849,659.57 8,336,810.43 34 <6,730,270.00> <626,058.20> <6,104,211.80> 91 FUND 1 Schedule of Revenue & Expense 03-31-08 ANNUAL CURR YR VARIANCE VAR BUDGET Y-T-D Y-T-D $ - ------------------------------------------------- Nonoperating Revenues: Property taxes - debt service 0.00 0.00 0.00 -100 Property taxes - operations 1,187,300.00 782,787.88 404,512.12 34 Interest income 65,000.00 603,786.19 <538,786.19> -829 Other revenue 440,500.00 450,821.58 <10,321.58> -2 I Total Nonoperating Revenues 1,692,800.00 1,837,395.65 <144,595.65> -9 Nonoperating expenses: Interest expense 0.00 345,627.71 <345,627.71> -100 Security Vulnerability Exp 0.00 0.00 0.00 -100 Other expense 0.00 104,352.44 <104,352.44> -100 Total Nonoperating Expenses 0.00 449,980.15 <449,980.15> -100 Income (Loss) before Capital Contributions <5,037,470.00> 761,357.30 <5,798,827.30> 114 Capital Contributions 586,000.00 1,541,162.03 <955,162.03> -163 Change in Net Assets: <4,451,470.00> 2,302,519.33 <955,162.03> 151 RUN DATE/TIME: 12:44:35 29 May 2008 REPORT ID: revexp07 it FUND i Schedule of Revenue & Expense 03-31-08 ANNUAL CURR YR VARIANCE VAR BUDGET Y-T-D Y-T-D Operating Revenues: Metered water sales 0.00 0.00 0.00 -100 Sewer maintenance charges 1,240,600.00 902,167.34 338,432.66 27 Construction water sales 0.00 0.00 0.00 -100 Irrigation sales 0.00 0.00 0.00 -100 Other 3,100.00 2,441.45 658.55 21 Customer service fees 0.00 0.00 0.00 -100 Rents and royalties 0.00 0.00 0.00 -100 Outside District water sales 0.00 0.00 0.00 -100 Unmetered water sales 0.00 0.00 0.00 -100 Total Operating Revenues 1,243,700.00 904,608.79 339,091.21 27 Operating Expenses: Variable water costs 0.00 0.00 0.00 -100 Personnel services 694,130.00 430,624.78 263,505.22 38 Depreciation 444,500.00 380,456.29 64,043.71 14 Supplies and services 336,600.00 202,402.73 134,197.27 40 Total Operating Expenses 1,475,230.00 1,013,483.80 461,746.20 31 Operating (Loss) <231,530.00> <108,875.01> <122,654.99> 53 FUND 2 Schedule of Revenue & Expense 03-31-08 ANNUAL CURR YR VARIANCE VAR BUDGET Y-T-D Y-T-D Nonoperating Revenues: Property taxes - debt service 0.00 0.00 0.00 -100 Property taxes - operations 65,100.00 0.00 65,100.00 100 Interest income 17,000.00 10,939.31 6,060.69 36 Other revenue 5,000.00 1,476.87 3,523.13 70 Total. Nonoperating Revenues 87,100.00 12,416.18 74,683.82 86 Nonoperating expenses: Interest expense 0.00 0.00 0.00 -100 Security Vulnerability Exp 0.00 0.00 0.00 -100 Other expense 0.00 269.07 <269.07> -100 Total Nonoperating Expenses 0.00 269.07 <269.07> -100 Income (Loss) before Capital Contributions <144,430.00> <96,727.90> <47,702.10> 33 Capital Contributions 249,500.00 74,808.90 174,691.10 70 Change in Net Assets: 105,070.00 <21,919.00> 174,691.10 120 RUN DATE/TIME: 12:44:35 29 May 2008 REPORT ID: revexp07 ITEM NO. 6 AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Gina Knight, Human Resources Manager APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL 1 20 BY a Reviewed by General Counsel: No Budgeted: Funding Source: CEQA Account No: Compliance: N/A Estimated Costs: Subject: Damage Claim No Dept: Admin Water Operating Fund N/A Job No: N/A Claim is under $6,000 SUMMARY: The District received the attached claim seeking reimbursement for property related damages as a result of a broken water meter due to high water pressure. DISCUSSION: On May 28, 2008, Mr. Antonios claimed a District employee replaced his water meter while he was away from his home. According to Mr. Antonios' claim, the water meter broke due to high water pressure. In addition, Mr. Antonios is claiming a leak occurred in his underground sprinkler system, the toilets began to leak the dishwasher and washer no longer were working because of the high pressure. According to the Operations Superintendent there was a spike in the water pressure in the vicinity of Mr. Antonios' home on May 28, 2008 due to the failure of the Bryant Station. The incident occurred at Staff has reviewed the submitted claim and internal incident reports and recommends the claim be rejected and referred. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors reviews all claims not settled by staff. The claims and accompanying staff reports are presented to the Board of Directors for consideration as they are received. STAFF RECOMMENDATION: Staff is recommending that the claim filed by Mr. Antonios be rejected and referred to ACWA- JPIA. PLEASE CONTACT YLWD RECORDS DIVISION FOR THIS ATTACHMENT (714) 701-3101 records@ylwd.com i ITEM NO. 7 AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager APPROVED BY THE 80ARD OF DIRECTORS Of THE YORBA LINDA WATER DISTRICT JUL// 1 p 2008 BY Y ~-'L) Staff Contact: Ken Vecchiarelli, Assistant General Manager CJoe Polimino, Project Engineer J Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 11.5M Funding Source: District and Developer Funds CEQA Account No: 101-2700 Job No: 200704 Compliance: Mitigated Neg. Dec. Estimated Costs: $ 11.5M Dept: Eng Subject: Change Order No. 3 to SSC Construction, Inc. for the Lakeview Reservoir Project SUMMARY: On January 25, 2007, the District Board of Directors authorized the execution of an agreement with SSC Construction, Inc. (SSC) for