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HomeMy WebLinkAbout2008-12-11 - Board of Directors Meeting Agenda PacketAgenda Packet Regular Meeting of the Yorba Linda Water District Board of Directors and Annual Meeting of the Yorba Linda Water District Public Financing Corporation December 11, 2008 6:30 p.m. 1717 E. Miraloma Avenue, Placentia, CA 92870 Yorba Linda Water District ORiGINA- Yorba Linda Water District AGENDA BOARD OF DIRECTORS REGULAR MEETING AND ANNUAL MEETING OF THE PUBLIC FINANCING CORPORATION Thursday, December 11, 2008, 6:30 P.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 ADDITIONS/DELETIONS TO THE AGENDA SEATING OF DIRECTORS 1. Seat Incumbent Directors Michael J. Beverage and 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 2. None ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board action. 3. Reorganization of the Board of Directors to Select a President, Vice President and Appoint Corporate Officers Recommendation: Elect a President and Vice President and appoint the following Corporate Officers: Secretary: Kenneth R. Vecchiarelli, Assistant General Mgr Assistant Secretary: Pat Grady, Information Technology Director Auditor. Diane Cyganik, Finance Director 4. Board of Directors Committee Assignments Recommendation: That the incoming Board President solicit information from other Board members regarding their interest in serving on the various Standing and Ad Hoc Committees and make appointments in January 2009. 5. Board of Directors Compensation Recommendation: Consider adjustments to the Board of Director's Compensation for 2009. ADJOURN TO THE ANNUAL PUBLIC FINANCING CORPORATION MEETING 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. ANNUAL REORGANIZATION OF THE BOARD OF DIRECTORS 6. Reorganization of the Board of Directors to Select a President, Vice President and Appoint Corporate Officers Recommendation: Elect a President and Vice President and appoint the following Corporate Officers: Secretary: Kenneth R. Vecchiarelli, Assistant General Mgr Assistant Secretary: Pat Grady, Information Technology Director Auditor. Diane Cyganik, Finance Director ADJOURN TO THE BOARD OF DIRECTORS REGULAR MEETING CONSENT CALENDAR All items listed on the consent calendar are considered to be routine matters, status reports, or documents covering previous Board instructions. The items listed on the consent calendar may be enacted by one motion. There will be no discussion on the items unless a member of the Board, the staff, or the public requests further consideration. 7. Minutes of the Regular Board of Directors Meeting held October 9, 2008 Recommendation: Approve the minutes as amended. 8. Minutes of the Regular Board of Directors Meeting Held October 23, 2008 Recommendation: Approve the minutes as presented. 9. Minutes of the Regular Board of Directors Meeting Held November 26, 2008 Recommendation: Approve the minutes as presented. 2 10. Payment of Bills, Refunds, and Wire Transfers Recommendation: Ratify and authorize disbursements in the amount of $1,046,896.95. 11. Payment of ACWA Membership Dues Recommendation: Provide direction to staff regarding payment of the 2009 ACWA membership dues in the amount of $15,576. 12. Progress Payment No. 19 for the Lakeview Reservoir Construction Recommendation: Approve Progress Payment No. 19 in the net amount of $133,679.30 to SSC Construction, Inc. and 5% retention of $7,035.75 deposited to City National Bank escrow account for construction of the Lakeview Reservoir Project, Job No., 200704. 13. Progress Payment No. 7, and Change Order No. 1 for the Highland Reservoir Replacement Project Recommendation: Approve Progress Payment No. 7 in the net amount of $368,926.76 to Schuler Engineering Corporation and 10% retention of $40,991.86 deposited to Citizens Business Bank escrow account, and Change Order No. 1 for $282,102.89 for construction of the Highland Reservoir Replacement Project, Job No. 200309. 14. Contract with General Pump Co. for Rehabilitation of Well No. 12 Recommendation: Authorize the General Manager to execute a Purchase Order with General Pump Company, Inc., in the amount not to exceed $71,150, to provide well redevelopment and testing of Well No. 12. 15. Amendment No. 1 to Consultants Agreement with Psomas for Zone 4C Reconfiguration Project Recommendation: Authorize Amendment No. 1 to the Consultants Agreement with Psomas, in the amount of $43,125 for additional work to provide design services and bid assistance for upgrades to the San Antonio PRS, in conjunction with the Zone Reconfiguration Project, Job No. 200710. 16. License Agreement with Orange County Water District for Access to Warner Basin Complex to Collect Water Quality Samples Recommendation: Authorize execution of the License Agreement with Orange County Water District for access to the Warner Basin Complex to collect water samples subject to approval as to form by legal counsel, and to approve payment of $550 license fee to OCWD. ACTION CALENDAR CONTINUED This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board action. 17. Resolution No. 08-15 Authorizing Individuals to Transfer Funds via the Federal Wire System and Rescinding Resolution No. 06-02 Recommendation: Adopt Resolution No. 08-15 Authorizing Individuals to Transfer Funds via the Federal Wire System and Rescind Resolution No. 06-02. 3 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. 18. Status of District Facilities, Distribution System and Community Outreach Efforts Related to Firestorm Event Recommendation: This is for information only. No action is required. 19. Recent Changes to Ralph M. Brown Act Recommendation: This is for information only. No action is required. 20. Conducting Combined MWDOC and OCWD Ad Hoc Committee Meetings Recommendation: This is for information only. No action is required. 21. Required Ethics and Sexual Harassment Training (AB1234 and AB1825) Recommendation: This is for information only. No action is required. REPORTS, INFORMATION ITEMS AND COMMENTS 22. a. President's Report b. Directors' Reports C. General Manager's Report d. General Counsel's Report COMMITTEE REPORTS 23. a. Executive-Administrative-Organizational Committee (Summerfield/Mills) Alternate: Collett 1) Meeting scheduled for December 16, 4:00 p.m. b. Finance-Accounting Committee (Beverage/Summerfield) Alternate: Mills 1) Minutes of meeting held December 10 (to be presented at the Board meeting). 2) Meeting scheduled for January 13, 4:00 p.m. C. Personnel-Risk Management Committee (Armstrong/Collett) Alternate: Summerfield 1) Minutes of meeting held December 9 (to be presented at the Board meeting). 2) Meeting scheduled for January 12, 4:00 p.m. 4 d. Planning-Engineering-Operations Committee (Mills/Armstrong) Alternate: Beverage 1) Minutes of meeting held December 4. 2) Meeting scheduled for January 8, 4:00 p.m. e. Public Information-Technology Committee (Collett/Beverage) Alternate: Armstrong 1) Minutes of meeting held December 2. 2) Meeting scheduled for January 6, 4:00 p.m. MWDOC Ad Hoc Committee (To be assigned.) 1) Meeting scheduled for January 27, 4:00 p.m. e. City of Placentia Ad Hoc Committee (To be assigned.) 1) Meeting to be scheduled. INTERGOVERNMENTAL MEETINGS 24. a. MWDOC/MWD Workshop, December 3 (Staff) This meeting was canceled. b. OCWD Board, December 3 (Staff) This meeting was canceled. C. Yorba Linda Planning Commission, December 10 (Collett) d. Yorba Linda City Council, December 2 (Mills) BOARD OF DIRECTORS ACTIVITY CALENDAR Authorization to attend meetings scheduled after November 12, 2008. Agenda is available in the District office prior to meeting. -December 2008 Executive-Admin-Organizational Committee, Dec 16, 4:00 p.m. Yorba Linda City Council, Dec 16, 6:30 p.m. MWDOC Board, Dec 17, 8:30 a.m. OCWD Board, Dec 17, 5:00 p.m. District Board Meeting, Dec 23, 8:30 a.m. MWDOC Ad Hoc Committee Meeting, Dec 23, 4:00 p.m. Yorba Linda Planning Commission, Dec 24, 7:00 p.m. Holiday, Dec 25-26 Summerfield/Mills Armstrong Staff Staff ICANCELED CANCELED District Offices Closed 5 Januarv 2009 Holiday, Jan 1 Public Information-Technology Committee, Jan 6, 4:00 p.m. Yorba Linda City Council, Jan 6, 6:30 p.m. MWDOC/MWD Workshop, Jan 7, 7:30 a.m. OCWD Board, Jan 7, 5:00 p.m. District Board Meeting, Jan 8, 8:30 a.m. Planninq-Engineering-Operations Committee, Jan 8, 4:00 p.m. Personnel-Risk Management Committee, Jan 12, 4:00 p.m. Finance-Accountinq Committee, Jan 13, 4:00 p.m. Yorba Linda Planning Commission, Jan 14, 7:00 p.m. Executive-Admin-Organizational Committee, Jan 20, 4:00 p.m. Yorba Linda City Council, Jan 20, 6:30 p.m. MWDOC Board, Jan 21, 8:30 a.m. OCWD Board, Jan 21, 5:00 p.m. District Board Meeting, Jan 22, 8:30 a.m. MWDOC Ad Hoc Committee Meeting, Jan 27, 4:00 p.m. Yorba Linda Planning Commission, Jan 28, 7:00 p.m. District Offices Closed Collett/Beverage Mills Staff Staff To Be Assigned To Be Assigned To Be Assigned To Be Assigned To Be Assigned To Be Assigned Staff Staff To Be Assigned To Be Assigned CONFERENCES AND SEMINARS 25. 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. 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. 26. Public Employee Appointment Pursuant to Section 54957 of the California Government Code Title: General Manager 27. Conference with Legal Counsel - Anticipated Litigation Significant Exposure to Litigation Pursuant to Subdivision (b)(1)(b) of Section 54956.9 of the California Government Code Number of Potential Cases: Unknown The exposure to litigation arises from assertions of District responsibility for property and related losses incurred during the "Freeway Complex" firestorm of November 15 and 16, 2008. ADJOURNMENT A regular meeting of the Board of Directors is scheduled for December 23, 2008, at 8:30 a.m., at 1717 E. Miraloma Avenue, Placentia 92870. 6 Items Distributed to the Board Less Than 72 Hours Prior to the Meetinq Pursuant to Government Code section 54957.5, non-exempt public records that relate to open session agenda items and are distributed to a majority of the Board less than seventy-two (72) hours prior to the meeting will be available for public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA 92870, during regular business hours. When practical, these public records will also be made available on the District's internet website accessible at hftp://www.ylwd.com/. Accommodations for the Disabled Any person may make a request for a disability-related modification or accommodation needed for that person to be able to participate in the public meeting by telephoning Michael A. Payne, General Manager, 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. 7 2008 BOARD OF DIRECTORS CALENDAR JUL S M T 1 W T F S 2 3 4 5 6 7 8 9 11 12 13 14 15 16 17 18 19 20 21 22 23M 25 26 27 28 29 30 31 S M 5 6 12 13 19 20 26 27 OCT T W T 1 2 7 8- 14 15 16 21 22 23 28 29 30 F S 3 4 10 11 17 18 24 25 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 NOV S M T W T F S 1 2 3 4 5 6 7 8 9 101 110 13 14 15 16 17 18 19 20 21 22 23 24 250 271 281 29 301 2009 BOARD OF DIRECTORS CALENDAR S M 4 5 11 12 18 19 25 26 JAN T W T 1 6 7 13 14 15 20 21 - 27 28 29 F S 2 3 9 10 16 17 23 24 30 31 APR S M T W T F S 1 2 3 4 5 6 7 8- 10 11 12 13 14 15 16 17 18 19 20 21 22M 24 25 26 27 28 29 30 Holiday Board Meeting Activities FEB SEP S M T W T F S 11 7 8 14 15 21 22 28 29 2 3 4 5 6 9 10M 12 13 16 17 18 19 20 23 24 - 26 27 30 DEC S M T W T F S 1 2 3 4 5 6 7 8 9 10M 12 13 14 15 16 17 18 19 20 21 22M 24 251 261 27 28 29 30 31 S M 1 2 8 9 15 16 22 23 29 30 T 3 10 17 24 31 S M T W T F S 1 2 3 4 5 6 7 8 9 10 11M 13 14 151 161 17 18 19 20 21 22 23 24 25 2M 27 28 S M 3 4 10 11 17 18 24 251 31 MAY T W T 5 6 7 12 13M 19 20 21 26 27M F S 1 2 8 9 15 16 22 23 29 30 MAR W T 4 5 11 - 18 19 25M JUN F S 6 7 13 14 20 21 27 28 S M T W T F 1 2 3 4 5 6 7 8 9 10M 12 13 14 15 16 17 18 19 20 21 22 23 24 - 26 27 28 29 301 Dec 2-5, 2008 - ACWA Fall Conference, Long Beach Dec 15-17, 2008 - CRWUA 2008 Annual Conference, LV Feb 24-26, 2009 - ACWA 2009 Washington, D.C. Conference Rev. 12/05/08 May 19-22, 2009 - ACWA Spring Conference, Sacramento ITEM NO. ~5 AGENDA REPORT Board Meeting Date: December 11, 2008 To: From: Staff Contact: Board of Directors Ken Vecchiarelli, Assistant General Manager Reviewed by General Counsel: CEQA Compliance: N/A APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT DEC 1 2008 BY Yes Budgeted: N/A Total Budgets N/A Funding Source: Water Operating Fund Account No: 111440 Job No: Estimated Costs: N/A Dept: Admin Subject: Reorganization of the Board of Directors for Calendar Year 2009 SUMMARY: Pursuant to the Board of Directors Rules for Organization and Procedure, as adopted in November 2007, a President of the Board and a Vice-President shall be elected annually at the District's reorganization meeting held at the first regular meeting of the Board in December of every year. DISCUSSION: The powers and duties of the President are described in Section 30578 of the Water Code and the Board of Directors' adopted Rules and Regulations. The President's duties prescribed by state law are: a. Sign all contracts on behalf of the district. b. Perform other duties imposed by the board. The President's duties prescribed by the Board Rules for Organization and Procedure are to: a. Assume the chair of the Presiding Officer immediately after election. b. Make Committee assignments, subject to consent of the Board, annually at the first Board of Directors meeting in January of the subsequent year. c. Conduct the proceedings of the Board. d. Sign all ordinances, resolutions and contract documents approved and adopted by the Board. The Vice President's duties are set forth in the District's Rules and Regulations and not state law. The Vice President carries out the duties of President in the absence of the President. In addition to selection of the President and Vice President, the Board is required to appoint the Municipal Corporation Officers of Secretary, Assistant Secretary and Auditor. The duties of the Secretary, Assistant Secretary and Auditor are set forth in the Rules for Organization and Procedures. a. The Secretary, or Assistant Secretary in the absence of the Secretary, attests all Ordinances and Resolutions approved and adopted by the Board of Directors. b. Prepares the official record of proceedings or minutes for Board meetings and performs all duties as prescribed by state law, the Rules for Organization and Procedures, and as may be imposed by the Board of Directors. The Auditor shall perform all duties as prescribed by state law, the District's Rules for Organization and Procedures and as may be imposed by the Board of Directors. State law forbids a member of the Board of Directors from serving as the General Manager, Secretary, Assistant Secretary or Auditor. State law allows the same person to be appointed