construction of an 8-million gallon underground concrete reservoir, piping and appurtenances. The project also includes demolition of the existing Bastanchury Booster Pump Station and Reservoir (two steel storage tanks). The site is located north of Bastanchury Road off the new Lakeview Avenue extension, north of the Hover Development and south of Vista Del Verde's Village 4. When completed, the project will increase operational, fire and emergency storage capacity, retain better water quality through improved circulation and improve reliability of the water system. DISCUSSION: In accordance with the contract documents, SSC has submitted requests for various change order items incorporated in Change Order No. 3, which represents an increase in the contract amount of $55,393.45 and a time extension of 27 calendar days. SSC also requested that YLWD reduce the retention on the project to 5 percent and release one half of the retention currently held in a joint escrow account. Change Order No. 3 consists of $18,548.29 and 5 days for additional backfill to the South and West retaining walls; $36,845.16 and 5 days for removal of 2,620 cubic yards of material from the site; and 17 rain days through the winter months. SSC is currently installing inlet piping, backfilling slopes, constructing intermediate retaining walls and beginning installation of mechanical controls. To date, the project is over 77% completed. SSC has requested that the District release half of their retention and reduce the remaining retention to 5% on the project. In good faith with this request, SSC has proposed a minor project revision for the District's consideration that could compress the project schedule and accelerate the completion by up to two months, thereby allowing beneficial use of the new reservoir much sooner than anticipated. This proposal is well-timed with the abandonment and demolition phase of the Highland Reservoir Replacement Project. The earlier timing of the additional storage at the Lakeview Reservoir site will assist the District in maintaining operational efficiencies and assist in providing water storage for District customers that the Highland Reservoir usually provides. The status of the construction contract with SSC Construction, Inc. is as follows: • The original contract was $10,489,500 and 487 calendar days starting June 18, 2007. • The current contract is $10,642,387.92 and 547 calendar days. • If approved, Change Order No. 3 adds $55,393.45 (0.5% of the original contract) and 27 calendar days. • If approved, Change Order No. 3 increases the total contract amount to $10,697,781.37 and 574 calendar days. Staff, Butier and Parsons, the Districts Construction management team have reviewed the contractor's request for Change Order No. 3 and recommend approval. A copy of Change Order No. 3 is attached for your reference. PRIOR RELEVANT BOARD ACTION(S): On January 25, 2007, the District Board of Directors approved and awarded a construction contract with SSC Construction, Inc. in the amount of $10,489,500 for construction of an 8 million gallon underground concrete reservoir, piping and appurtenances, and demolition of the existing Bastanchury Booster Pump Station and Reservoir. On April 10, 2008, the District Board of Directors approved Change Order No. 1 increasing the total contract amount to $10,639,500 and total contract calendar days to 547. On June 30, 2008, staff approved Change Order No. 2 in the net amount of $2,887.92 increasing the total contract to $10,642,387.92. The Board has approved twelve progress payments to date for this project, the most recent of which was approved on May 29, 2008. STAFF RECOMMENDATION: Staff recommends the Board of Directors approve Change Order No. 3 in the amount of $55,393.45 and 27 calendar days and reduce retention to 5 percent to SSC Construction, Inc. for construction of the Lakeview Reservoir Project, Job No. 200704. COMMITTEE RECOMMENDATION: The Planning-Engineering-Operations Committee reviewed this matter at their meeting on July 3, 2008. The Committee will report on their recommendation at the time this matter is considered by the full Board of Directors. YORBA LINDA WATER DISTRICT CONTRACT NAME CONTRACTOR: Lakeview Reservoir SSC Construction Inc. CHANGE ORDER NO. 003 DATE July 10, 2008 Page 1 of 1 CONTRACT AMT.: $ 10,642,387.92 DAYS: 547 THIS CHANGE: $55,393.45 DAYS: 27 (0.5%) OWNER: Yorba Linda Water District REVISED CONTRACT AMT: $ 10,697,781.37 DAYS: 574 This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon between the Contractor and Yorba Linda Water District otherwise referred to as Owner. +INCREASE CONTRACT DESCRIPTION OF CHANGES /OR TIME / +EXTENSION - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT 1.) Additional work for backfill required behind the Hover South and West retaining walls. + $18,548.29 5 2.) Removal of 2100 cubic yards of material that was on site. + $29,705.92 5 3.) Removal of additional 520 cubic yards of material on site placed there by a previous + $7,139.24 0 contractor. 4.) Rain days which prevented work on site through the winter months of the project. + $0.00 17 5.) Reduce retention for the project to 5 percent and release 50% of funds currently held in + $0.00 0 retention. NET CHANGE + $55,393.45 27 Days REVISED CONTRACT AMOUNT AND TIME $10,697,781.37 574 Days The amount of the contract will be increased -<decreased} by the sum of $ 55,393.45 and the contract time shall be increased <desreased? by 27 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead, profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execution of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above-referenced changes. RECOMMENDED: /ENGINEER OR DATE: rONS 1 TANT Joe Polimino, Project Engineer ACCEPTED: /CONTRACTOR DATE: Greg Larkin, President APPROVED: /OWNER DATE: Mike Payne, General Manager AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Ken Vecchiarelli, Assistant General Manager Joe Polimino, Project Engineer ITEM NO. (Je& V1 5 E b ~0 APPRMO BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL ~ 08 J BY v Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 11.5M Funding Source: District and Developer Funds CEQA Account No: 101-2700 Job No: 200704 Compliance: Mitigated Neg. Dec. Estimated Costs: $ 11.5M Dept: Eng Subject: Change Order No. 3 to SSC Construction, Inc. for the Lakeview Reservoir Project SUMMARY: On January 25, 2007, the District Board of Directors authorized the execution of an agreement with SSC Construction, Inc. (SSC) for construction of an 8-million gallon underground concrete reservoir, piping and appurtenances. The project also includes demolition of the existing Bastanchury Booster Pump Station and Reservoir (two steel storage tanks). The site is located north of Bastanchury Road off the new Lakeview Avenue extension, north of the Hover Development and south of Vista Del Verde's Village 4. When completed, the project will increase operational, fire and emergency storage capacity, retain better water quality through improved circulation and improve reliability of the water system. DISCUSSION: In accordance with the contract documents, SSC has submitted requests for various change order items incorporated in Change Order No. 3, which represents an increase in the contract amount of $55,393.45 and a time extension of 27 calendar days. SSC also requested that YLWD reduce the retention on the project to 5 percent and release one half of the retention currently held in a joint escrow account. Change Order No. 3 consists of $18,548.29 and 5 days for additional backfill to the South and West retaining walls; $36,845.16 and 5 days for removal of 2,620 cubic yards of material from the site; and 17 rain days through the winter months. SSC is currently installing inlet piping, backfilling slopes, constructing intermediate retaining walls and beginning installation of mechanical controls. To date, the project is over 77% completed. SSC has requested that the District release half of their retention and reduce the remaining retention to 5% on the project. In good faith with this request, SSC has proposed a minor project revision for the District's consideration that could compress the project schedule and accelerate the completion by up to two months, thereby allowing beneficial use of the new reservoir much sooner than anticipated. This proposal is well-timed with the abandonment and demolition phase of the Highland Reservoir Replacement Project. The earlier timing of the additional storage at the Lakeview Reservoir site will assist the District in maintaining operational efficiencies and assist in providing water storage for District customers that the Highland Reservoir usually provides. The status of the construction contract with SSC Construction, Inc. is as follows: • The original contract was $10,489,500 and 487 calendar days starting June 18, 2007. • The current contract is $10,642,387.92 and 547 calendar days. • If approved, Change Order No. 3 adds $55,393.45 (0.5% of the original contract) and 27 calendar days. • If approved, Change Order No. 3 increases the total contract amount to $10,697,781.37 and 574 calendar days. Staff, Butier and Parsons, the Districts construction management team have reviewed the contractor's request for Change Order No. 3, Items 1 through 4 and recommend approval. Item No. 5 on this change order was negotiated with staff only and does not come with the recommendation of the project team. Furthermore, in discussions with the District's Planning- Engineering-Operations Committee on July 3, 2008, the Committee recommended modifying Item No. 5, timing the reduction of retention to 5% when the District receives beneficial use of the new reservoir. Copies of the original and the revised Change Order No. 3 are attached for your reference. PRIOR RELEVANT BOARD ACTION(S): On January. 