as General Manager and Secretary or, Secretary and Auditor. State law does forbid the General Manager from services as Auditor. Pursuant to Board policy, there is no additional compensation for serving as Secretary, Assistant Secretary or Auditor if the individual is an employee of the District. If the appointed individual is not an employee of the District, then the Board of Directors is allowed to set compensation for that individual. PRIOR RELEVANT BOARD ACTION(S): On December 13, 2007, the Board of Directors nominated Director Summerfield as President and Director Mills as Vice President of the Board of Directors. In addition, the Board appointed Michael A. Payne, General Manager as Secretary; Assistant General Manager Kenneth R. Vecchiarelli as Assistant Secretary; and Finance Director Diane Cyganik as Auditor. STAFF RECOMMENDATION: The Board of Directors elects a President and a Vice President and appoints the following Corporate Officers: Secretary Kenneth R. Vecchiarelli, Assistant General Manager Assistant Secretary Pat Grady, Information Technology Director Auditor Diane Cyganik, Finance Director COMMITTEE RECOMMENDATION: The Executive-Administrative-Organizational Committee reviewed this issue at their meeting on November 24, 2008. The Committee recommends the Board of Directors elect a President and a Vice President and also appoint the employees listed above as the District's Corporate Officers for 2009. President/Vice President rotation For Calendar Year President: 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 Beverage Bev Bev Bev Armstrong Arm Arm Arm Collette(Korn) Korn Korn Col Summerfield (Barbre) (Fox) Fox Sum Sum Mills(Abramowitz) (Scanlin) Mills Vice President: 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 Beverage Bev Bev Armstrong Arm Arm Arm Collett(Korn) Korn Col Summerfield (Barbre)(Fox) Fox Sum Sum Mills (Abramowitz) (Scanlin) Scan Mills Mills ITEM NO. AGENDA REPORT Board Meeting Date: December 11, 2008 To: Board of Directors From: Ken Vecchiarelli, Assistant General Manager Staff Contact: Same Reviewed by General Counsel: Yes Budgeted: Yes Total Budget: $ 61,740 Funding Source: Water Operating Fund CEQA Account No: 121780 Job No: Compliance: N/A Estimated Costs: $ 61,740 Dept: Admin Subject: Annual Board of Directors Committee Assignments. SUMMARY: Immediately following the election of the President of the Board of Directors, the newly elected President solicits information from the other Board members about serving on the various standing and Ad hoc Committees. DISCUSSION: Pursuant to Board of Directors Rules for Organization and Procedure, the Board has five standing committees. Each committee consists of two Directors, and each Director is assigned to two standing committees. Standing committees are a means for study and discussion of specific issues facing the District. They are a source of ideas and a vehicle to garner viewpoints. They handle time consuming research and special work, which cannot normally be handled by the Board as a whole. The committees report to the Board giving them policy advice in the areas of each committee's expertise. They also assist staff in developing work headed to the Board for action. The following is a description of each standing committee and Directors currently assigned to committees in 2008. Exec utive-Administrative-Orcianizational Meets 3rd Tuesday @ 4:00 p.m. Directors Summerfield and Mills To study advise and make recommendations to Alternate: Collett the Board of Directors with regard to policy, organization, legislative and legal issues and the Board Goals Workshop. Finance-Accountinq Meets 2"d Monday @ 4:00 p.m. Directors Beverage and Summerfield To study, advise and make recommendations to Alternate: Mills the Board of Directors with regard to budgets, investments, rates, fees and charges, financial reports, auditors, and appropriations. Personnel-Risk Manaqement Meets 2"d Tuesday @ 4:00 p.m. Directors Armstrong and Collette To study, advise and make recommendations to Alternate: Summerfield the Board of Directors with regard to personnel, employee relations, labor related issues and insurance procurement. Planninq-Enaineerinc~Qperations Meets 1St Thursday @ 4:00 p.m. Directors Mills and Armstrong To study, advise and make recommendations to Alternate: Beverage the Board of Directors with regard to five year plans, construction activities, customer service, operations and maintenance, building, equipment, property and fire defenses. Public Information Technoloqv Meets 1st Tuesday @ 4:00 p.m. Directors Collett and Beverage To study, advise and make recommendations to Alternate: Armstrong the Board of Directors with regard to all public information activities, drought activities, community involvement and to promote water conservation measures. The Board of Directors currently has three ad-hoc Committees: OCWD Ad-Hoc Committee No Directors currently assigned MWDOC Ad-Hoc Committee Directors Mills and Collett Alternate: Summerfield Temporarilv Discontinued To study, advise and make recommendations to the Board of Directors with regard to Orange County Water District policy issues. Meets everv other month 3rd Tuesday (ED 4:00 p.m To study, advise and make recommendations to the Board of Directors with regard to Municipal Water District of Orange County issues. Citv of Placentia Ad-Hoc Committee Meets everv other month Director Beverage and GM To study, advise and make recommendations to the Board of Directors with regard to the City of Placentia regarding water or sewer issues. The Board of Directors is involved in several Intergovernmental and "Other" meeting assignments. They include: District/City of YL Finance Committee: Metropolitan Water District: Municipal Water District of O.C.: Orange County Water District: Placentia City Council: Placentia Planning Commission: Yorba Linda City Council: Yorba Linda Planning Commission: ACWA/JPIA Representative: ACWA Region 10: ISDOC: LAFCO: WACO: Assigned to Finance Committee No assignment No assignment No assignment No assignment No assignment Director Mills and Director Armstrong Director Collett and Director Summerfield Director Mills; Director Armstrong (Alternate) No assignment Director Mills Director Beverage Director Mills PRIOR RELEVANT BOARD ACTION(S): The newly elected Board President assigns each Board member to various committee assignments for the upcoming year in January. President Summerfield made the current committee assignments in January 2008. STAFF RECOMMENDATION: That the incoming Board President solicit information from other Board members regarding their interest in serving on the various Standing and Ad-Hoc Committees and make appointments in January 2009. COMMITTEE RECOMMENDATION: The Executive-Administrative-Organizational Committee discussed this issue at their meeting on November 24, 2008. The Committee recommends combining the MWDOC Ad-Hoc Committee and OCWD Ad-Hoc Committee into one. All other Committees will remain the same. The Committee also supported the concept of maintaining continuity on various Committees by retaining at least one of the two Directors currently assigned. ITEM NO. AGENDA REPORT OF JIFIECTORS T SSTRICT Board Meeting Date: December 11, 2008 OFF THEDVED A BYYORBATHELINDA W WATE RATER DISTRICT TRICT To: Board of Directors DEC 1 1 2008 From: Kenneth Vecchiarelli, Assistant General Manager BY Staff Contact: Same as above Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 61,740 Funding Source: Water Operating Fund CEQA Account No: 111440 Job No: Compliance: N/A Estimated Costs: $ 61,740 Dept: Admin Subject: Annual Review and Consideration of the Board of Director's Compensation SUMMARY: Each year the Board of Directors reviews their compensation for attending the various meetings for the upcoming year. The current compensation is set at $150.00 per day for each day's service rendered as a member of the Board of Directors up to a maximum of ten days per month. DISCUSSION: Ordinance No. 03-01 does not include a provision for automatic five percent annual increases. An adjustment in Board compensation requires a public hearing and adopting a new ordinance that must be published in a local newspaper before it is effective. State law allows the Board to adjust compensation by a maximum of five percent once each calendar year. For 2009, the Board could adjust their compensation by five percent to a maximum of $157.50 per meeting. The approved budget for Director's salaries for the fiscal year 2008-2009 is $61,740. The total was calculated using the compensation policy set forth in Ordinance 03-01 applied to an estimated number of Board, Committee and other meetings each Director attends. If all directors attended the maximum of 10 meetings a month for the entire year based upon the current compensation rate, the compensation would be $90,000. PRIOR RELEVANT BOARD ACTION(S): In January 2003, the Board of Directors adopted Ordinance 03-01 which set the current compensation at $150.00 per day for each day's service rendered as a member of the Board of Directors up to a maximum of ten days per month. On November 21, 2007, the Board of Directors voted to leave the compensation rate at its current level with no increase. STAFF RECOMMENDATION: That the Board of Directors consider adjustments to the Board of Director's Compensation for 2009. COMMITTEE RECOMMENDATION: The Executive-Administrative-Organizational Committee recommends the Board of Director's Compensation for 2009 remain the same as 2008 at $150.00 per meeting. Year Internal External 1991 $125 $50 1992 $125 $50 1993 $125 $50 1994 $125 $50 1995 $125 $50 1996 $125 $50 1997 $125 $50 1998 $125 $50 1999 $125 $50 2000 $125 $50 2001 $125 $50 2002 $125 $50 2003 $150 $150 2004 $150 $150 2005 $150 $150 2006 $150 $150 2007 $150 $150 2008 $150 $150 2009 Maximum Adjustment << Changed to single rate $ 7.50 Pay rule: Increase by 5% per year. CANNOT compound increases. ITEM NO. 67 AGENDA REPORT Board Meeting Date: December 11, 2008 To: Board of Directors From: Ken Vecchiarelli, Assistant General Manager Staff Contact: Reviewed by General Counsel: Yes Budgeted: N/A Funding Source: CEQA Account No: Compliance: N/A Estimated Costs: N/A Subject: Election of Officers for the Public Financing Corporation APPROVED BY THE BOAAD I JIRKMRS OF THE YORBA LINDA WATER DISTRICT DEC 1 1 2 J~1~4 BY 4W ec~ Total Budget: Job No: Dept: Admin SUMMARY: Pursuant to the Board of Directors Rules for Organization and Procedure, as adopted in November 2007, a President of the Board and a Vice-President shall be elected annually at the District's reorganization meeting held at the first regular meeting of the Board in December of every year. In addition, the officers of the Public Financing Corporation shall also be appointed at this meeting. DISCUSSION: The Board of Directors of the Yorba Linda Water District shall serve as officers of the Yorba Linda Water District Public Financing Corporation. The officers of the Corporation shall be updated annually at the District's reorganization meeting held at the first regular meeting of the Board in December. The person serving as the President of the Governing Board of the District shall serve as the President of the Corporation. The person serving as Vice President of the Governing Board of the District shall serve as Vice President of the Corporation. The person serving as Board Secretary to the Governing Board of the District shall serve as Secretary of the Corporation. The person serving as the Auditor of the District shall serve as Treasurer of the Corporation. PRIOR RELEVANT BOARD ACTION(S): On December 13, 2007, the Board of Directors nominated Director Summerfield as President and Director Mills as Vice President of the Board of Directors. In addition, the Board appointed Michael A. Payne, General Manager as Secretary; Assistant General Manager Kenneth R. Vecchiarelli as Assistant Secretary; and Finance Director Diane Cyganik as Auditor. STAFF RECOMMENDATION: The Board of Directors elects a President and a Vice President and appoints the following individuals as Corporate Officers for the Public Financing Corporation: Secretary Kenneth R. Vecchiarelli, Assistant General Manager Assistant Secretary Pat Grady, Information Technology Director Auditor Diane Cyganik, Finance Director ITEM NO. AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT To: Board of Directors From: Ken Vecchiarelli, Assistant General Manager DEC EC 1 1 1 2008 Staff Contact: BY Reviewed by General Counsel: N/A Budgeted: Total Budget: $ Funding Source: CEQA Account No: Job No: Compliance: N/A Estimated Costs: $ Dept: Admin Subject: Amend Minutes of the Regular Board of Directors Meeting Held October 9, 2008 SUMMARY: Director Beverage has requested a minor revision to the minutes of the Board meeting held October 9, 2008. Director Beverage was not in attendance at the October 23, 2008 Board meeting when these minutes were reviewed and approved by the Board. DISCUSSION: The revision requested is indicated on the attached copy of the minutes (page one only) from the October 9, 2008 Board meeting. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors previously approved the minutes from the Board meeting held October 9, 2008 at the Board meeting held October 23, 2008. STAFF RECOMMENDATION: That the Board of Directors approve the minutes from the Regular Board of Directors Meeting held October 9, 2008 as amended. MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING October 9, 2008 The October 9, 2008 regular meeting of the Yorba Linda Water District Board of Directors was called to order by President Summerfield at 8:30 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 Michael J. Beverage Ric Collett STAFF PRESENT Michael A. Payne, General Manager Kenneth R. Vecchiarelli, Asst. G.M. Arthur G. Kidman, General Counsel Lee Cory, Operations Manager Diane Cyganik, Finance Director Annie Alexander, Executive Secretary Jennifer Hill, Meter Services Rep. Nicholas Hollon, Meter Reader I Kelly King, Meter Reader I DIRECTORS ABSENT AT ROLL CALL William R. Mills, Vice President Paul R. Armstrong INTRODUCTION OF VISITORS AND PUBLIC COMMENTS Assistant General Manager Vecchiarelli introduced Brett Barbre, MWDOC Director. SPECIAL RECOGNITION Meter Services Representative Jennifer Hill, newly hired Meter Reader I's. introduced Nicholas Hollon and Kelly King, CONSENT CALENDAR (Items 1 through 31 Director Beverage stated that he would need to abstain from voting on Check No. 50147 of Item 2 as he had received income over $500 within the past 12 months from Metcalf & Eddy, Inc. General Counsel Kidman advised that Check No. 50147 be removed from the consent calendar and brought back for approval at the next Board meeting as there was not a quorum with Director Beverage abstaining. On a motion by Director Collett, seconded by Director Summen`ield, the Board of Directors voted 3-0 to approve the Consent Calendar with the exception of Check No. 50147 of Item 2 which is to be continued until October 23, 2008. 1. Minutes of the Regular Board of Directors meeting held September 25, 2008. Recommendation: Approve the minutes as presented. APPROVED BY THE BOARD OF DIRECTORS OFTHE YORBA LINDAWATER DISTRICT ITEM NO. tO DEC 1 1 ,2008 MINUTES OF THE YORBA LINDA WATER DISTRICT BY BOARD OF DIRECTORS REGULAR MEETING October 23, 2008 The October 23, 2008 regular meeting of the Yorba Linda Water District Board of Directors was called to order by President Summerfield at 8:30 a.m. The meeting was held at the District's offices at 1717 E. Miraloma Avenue, Placentia, CA. DIRECTORS PRESENT AT ROLL CALL STAFF PRESENT John W. Summerfield, President Michael A. Payne, General Manager William R. Mills, Vice President Kenneth R. Vecchiarelli, Asst. G.M. Ric Collett Lee Cory, Operations Manager Diane Cyganik, Finance Director Pat Grady, IT Director Hank Samaripa, Project Engineer Art Vega, Information Systems Admin. Stacy Bavol, Customer Service Supervisor John DeCriscio, Chief Plant Operator Steve Clayton, Plant Operator II Jennifer Hill Meter Services Rep , . Nick Hollon, Meter Reader I Nicole Dalton, Meter Reader I Kenny Graff, Maintenance Worker I Jorge Lopez, Maintenance Worker I Jimmy DeAnda, Maintenance Worker I Anthony Varian, Maintenance Worker 1 Ruben Gonzales, Facilities Maintenance Annie Alexander, Executive Secretary DIRECTORS ABSENT AT ROLL CALL Paul R. Armstrong Michael J. Beverage INTRODUCTION OF VISITORS AND PUBLIC COMMENTS Assistant General Manager Vecchiarelli introduced the following individuals. Nikki Williams, Project Manager Marina Landscape Contractors Kristen Ness, Executive Assistant Marina Landscape Contractors Nitin Patel, CPA Diehl, Evans & Company Thomas Ziencina, President Datanet Solutions Leonard Dominquez, VP of Bus. Development Datanet Solutions There were no public comments. SPECIAL RECOGNITION Ms. Williams and Ms. Ness presented the Board of Directors with an award from the California Landscape Contractors Association for the District's drought tolerant landscaping. The Board of Directors then recognized the following staff for passing their State of California Water Distribution certification: Steve Clayton, Plant Operator II Water Distribution V Nicole Dalton, Meter Reader I Water Distribution II Jimmy DeAnda, Maintenance Worker I Water Distribution II Nick Hollon, Meter Reader I Water Distribution 11 Jorge Lopez, Maintenance Worker I Water Distribution II Anthony Varian, Maintenance Worker I Water Distribution II Kenny Graff, Maintenance Worker I Water Distribution I CONSENT CALENDAR Director Summerfield requested to remove Item 1 from the Consent Calendar. Director Collett stated that he would need to abstain from voting on Check No. 50186 of Item 2. This check was removed from the consent calendar and will be brought back for approval at the next Board meeting as there was not a quorum with Director Collett abstaining. On a motion by Director Mills, seconded by Director Collett, the Board of Directors voted 3-0 to approve the Consent Calendar with the exception of Item 1 and Check No. 50186 of Item 2. 2. Payment of bills, refunds, and wire transfers. 3. Progress Payment No. 5 for the Highland Reservoir Replacement Project. ITEMS REMOVED FROM THE CONSENT CALENDAR FOR SEPARATE ACTION, Director Summerfield requested that Item 1 be corrected to reflect that the Board adjourned to a regular meeting scheduled for October 23, 2008 at 8:30 a.m. On a motion by Director Summen`ield, seconded by Director Mills, the Board of Directors voted 3-0 to approve Item 1 as corrected. Minutes of the Regular Board of Directors meeting held October 9, 2008. ACTION CALENDAR 4. Final Audited Financial Statements for the period ending June 30, 2008. Finance Director Cyganik introduced Mr. Patel who then provided a brief overview of the financial statements and responded to questions from the Board. Director Summerfield stated that the Finance-Accounting Committee met with the 2 auditors on October 14, 2008 and recommended that the Board receive and file the final audited financial statements. On a motion by Director Mills, seconded by Director Collett, the Board of Directors voted 3-0 to receive and file the final audited financial statements for the period ending June 30, 2008. 5. Electronic Imaging and Agenda Automation System. Information Technology Director Grady explained the benefits of both systems and responded to questions from the Board. On a motion by Director Collett, seconded by Director Mills, the Board of Directors voted 3-0 to authorize the General Manager to execute a Professional Services Agreement with Datanet Solutions at a cost of $69,192 for the Laserfiche electronic imaging system and the NovusAgenda automation system. 6. Identity Theft Prevention Program. Information Technology Director Grady explained the purpose and impacts of the proposed Identity Theft Prevention program. The most significant impact of the program would be that new customers would be required to sign up for water service in person. Staff recommends that the new policy procedures be effective January 1, 2009 to allow enough time for the program to be implemented properly. Finance Director Cyganik stated that the Executive-Ad min istrative- Organizational Committee had reviewed the program and recommended Board approval. On a motion by Director Mills, seconded by Director Collett, the Board of Directors on a Roll Call voted 3-0 to adopt Resolution 08-12 approving an Identity Theft Prevention Program for the District. DISCUSSION ITEMS 7. None. REPORTS. INFORMATION ITEMS AND COMMENTS 8. a. President's Report President Summerfield announced that he may be unavailable to attend the Finance-Accounting meeting on November 10 and the Board meeting on November 12. Director Collett also announced that he would be unavailable to attend the Board meeting on November 12. Scheduling a date for the next regular Board meeting will be discussed at the Board workshop meeting on October 30. President Summerfield and Vice President Mills will be attending the Fiesta Days Celebration on October 25. b. Directors' Reports Director Mills commented on the status of CalPERS and the possible effect on District contribution rates. General Manager Payne responded to questions from the Board regarding this issue and stated that Finance 3 Director Cyganik was scheduled to attend a CalPERS conference next week. A report will be made to the Finance-Accounting committee at the next meeting. Director Mills also commented on a recent segment in the PBS "California's Water" series and encouraged staff to try to use the video as an educational resource for District customers. Assistant General Manager Vecchiarelli then responded to questions from Director Collett regarding the annexation in progress. C. General Manager's Report Assistant General Manager Vecchiarelli reminded the Board regarding the upcoming Fiesta Days Parade and Golden Guardian Event. General Manager Payne reported that the Boys & Girls Club had recently used the District's training room to conduct a seminar. Staff is working on developing a Facilities Use Agreement for this purpose. Assistant General Manager Vecchiarelli reported that the District had participated in the Heritage Days Parade which went well. COMMITTEE REPORTS 9. a. Executive-Administrative-Organizational Committee (Summerfield/Mills) Alternate: Collett 1) Minutes of the meeting held October 21 were presented at the meeting. Directors Summerfield and Mills attended. Items discussed during the meeting were as follows: Identity Theft Prevention program, termination of agreement with Sacramento Advocates, Inc., Fullerton Arboretum Water Conservation Garden partnership request, status of grant and legislative activities and review of General Counsel's final report on 2008 legislative bills. 