25, 2007, the District Board of Directors. approved and awarded a construction contract with SSC Construction, Inc. in the amount of $10,489,500 for construction of an 8 million gallon underground concrete reservoir, piping and appurtenances, and demolition of the existing Bastanchury Booster Pump Station and Reservoir. On April 10, 2008, the District Board of Directors approved Change Order No. 1 increasing the total contract amount to $10,639,500 and total contract calendar days to 547. On June 30, 2008, staff approved Change Order No. 2 in the net amount of $2,887.92 increasing the total contract to $10,642,387.92. The Board has approved twelve progress payments to date for this project, the most recent of which was approved on May 29, 2008. STAFF RECOMMENDATION: Staff recommends the Board of Directors approve Change Order No. 3 to SSC Construction, Inc. for construction of the Lakeview Reservoir Project, in the amount of $55,393.45 and 27 calendar days and reduce retention to 5 percent when the District receives beneficial use of the new 8MG Lakeview Reservoir, Job No. 200704. COMMITTEE RECOMMENDATION: The Planning-Engineering-Operations Committee reviewed this matter at their meeting on July 3, 2008 and recommended adding a condition to Item 5 to reduce the retention to 5% when the District receives beneficial use of the new 8MG Lakeview Reservoir. YORBA LINDA WATER DIS fRICT CHANGE ORDER NO. 003 JUL 0 8 2008 J DATE July 10, 2008 Page 1 of 1 By CONTRACT NAME: Lakeview Reservoir CONTRACT AMT.: $ 10,642,387.92 DAYS: 547 CONTRACTOR: SSC Construction Inc. THIS CHANGE: $55,393.45 DAYS: 27 (0.5%) OWNER: Yorba Linda Water District REVISED CONTRACT AMT: $ 10,697,781.37 DAYS: 574 This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon between the Contractor and Yorba Linda Water District otherwise referred to as Owner. +INCREASE CONTRACT DESCRIPTION OF CHANGES / OR TIME +EXTENSION / - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT 1.) Additional work for backfill required behind the Hover South and West retaining walls. I + $18,548.29 I 5 2.) Removal of 2100 cubic yards of material that was on site. I + $29,705.92 I 5 3.) Removal of additional 520 cubic yards of material on site placed there by a previous + $7,139.24 I 0 contractor. 4.) Rain days which prevented work on site through the winter months of the project. I I + $0.00 17 5.) Reduce retention for the project to 5 percent and release 50% of funds currently held in + $0.00 0 retention. NET CHANGE + $55,393.45 27 Days REVISED CONTRACT AMOUNT AND TIME $10,697,781.37 574 Days The amount of the contract will be increased 4deereased> by the sum of $ 55,393.45 and the contract time shall be increased <deweased;x by 27 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead, profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execution of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any c 'ms for any additional compensation, damages or time extensions, in connection with the above-referenced changes. i RECOMMENDED: /ENGINEER OR DATE: l l~Q ` C=ONSULTANT Qe.Ro _ Tno ect~ngl(i6 ACCEPTED: A /CONTRACTOR DATE: 7' reg Larkin, President APPROVED: /OWNER DATE: Mike Payne, General Manager RE�ISF_I� 1 YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 003 DATE July 10, 2008 Page 1 Of 1 CONTRACT NAME: Lakeview Reservoir CONTRACT AMT.: $ 10,642,387.92 DAYS: 547 CONTRACTOR: SSC Construction Inc. THIS CHANGE: $55,393.45 DAYS: 27 (0.5%) OWNER: Yorba Linda Water District REVISED CONTRACT AMT: $ 10,697,781.37 DAYS: 574 This Change Order covers changes to the subject contract as described herein.The Contractor shall construct,furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon between the Contractor and Yorba Linda Water District otherwise referred to as Owner. +INCREASE CONTRACT OR TIME DESCRIPTION OF CHANGES +EXTENSION/ —DECREASE IN OR-REDUCTION CONTRACT (DAYS) AMOUNT (a) 1.)Additional work for backfill required behind the Hover South and West retaining walls. + $18,548.29 5 2.)Removal of 2100 cubic yards of material that was on site. + $29,705.92 5 3.)Removal of additional 520 cubic yards of material on site placed there by a previous + $7,139.24 0 contractor. 4.)Rain days which prevented work on site through the winter months of the project. + $0.00 17 5.)Reduce retention for the project to 5 percent and release 50%of funds currently held in + $0.00 0 retention at the time the District receives beneficial use of the new 8MG reservoir system. NET CHANGE + $55,393.45 27 Days REVISED CONTRACT AMOUNT AND TIME $10,697,781.37 574 Days The amount of the contract will be increased<desreased>by the sum of$ 55,393.45 and the contract time shall be increased<desreased, by 27 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed,if any,for completion of the entire work on account of said Change Order.The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items.This document will become a supplement of the contract and all provisions will apply hereto.It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full,final,and complete compensation to the Contractor for all costs,expenses,overhead, profit,and any damages of every kind that the Contractor may Incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work,any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execution of the Change Order,the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above-referenced changes. RECOMMENDED: /ENGINEER OR DATE: CONStII TANT Joe Polimino, Project Engineer ACCEPTED: /CONTRACTOR DATE: Greg Larkin,President APPROVED: /OWNER DATE: Mike Payne,General Manager ITEM NO. S AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Lee