2) Meeting scheduled for November 18, 4:00 p.m. b. Finance-Accounting Committee (Beverage/Summerfield) Alternate: Mills 1) Minutes of the meeting held October 14 were included in the agenda packet. Directors Beverage and Summerfield attended. Items discussed during the meeting were the 2007/2008 audited financial statements, investment report ending August 31, 2008 and the Wells Capital portfolio investments. 2) Meeting scheduled for November 10, 8:00 a.m. 4 C. Personnel-Risk Management Committee (Armstrong/Collett) Alternate: Summerfield 1) Minutes of the meeting held October 13 were included in the agenda packet. Directors Collett and Summerfield attended. Items discussed during the meeting were as follows: ACWA Health Benefits Authority 2009 health plan rating restructure, status of recruitments, CaIPACS 2008 salary survey, and status of personnel on administrative leave and risk management activities. 2) Meeting scheduled for November 10, 4:00 p.m. d. Planning-Engineering-Operations Committee (Mills/Armstrong) Alternate: Beverage 1) Meeting scheduled for November 6, 4:00 p.m. e. Public Information-Technology Committee (Collett/Beverage) Alternate: Armstrong C. Yorba Lind Planning Commission, October 15 (Collett) Director Collett did not attend. d. Yorba Linda City Council, October 21 (Mills) Director Mills did not attend. 5 BOARD OF DIRECTORS ACTIVITY CALENDAR Authorization to attend meetings scheduled after October 23, 2008. Agenda is available in the District office prior to meeting. October 2008 FDistrict Board Meeting, Oct 23, 8:30 a.m. Yorba Linda Fiesta Days Parade, Oct 25, 10:00 a.m. MWDOC Ad Hoc Committee Meeting, Oct 28, 4:00 p.m. I Mills/Collett Yorba Linda Planning Commission, Oct 29, 7:00 p.m. I Summerfield District Board Workshop, Oct 30, 8:00 a.m. November 2008 (Public Information -Technology Committee, Nov 4, 4:00 p.m. Collett/Beverage Yorba Linda City Council, Nov 4, 6:30 p.m. I Mills MWDOC/MWD Workshop, Nov 5, 7:30 a.m. I Staff OCWD Board, Nov 5, 5:00 p.m. I Staff Planning-Engineering-Operations Committee, Nov 6, 4:00 p.m. I Mills/Armstrong Placentia Ad Hoc Committee, Nov 7, 10:00 a.m. Beverage Finance-Accounting Committee, Nov 10, 8:00 a.m. Beverage/Summerfield Personnel-Risk Management Committee, Nov 10, 4:00 p.m. I Armstrong/Collett Holiday, Nov 11 I District Offices Closed District Board Meeting, Nov 12, 8:30 a.m. Yorba Linda Planning Commission, Nov 12, 7:00 p.m. I Collett Executive-Admin-Organizational Committee, Nov 18, 4:00 p.m. I Summerfield/Mills Yorba Linda City Council, Nov 18, 6:30 p.m. I Armstrong MWDOC Board, Nov 19, 8:30 a.m. Staff OCWD Board, Nov 19, 5:00 p.m. I Staff District Board Meeting, Nov 26, 8:30 a.m. Yorba Linda Planninq Commission, Nov 26, 7:00 p.m. * I Summerfield Holiday, Nov 27-28 I District Offices Closed December 2008 [Public Information-Technology Committee, Dec 2, 4:00 p.m. Yorba Linda City Council, Dec 2, 6:30 p.m. MWDOC/MWD Workshop, Dec 3, 7:30 a.m. OCWD Board, Dec 3, 5:00 p.m. Planning-Engineering-Operations Committee, Dec 4, 4:00 p.m. Personnel-Risk Management Committee, Dec 8, 4:00 p.m. Finance-Accounting Committee, Dec 9, 4:00 p.m. Yorba Linda Planning Commission, Dec 10, 7:00 p.m. District Board Meeting, Dec 11, 8:30 a.m. Executive-Admin-Organizational Committee, Dec 16, 4:00 p.m Yorba Linda City Council, Dec 16, 6:30 p.m. MWDOC Board, Dec 17, 8:30 a.m. OCWD Board, Dec 17, 5:00 p.m. District Board Meeting, Dec 23, 8:30 a.m. MWDOC Ad Hoc Committee Meeting, Dec 23, 4:00 p.m. Yorba Linda Planning Commission, Dec 24, 7:00 p.m. * *May be rescheduled due to the upcoming holidays. Collett/Beverage Mills Staff Staff Mills/Armstrong Armstronq/Collett Beverage/Summerfield Collett Summerfield/Mills Armstrong Staff Staff Summerfield 6 CONFERENCES AND SEMINARS 11. 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 Water Policy Forum and Dinner- November 12, 2008. Director Mills requested to attend the event. ADJOURN TO CLOSED SESSION 12. None to adjourn at 9:45 a.m. to a workshop meeting of the Board of Directors scheduled for October 30, 2008 at 8:00 a.m., at 1717 E. Miraloma Avenue, Placentia 92870. 7 APPROVED BY THE BOARD OF DIRECTORS OFTHE YORBA LINDA WATER DISTRICT ITEM NO. DEC 1 1 2008 MINUTES OF THE YORBA LINDA WATER DISTRICT BY ;ial BOARD OF DIRECTORS REGULAR MEETING November 26, 2008 The November 26, 2008 regular meeting of the Yorba Linda Water District Board of Directors was called to order by President Summerfield at 8:33 a.m. The meeting was held at the District's offices at 1717 E. Miraloma Avenue, Placentia, CA. DIRECTORS PRESENT AT ROLL CALL STAFF PRESENT John W. Summerfield, President Michael A. Payne, General Manager William R. Mills, Vice President Kenneth R. Vecchiarelli, Asst. G.M. Paul R. Armstrong Arthur G. Kidman, General Counsel Ric Collett Michael J. Beverage INTRODUCTION OF Assistant General M Lake Village Home C status of the District'; issues within the dev to questions from the the design nearly con President Summe Linda Bauerme Brett Barbre, DI Laer Pearce, Pi Mark Abramow Lee Cory, Operations Manager Pat Grady, IT Director Gina Knight, Human Resources Manager Sandi Van Etten, Senior Accountant Stacy Bavol, Customer Service Supervisor Nichole Dalton, Meter Reader II Cindy Botts, Assistant Administrator I Annie Alexander, Executive Secretary AND PUBLIC COMMENTS ;chiarelli introduced Jim Wohlt, President of the East )ciation. Mr. Wohlt addressed the Board regarding the 3tion project which will help mediate the water pressure \ssistant General Manager Vecchiarelli then responded Mr. Wohlt and stated that the project was on track and introduced the following visitors: rney Barber & Bauermeister MWDOC Laer Pearce & Associates ent Community Environmental Services SPECIAL RECOGNITION Customer Service Supervisor Bavol introduced Nichole Dalton, recently promoted to Meter Reader II. General Manager Payne stated that Ms. Dalton had worked at the local assistance center during the previous weekend. ADJOURN TO CLOSED SESSION On a motion by Director Mills, seconded by Director Collett the Board entered into Closed Session at 8:40 a.m. All Directors were present. Also present were General Manager Payne, Assistant General Manager Vecchiarelli, and Ms. Bauermeister. 13. Conference with Legal Counsel - Anticipated Litigation Significant Exposure to Litigation Pursuant to Subdivision (b)(1)(b) of Section 54956.9 of the California Government Code Number of Potential Cases: Unknown The exposure to litigation arises from assertions of District responsibility for property and related losses incurred during the "Freeway Complex" firestorm of November 15 and 16, 2008. CLOSED SESSION REPORT The Board reconvened in Open Session at 9:53 a.m. There were no reportable items from the Closed Session. CONSENT CALENDAR Director Mills questioned Check No. 50439 of Item 4. Assistant General Manager Vecchiarelli explained the purpose of the payment made to the City of Placentia. On a motion by Director Armstrong, seconded by Director Mills, the Board voted 5-0 to approve the Consent Calendar with Director Collett abstaining from voting on Check No. 50480 of Item 4 as he had a relationship with the business. 1. Minutes of the Regular Board of Directors meeting held November 12, 2008 2. Minutes of the Special Board of Directors meeting held November 18, 2008 3. Minutes of the Special Board of Directors meeting held November 19, 2008 4. Payment of Bills, Refunds, and Wire Transfers 5. Investment Report for Quarter Ending September 30, 2008 ACTION ITEMS 6. Approve Resolution No. 08-13 Setting Time and Place for all Regular Meetings and Manner to Call Special Meetings Assistant General Manager Vecchiarelli reported that the Executive- Administrative-Organizational Committee had reviewed the Resolution and discussed recommending to the Board to hold the first regular meeting of each month in the evening. Following discussion, it was the consensus of the Board to approve the Resolution as presented and to adjourn to an evening meeting time as needed. On a motion by Director Beverage, seconded by Director Summerfield, the Board voted 5-0 to approve Resolution No. 08-13 Setting Time and Place for all Regular Meetings and rescinding Resolution No. 90-41. 2 7. Designate Director Mills as Voting Delegate for the ACWA Fall Conference General Membership Session On a motion by Director Collett, seconded by Director Armstrong, the Board voted 5-0 to designate Director Mills as the voting delegate for the ACWA Fall Conference General Membership Session. 7a. Request to Add Item to Agenda Assistant General Manager Vecchiarelli requested to add Approval of Resolution No. 08-14 (Item No. 7b.) to the agenda as there was a need for immediate action and that the need for action came to the attention of staff subsequent to the agenda being posted. On a motion by Director Mills, seconded by Director Collett, the Board voted 5-0 to add approval of Resolution No. 08-14 (Item No. 7b) to the agenda. 7b. Approve Resolution No. 08-14 Designating Agents to Provide to the State Office of Emergency Services for all Matters Pertaining to State Disaster Assistance For and In Behalf of the Yorba Linda Water District On a motion by Director Collett, seconded by Director Mills, the Board voted 5-0 to approve Resolution No. 08-14 Designating Agents to Provide to the State Office of Emergency Services for all Matters Pertaining to State Disaster Assistance For and In Behalf of the Yorba Linda Water District. DISCUSSION ITEMS 8. Status of District Facilities, Distribution System and Community Outreach Efforts Related to Firestorm Event Assistant General Manager Vecchiarelli provided a brief overview of events related to the recent firestorm. The boil water notice for the Hidden Hills Estates was lifted on November 20, 2008. A reverse 911 system was used to disseminate this message to all District residents. A total of 13,400 calls were confirmed to have been received. The light board at the estate entrance has been updated as well. Staff also began working with the City of Yorba Linda early in the week to help prepare against possible mudslides with the coming rains. Mr. Wohlt addressed the Board and stated that he felt all notices to the public related to the firestorm be given by District management rather than a public relations firm. Mr. Pearce addressed the Board and explained that due to the overwhelming number of calls the District was receiving during and after the firestorm event, staff was unable to respond to them all. Since that time, Assistant General Manager Vecchiarelli has served as the District's primary spokesperson. 3 9. a. President's Report President Summerfield did not have anything to report. b. Directors' Reports Director Armstrong questioned when the action reports from the fire and police departments would be made available. Assistant General Manager Vecchiarelli stated that these reports would be presented to the Yorba Linda City Council within the next week or so. C. Assistant General Manager Vecchiarelli thanked the Board for their help and support associated with the firestorm event. Mr. Vecchiarelli also commended staff for their related efforts. d. General Counsel's Report General Counsel Kidman reported that the District had received some questions regarding the special meetings held the previous week. Mr. Kidman explained that it is acceptable for the Board to request individuals making public comments to identify themselves or complete a request to speak form. This practice is not improper although if an individual wishing to address the Board did not want to release their name for personal reasons, it is not required. Mr. Kidman also stated that the special meeting called on November 18, 2008 was called on too short notice to meet the 24 hour posting requirements as required by the Ralph M. Brown Act. Staff and legal counsel made the decision to proceed with the special meeting as an emergency meeting could not be called. Notice of the meeting was given to all Directors and other interested parties as well as posted on the District's bulletin board and website. No action was taken at the special meeting. Mr. Kidman further commented on his experience of with working with the District and staff efforts to prepare for the firestorm. 10. a. Executive-Administrative-Organizational Committee (Summerfield/Mills) Alternate: Collett 1) Minutes of the meeting held November 24 were presented at the meeting. Directors Summerfield and Mills attended. Items discussed during the meeting were as follows: consider Resolution No. 08-13 Setting Time and Place for All Regular Meetings; consider Resolution No. 08-XX Authorizing Individuals to Transfer Funds via the Federal Wire System; consider reorganization of the Board to select a President, Vice President and to appoint Corporate Officers; consider Board Committee assignments; consider Board compensation; consider policy for approval of Board meeting minutes; declaration of conflicts of interest during public meetings; Fullerton Arboretum Water Conservation Garden Partnership; future presentation to Board by LAFCO; reports on legislative and grant activities; scheduling future OCWD Ad Hoc Committee meetings; and report on pass-through policy. 2) Meeting scheduled for December 16, 4:00 p.m. 4 b. Finance-Accounting Committee (Beverage/Summerfield) Alternate: Mills 1) Meeting scheduled for December 10, 4:00 p.m. C. Personnel-Risk Management Committee (Armstrong/Collett) Alternate: Summerfield 1) Meeting scheduled for December 9, 10:00 a.m. d. Planning-Engineering-Operations Committee (Mills/Armstrong) Alternate: Beverage 1) Meeting scheduled for December 4, 4:00 p.m. e. Public Information-Technology Committee (Collett/Beverage) Alternate: Armstrong 1) Meeting scheduled for December 2, 4:00 p.m. f. MWDOC Ad Hoc Committee (Mills/Collett) Alternate: Summen`ield 1) Meeting to be scheduled. g. City of Placentia Ad Hoc Committee (Beverage/Payne) 1) Meeting to be scheduled. INTERGOVERNMENTAL MEETINGS 11. a. MWDOC Board, November 19 (Staff) Staff did not attend. b. OCW D Board, November 19 (Staff) Staff did not attend. C. Yorba Linda Planning Commission, November 12 (Collett) Director Collett did not attend. d. Yorba Linda City Council, November 18 (Armstrong) Director Armstrong attended. The majority of the meeting covered the firestorm. There was no other significant action taken. 