Cory, Operations Manager Ken Mendum, Maintenance Superintendent APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL 1 0 YJ J Reviewed by General Counsel: Yes Budgeted: Yes Total Budget: $ 98,250 Funding Source: Water Operating Fund CEQA Account No: 600 Job No: Compliance: N/A Estimated Costs: $162,000 Dept: Ops Subject: Change Order for Asphalt Paving Contract SUMMARY: In the normal course of maintenance and repair operations paved surfaces are cut and patched and need to be resurfaced with permanent asphalt pavement in compliance with jurisdictional paving specifications. The District typically awards contracts for these services through a competitive bid process for a one- or two-year term. DISCUSSION: The District currently contracts with Hardy & Harper to provide permanent asphalt pavement repairs on an as-needed basis. The agreement with Hardy & Harper was executed on July 26, 2007 following authorization from the District's Board of Directors and would have covered the District through the end of FY 2008/09. However, with the continued escalation in the costs of petroleum products and other raw materials, the contractor was unable to continue providing services at the prices offered through their bid, which was $8.50 per sq. ft. On May 14, 2008, the District received a letter from Hardy and Harper informing us that they were terminating the contract as of June 30, 2008. They cited the rising cost of oil resulting in a large increase in the price of asphalt. Staff requested and received another bid from Hardy and Harper along with bids from two additional contractors. Hardy and Harper submitted the lowest of the three bids with a price of $14.00 per sq. ft. Staff consulted with General Counsel who recommended a Change Order to modify the current agreement with Hardy & Harper. Change Order No. 1 adjusting the unit price per square foot of pavement to $14 is attached for your reference and consideration. PRIOR RELEVANT BOARD ACTION(S): On July 26, 2007, the Board of Directors authorized the General Manager to execute a two-year agreement with Hardy & Harper for permanent asphalt pavement repairs. STAFF RECOMMENDATION: That the Board of Directors approve Change Order No. 1 to the Agreement with Hardy & Harper, the District's asphalt pavement contractor, adjusting the unit price to $14 per sq. ft. YORBA LINDA WATER DISTRICT CONTRACT NAME: Agreement for Permanent Asphalt Pavement Repairs CONTRACTOR: Hardy & Harper, Inc. OWNER: Yorba Linda Water District This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items at the per sq. ft. price agreed upon between the Contractor and Yorba Linda Water District, otherwise referred to as Owner. +INCREASE CONTRACT TIME DESCRIPTION OF CHANGES /OR +EXTENSION / - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT 1. Due to an unforeseen escalation in the price of raw materials required to perform the work, the fixed price per sq. ft on the contract is changed to $14.00. Without this change order, the contract would have been terminated. The new price per sq. ft. shall apply through July 1, 2009, beginning with the date of this change order, at which point the + _365_ days contract shall expire by its terms unless amended further. +$5.50 per sq. ft beginning on increase date of this change order REVISED CONTRACT AMOUNT AND TIME $14.00 per sq. ft. + _365_ days beginning on date of this change order The amount per sq. ft. to perform the work under the contract will be increased by $5.50 per sq. ft., leading to a new price per sq. ft. of $14.00. The contract time shall be increased by 365 calendar days, beginning with the date of this change order. Thus, the new contract end date shall be July 1, 2009. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change in work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead, profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work, including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under this contract. By the execution of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above-referenced changes. CHANGE ORDER NO. 001 DATE July 1, 2008 Page 1 of 1 CONTRACT AMT.: $ 8.50 per sq. ft DAYS: 365 THIS CHANGE: Revises price DAYS: per sq. ft. to 365 $14.00 REVISED CONTRACT DAYS: AMT: $ 14.00 per sq. 365 ft. /YLWD Contact DATE: ACCEPTED: Lee Cory, Operations Manager /CONTRACTOR DATE: President APPROVED: /OWNER DATE: Mike Payne, General Manager ITEM NO. AGENDA REPORT Board Meeting Date: July 10, 2008 To: Board of Directors From: Michael A. Payne, General Manager Staff Contact: Pat Grady, IT Director APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT JUL 1 0 8 By Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 193,000 Funding Source: Water Operating Fund CEQA Account No: Multiple Job No: Compliance: N/A Estimated Costs: $ 300,000 Dept: Info Tech Subject: Proposal for Financial and Utility Billing Software SUMMARY: Attached for the Board's review and consideration are three proposals for the installation, training, and implementation of new financial and utility billing software for the District. Staff is recommending the Cogsdale System in the amount of $291,790 (Software & implementation $264,212.00 + Annual maintenance $27,578). DISCUSSION: Currently, the District is utilizing a financial and utility billing system which is proprietary and outdated by many standards. Support of the existing software is provided by solely one individual. For this reason, it is critical that the District select a system and a reliable service provider that can provide ongoing support to the District in the short and long term. It is also important the software meet the needs of the District from a functionality standpoint and continue meeting those needs as the District continues to implement new technology and applications to increase efficiency within the organization and better serve the public. During staffs evaluation of software packages, the following factors were taken into consideration: • Functionality • Ease of Use • Future expandability • Compatibility with existing and future technology • Flexibility • Ongoing support Staff evaluated the following systems: Financials: MS Greatplains (Cogsdale) $ 121,662 Springbrook Systems $ 246,000 Utility Billing & Online Payments: Cogsdale $ 142,550 Springbrook Systems $ 174,500 Diamond Systems $ 211,348 The key summary components of the financial package include the general ledger, accounts payable, inventory, purchase orders, work order management, project costs tracking, human resources module, and a web based portal for employees to enter time sheets and submit purchase requisitions. The utility billing package includes all of the components from reading the water meter to generating the water bills. It also includes an online payments module that will directly interface with the utility billing software and the District's web site, allowing customers to review their water accounts and pay their water bills through the internet. Additionally, both of the financial and utility billing systems have reporting capabilities that could be customized to meet the needs of the District. Should the Board accept staff's recommendation, implementation of both the financial and utility billing systems could occur in November and December of 2008. Additionally, the yearly ongoing cost to maintain both the financial and utility billing systems will be $27,578. This project was partially budgeted within the IT, Business and Administration Departments for FY 07/08 and FY 08/09 in the amount of $193,000 for the various software components. The remaining $98,790 to cover the professional services to install and support these installations will be derived from unexpended salaries from within the IT Department. The unexpended salary is primarily from the delayed hiring of the GIS Administrator pending completion of the GIS conversion and implementation project. PRIOR RELEVANT BOARD ACTION(S): On June 28, 2007, the Board of Directors adopted the budgets for FY 2007/08 and 2008/09, which included new financial and utility billing software systems. STAFF RECOMMENDATION: That the Board of Directors authorize the General Manager to execute a Professional Services Agreement with Cogsdale Corporation in the amount of $291,790 for the installation, implementation and technical support of financial and utility billing software systems. COMMITTEE RECOMMENDATION: The Public Information-Technology Committee reviewed and discussed the proposal at a meeting held on July 1, 2008 and supports staff's recommendation. Investment Summary Yorba Linda Water District Account Executive Ric Glowienka Phone: 613-843-0503 Date: 6/19/2008 ( )G S D A Quote: $ 264,212 Customer Locations 24,000 Concurrent Users: 15 System Tools: $ System Manager & Concurrent User Licenses 34,640.00 Business Portal Inc Business Portal Additional Users 2,000.00 Customization Site License Inc Integration Manager for Conversions Inc SmartList Builder 1,250.00 System Tools Subtotal: $ 37,890.00 Financial Management: $ General Ledger Inc Payables Management Inc Electronic Bank Reconciliation Inc Financial Management Subtotal: $ People Management: $ Human Resources 3,000.00 HRM Self Service Suite 5,000.00 People Management Subtotal: $ 8,000.00 Asset Management: $ Inventory Control Inc Purchase Order Processing/Receiving Inc Fixed Asset Management Inc Asset Management Subtotal: $ Work Management: $ Project Accounting Inc Project Accounting Time & Expense Entry Inc Cogsdale Work Order Costing and Scheduler 5,000.00 Cogsdale Maintenance Management 5,000.00 Work Management Subtotal: $ 10,000.00 Customer Service Management: $ Cogsdale Utility Management 72,000.00 Cogsdale Customer Web 10,000.00 Customer Service Management Subtotal: $ 82,000.00 Software Investment $ 137,890.00 20% Discount $ (27,578.00) Professional Services Investment $ 153,900.00 Total Software and Services: $ 264,212.00 Annual Maintenance and Support (25% list price of software) $ 27,578.00 I5ubscrption Pricing 1:$5,967,78 Terms of Business J 1. For software purchases, payment is due upon signing of the contract. 2. Maintenance and Support due upon software installation. 3. Travel expenses are additional to the fees outlaid above. 4. Additional concurrent users can be purchased for $2,000/user. ~,`Springbrook *Total Named Users = 15 Prices valid for 90 days Pricing is based on standard contract - deviation from standard contract terms may result in modified prices. Training Estimates are based on a train the trainer concept and do not include travel time or expenses. Investment Pricing Proposal for Yorba Linda Water r&,S.-pringbroo-k- Optional Pricing Proposal for Yorba Linda Water Prices valid for 90 days * Customer is responsible for the purchase of MS-SQL client and server licenses ~Springbrook Conversion Estimate for Yorba Linda Water $4,000 $12,000 $12,000 $12,000 NIC Import Included An estimated cost of your data conversion has been provided in this quote. This estimate is for up to three separate data pulls for UB, one for Finance and Payroll. We will need to review an actual sample of your data to confirm this estimate. Certain factors may cause the cost to exceed the amount quoted. See section below titled "Not Included in Estimate". Not Included in Estimate: There are a variety of factors that can influence the cost of a conversion and a variety of items that are not included in the standard cost estimate for your conversion. For example, your estimate will not include the following: • Removal of data from your existing system • Consulting on removal of data from your existing system • Changes or modifications requested after the first conversion and different from the specifications we originally received. • Changes in the format we receive the data in after the first conversion • More than three conversions in UB or more that one conversion for Finance and Payroll Cost Factors: In addition, the following items can increase the cost of your conversion: • Mixed formats of data (a file containing tab delimited or comma delimited format. • Problems with data integrity • Data manipulation not for the purpose of the conversion, but for the purpose of supplying you with information you did not previously have access to. • Changes in the file format after the first conversion • Changes requested to the data after the second conversion • No file or incorrect file layouts No cost of fees in excess of those set forth in the Schedule of Fees will be incurred by the Licensee without prior acceptance of Licensee as indicated on a signed work order pringbrook Annual Maintenance Costs for Yorba Linda Water Total Named Users = 15 . Maintenance is generally prorated to align with your fiscal year. Progress Maintenance Fees are due at contract signing. includes 90 day warranty Diamond; salurio~s YORBA LINDA WATER DISTRICT REQUEST FOR QUOTATION UTILITY BILLING SOLUTION SUBMITTED BY: CHARLES BUCHOLZ, BUSINESS DEVELOPMENT DIAMOND MUNICIPAL SOLUTIONS 417 MAIN AVENUE, SUITE 401 FARGO, NORTH DAKOTA 58103 (701) 232-6631 PH charles.bucholz@diamondmunicipal.com Microsoftl HM°"QED SOFTWARE ESTIMATES Diamond Solutions Diamond Revenue Management Fourviation Laver License Fee Revenue Marraaen-erit Diamond Foundation $ 2,500.00 Diamond User License 15 Users $ 11,625.00 Fbvenue Mariaaement Utility Billing $ 7,850.00 Collections $ 3,500.00 Cash Receipting $ 5,250.00 Cash Receipting In-port $ 1,500.00 Virtual City Hall My ConTmr- ity $ 7,500.00 My Payments $ 7,500.00 My Notifications $ 7,500.00 $ 54, 725.00 Maintenance Support Maintenance and Support $ 15,323.00 180/0 100/0 /rac sides softy are rn4ntenan0e, cNirrrted telephone and errra/ sygoo►t INTIALINN STRAENT 1 $ 70,048L00I 9 ITEM NO. 12, C. APPROVED BY THE BOARD OF DIRECTORS MINUTES OF THE OF THE YORBA LINDA WATER DISTRICT YORBA LINDA WATER DISTRICT . JUL I PERSONNEL-RISK MANAGEMENT COMMITTEE June 9, 2008 --~V BY, A meeting of the Yorba Linda Water District Personnel-Risk management Committee was called to order by Committee Chairman Paul R. Armstrong at 4:00 p.m. The meeting was held at the District Headquarters, 1717 E. Mira Loma Drive, Placentia, CA. DIRECTORS PRESENT: Chairman Director Paul R. Armstrong Director Ric Collett STAFF PRESENT: Michael A. Payne, General Manager Gina Knight, Human Resources Manager VISITORS PRESENT: None ACTION ITEMS: 1. None. DISCUSSION ITEMS: 2. Staff informed the committee of ACWA's 2008 dental renewal premiums for both Delta Dental and DeltaCare with the 2008 Dental Open Enrollment ending on June 23, 2008. 3. Staff informed the committee on the status of the District's current recruitments and new hires. 4. Staff informed the committee on the status of District personnel on Administrative Leave. ADJOURNMENT: The Committee adjourned at 5:00 p.m. The next Personnel-Risk Management Committee meeting is scheduled for July 14, 2008 at 4:00 p.m. at 1717 E. Mira Loma Avenue, Placentia CA. D By THE BOARD O~ DIRECTORS OOfTOHE ORBA LINDA WATER DISTRICT JUL ITEM NO. MINUTES OF THE BY YORBA LINDA WATER DISTRICT PUBLIC INFORMATION - TECHNOLOGY COMMITTEE MEETING July 1, 2008 A meeting of the Yorba Linda Water District Public Information-Technology Committee was called to order by Committee Chair Ric Collett at 4:00 p.m. The meeting was held at the District Administration Office at 1717 E. Miraloma Avenue, Placentia. COMMITTEE MEMBERS PRESENT: Director Ric Collett, Chair Director Michael J. Beverage Cindy Mejia, Management Analyst STAFF PRESENT: Ken Vecchiarelli, General Manager Pat Grady, IT Manager INTRODUCTION OF VISITORS AND PUBLIC COMMENTS: Phil Starling, Starling Productions DISCUSSION ITEMS: 1. Review District Video. The committee reviewed the District video with Phil Starling of Starling Productions, who made the original video and who updated the current video. Directors Beverage and Collett made a few comments, which were addressed by Phil Starling, on the look of the final product. Director Beverage suggested renaming chapter three, and the suggested change was given to Phil Starling for inclusion. Cindy Mejia reminded the committee that the revised video, with changes, would be available to the general public during the Dedication of the new Administration Building. 2. Customer Survey Update. Directors Collett and Beverage asked staff to make small changes to several questions in the survey for clarification purposes. The committee also discussed whether the survey questions needed to come before the full board before additional action could be taken. Staff informed the committee that it was not necessary for this item to come before the board again prior to any action being taken. At the June 12, 2008 Board meeting, it was decided that the customer survey would be handled primarily through the committee, with only the final results coming before the full board as an information item. The committee then suggested that the survey be completed by the end of July or early August. 3. Dedication Update. Cindy Mejia presented a packet of information on the administration building dedication, including the dedication gift, the goody bag, catering and event logistics. Director Beverage suggested staff look into placing fans around the tent for the event due to the expected heat. 4. Lobby Kiosk Update. Pat Grady reported to the committee that the GIS/computer kiosk and the Lobby Wall kiosk were both in progress and should be up and running by the dedication on July 16th. ACTION ITEMS: 5. Financial and Utility Billing Software Approval. Pat Grady presented staffs recommendation on fast-tracking this project. Pat explained that while this was not a fully budgeted item, it was necessary and that within the FY07/08 and FY08/09 budgets from the IT, Business and Administration Departments, unexpended funds from unfilled positions could be transferred to cover the project in its entirety. Staff will present this proposal to the full Board of Directors for their consideration on July 10, 2008 with the full recommendation of the Public Information-Technology Committee. ADJOURNMENT: The meeting adjourned at 5:30 pm. The next meeting of the Public Information- Technology Committee is scheduled for July 17, 2008 at 4:00 pm. APPROVED BY THE BOARD OF DIRECTORS OF THEYORBALINDA WATER DISTRICT ITEM NO. lO~ JUL 1 g 008 MINUTES OF THE YORBA LINDA WATER DISTRICT and tCIPAL WATER DISTRICT OF ORANGE COUNTY BY AD HOC COMMITTEE MEETING Tuesday, June 24, 2008 A meeting of the Yorba Linda Water District (YLWD) and the Municipal Water District of Orange County (MWDOC) Ad Hoc Committee was called to order by YLWD Director John Summerfield at 4:10 p.m. The meeting was held at the District Administrative Offices at 1717 E. Miraloma Avenue, Placentia. YLWD COMMITTEE MEMBERS PRESENT; John W. Summerfield, Director Ric Collett, Director YLWD STAFF PRESENT: Ken Vecchiarelli, Assistant GM MWDOC COMMITTEE MEMBERS PRESENT: Brett Barbre, Director MWDOC STAFF PRESENT: Kevin Hunt, General Manager INTRODUCTION OF VISITORS AND PUBLIC COMMENTS: None. DISCUSSION ITEMS: 1. Water Supply Update. MWDOC General Manager Kevin Hunt presented a report from the MWDOC Administration and Finance Committee summarizing the monthly water usage, supply by source and status of projections for Tier 1 and Tier 2 water within MWDOC's service area for April 2008 and through the end of the FY 2007. The report also showed the historic trend for water usage in Orange County. The Committee discussed the dire status of Southern California's water supply and noted that imported water costs will shoot past the $600 per acre foot mark starting January 1, 2009. The Committee also discussed the near certainty that the Metropolitan Water District of Southern California (MWD) would need to implement a water allocation plan starting July 1, 2009 if not sooner. 2. LAFCO Update. Mr. Hunt reported on recent communications with LAFCO's executive director and stated that a consulting firm was selected to proceed with the governance study. Mr. Hunt also commented on the financing and cost share proposed for this study. 3. Public Information Activities. The Committee discussed the results of a workshop held for the members of the Public Affairs Workgroup and noted that there was little progress in coordinating a common message on the looming water supply crisis. MWD has started an aggressive advertisement campaign on the need for conservation and member agencies continue to communicate on their respective public relations efforts. MWDOC is prepared to continue assisting in these efforts. ADJOURNMENT: The Committee adjourned at 5:10 p.m. The next regularly scheduled YLWD-MWDOC Ad Hoc Committee is scheduled for August 26, 2008 at 4:00 p.m.