5 BOARD OF DIRECTORS ACTIVITY CALENDAR Authorization to attend meetings scheduled after November 26, 2008. Agenda is available in the District office prior to meeting. November 2008 FYorba Linda Planning Commission, Nov 26, 7:00 p.m. ICANCELED Holiday, Nov 27-28 1 District Offices Closed December 2008 FPersonnel-Risk Management Committee, Dec 1, 4:00 p.m. Armstrong/Collett Public Information-Technoloqy Committee, Dec 2, 4:00 p.m. Collett/Beverage Yorba Linda City Council, Dec 2, 6:30 p.m. Mills MWDOC/MWD Workshop, Dec 3, 7:30 a.m. Staff OCWD Board, Dec 3, 5:00 p.m. Staff Planning-Engineering-Operations Committee, Dec 4, 4:00 p.m. Mills/Armstrong Finance-Accounting Committee, Dec 9, 4:00 p.m. Beverage/Summerfield Yorba Linda Planning Commission, Dec 10, 7:00 p.m. Collett District Board Meeting, Dec 11, 8:30 a.m. Executive-Admin-Orqanizational Committee, Dec 16, 4:00 p.m. Summerfield/Mills Yorba Linda City Council, Dec 16, 6:30 p.m. Armstrong MWDOC Board, Dec 17, 8:30 a.m. Staff OCWD Board, Dec 17, 5:00 p.m. Staff District Board Meeting, Dec 23, 8:30 a.m. Yorba Linda Planninq Commission, Dec 24, 7:00 p.m. I CANCELED Holiday, Dec 25-26 District Offices Closed 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. On a motion by Director Beverage, seconded by Director Collett, the Board voted 5-0 to authorize attendance of Directors and such staff members of the District as approved by the General Manager to attend the following conference. a. 2009 ACWA Washington, DC Conference - February 24-26, 2009. ADJOURNMENT On a motion by Director Mills, seconded by Director Collett, the Board voted to adjourn at 10:58 a.m. to a regular meeting of the Board of Directors scheduled for December 11, 2008 at 6:30 p.m., at 1717 E. Miraloma Avenue, Placentia 92870. 6 ITEM NO. /0 AGENDA REPORT APPROVED BY THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT Board Meeting Date: December 11, 2008 DEC 1 1 2008 To: Board of Directors BY From: Kenneth R. Vecchiarelli, Assistant General Manager 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: $1,046,896.95 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 $7,015.75 to City National Bank for Job 200704 November 2008 retention payment; a check of $368,926.76 to Schuler Engineering for Job 200309 progress payment; and, a check of $133,679.30 to SSC Construction for Job 200704 progress payment. The balance of $307,973.12 is routine invoices. ADP is now issuing our payroll checks, with the exception of the third party checks, listed below. In summary, the check register total is $817,594.93; payroll No. 23 total is $229,302.02; and, the disbursements of this agenda report are $1,046,896.95. A summary of the checks is as follows: Pavables: Void Check Check No. 50153 Manual Check Check No. 50504 Computer Checks Check Nos. 50505 - 50589 Pavroll #23: Manual Checks Check Nos. 4208 - 4213 The disbursement total for the current period is $1,046,896.95, distributed as follows: Water $1,021,919.62 Sewer $ 13,249.90 ID #1 $ 0.00 ID #2 $ 11.727.43 TOTAL $1,046,896.95 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 $1,046,896.95. December 11, 2008 CHECK NUMBERS 50153 $ 0.00 50504 TO 50589 $ 810,579.18 WIRE: W-121108 City National Bank $ 7,015.75 TOTAL OF CHECKS AND WIRE: PAYROLL NO. 23: CHECK NUMBERS: $ 817,594.93 4208 TO 4213 $ 229,302.02 TOTAL: $ 1,046,896.95 APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF DECEMBER 11, 2008 TOTAL DISBURSEMENTS ARE DISTRIBUTED TO THE FUND ACCOUNTS AS FOLLOWS: WATER $1,021,919.62 SEWER $ 13,249.90 ID # 1 $ 0.00 ID # 2 $ 11,727.43 TOTAL: $1,046,896.95 Yorba Linda Water DistrictCHECK REGISTER FOR CHECKS DATED 11-27-08 THRU 12-11-08 Check. Check... Posting. Vendor Name Check..... No Date Date Amount 50507 12-11-08 12-11-08 ABIGAIL ABBOTT STAFFING SVC 2,490.50 50508 12-11-08 12-11-08 ADVANCED INFRASTRUCTURE 289.46 50509 12-11-08 12-11-08 ANAHEIM WHEEL & TIRE 390.00 50510 12-11-08 12-11-08 AQUA-METRIC SALES CO. 12,218.85 50511 12-11-08 12-11-08 ARROWHEAD 13.41 50512 12-11-08 12-11-08 ARTISTIC MAINTENANCE, INC 3,495.60 50513 12-11-08 12-11-08 AT & T - CALNET2 6,862.77 50514 12-11-08 12-11-08 B & M LAWN & GARDEN 535.94 50515 12-11-08 12-11-08 BOARD OF EQUALIZATION 2,000.00 50516 12-11-08 12-11-08 CADET UNIFORM SERVICE 755.20 50517 12-11-08 12-11-08 CAROLLO ENGINEERS 38,046.22 50518 12-11-08 12-11-08 CERIDIAN BENEFITS SERVICES 100.00 50519 12-11-08 12-11-08 CITIZEN'S BUSINESS BANK 40,991.86 121108 12-11-08 12-11-08 CITY NATIONAL BANK 7,015.75 50520 12-11-08 12-11-08 CITY OF PLACENTIA 367.08 50521 12-11-08 12-11-08 CITY OF PLACENTIA 10,856.11 50522 12-11-08 12-11-08 CLINICAL LAB. OF SAN BERN. 1,725.00 50523 12-11-08 12-11-08 CNA SURETY 350.00 50524 12-11-08 12-11-08 COAST SURVEYING, INC. 1,905.50 50525 12-11-08 12-11-08 COM SER CO INC. 1,840.15 50526 12-11-08 12-11-08 COOPERATIVE PURCHASERS 1,771.84 50527 12-11-08 12-11-08 CPR TECHNOLOGY 219.76 50528 12-11-08 12-11-08 CULLIGAN 1,818.80 50529 12-11-08 12-11-08 D. R. CRISKE TRUCKING 700.38 50530 12-11-08 12-11-08 DATANET SOLUTIONS INC. 15,039.31 50531 12-11-08 12-11-08 DIANE CYGANIK 137.90 50532 12-11-08 12-11-08 ECONOMY RADIATOR REPAIR 65.00 50533 12-11-08 12-11-08 EISEL ENTERPRISES, INC. 363.66 50534 12-11-08 12-11-08 FIRST AMERICAN TITLE 800.00 50535 12-11-08 12-11-08 FRANKLIN COVEY PRODUCTS LLC 57.00 50536 12-11-08 12-11-08 FRY'S ELECTRONICS 286.55 50537 12-11-08 12-11-08 GARDEN GATE FLOWER SHOP 269.33 50538 12-11-08 12-11-08 INFOSEND 7,725.62 50539 12-11-08 12-11-08 INTERIORS BY JANI-TRESS 11,630.72 50540 12-11-08 12-11-08 J & S CONSTRUCTION 5,892.00 Yorba Linda Water DistrictCHECK REGISTER FOR CHECKS DATED 11-27-08 THRU 12-11-08 Check. Check... Posting. Vendor Name Check..... No Date Date Amount 50541 12-11-08 12-11-08 KB DESIGN 620.37 50542 12-11-08 12-11-08 KTS SERVICES, INC. 1,322.50 50543 12-11-08 12-11-08 LOS ANGELES TIMES-DELIVERY 273.00 50544 12-11-08 12-11-08 MAXIMUM PC 12.00 50545 12-11-08 12-11-08 MC MASTER-CARR SUPPLY CO. 253.24 50546 12-11-08 12-11-08 MCCORMICK,KIDMAN & BEHRENS LLP 21,547.29 50547 12-11-08 12-11-08 MICHELLE TUCHMAN 1,625.00 50548 12-11-08 12-11-08 MOBILE HOSE & HYDRAULIC SUPPLY 934.07 50549 12-11-08 12-11-08 NEOPOST INC 419.90 50550 12-11-08 12-11-08 NEXTEL OF CALIFORNIA 1,957.52 50551 12-11-08 12-11-08 NICKEY PETROLEUM CO 6,136.58 50153 10-09-08 12-03-08 OFFICE SOLUTIONS -229.43 50552 12-11-08 12-11-08 OFFICE SOLUTIONS 279.63 50553 12-11-08 12-11-08 OMNI WESTERN INC 204.57 50505 12-11-08 12-11-08 PARDEE HOMES 581.28 50554 12-11-08 12-11-08 PEGGY McCLURE 262.50 50555 12-11-08 12-11-08 PETE'S PARTS & ACCESSORIES 5,233.01 50556 12-11-08 12-11-08 PROBOLSKY RESEARCH LLC 3,721.00 50557 12-11-08 12-11-08 PROJECT PARTNERS, INC. 15,073.43 50558 12-11-08 12-11-08 PSOMAS & ASSOCIATES 14,173.02 50559 12-11-08 12-11-08 R & S OVERHEAD DOORS 339.00 50560 12-11-08 12-11-08 R J SERVICES, INC 5,617.78 50561 12-11-08 12-11-08 REFRIGERATION SUPPLIES 145.38 50506 12-11-08 12-11-08 REO INNOVATIONS 31.75 50562 12-11-08 12-11-08 RICHARD GANGLOFF III 306.55 50563 12-11-08 12-11-08 RKI ENGINEERING, LLC 8,640.00 50564 12-11-08 12-11-08 RUBEN GONZALES 88.80 50565 12-11-08 12-11-08 SACRAMENTO ADVOCATES 3,000.00 50566 12-11-08 12-11-08 SANDI VAN ETTEN 937.10 50567 12-11-08 12-11-08 SCHULER ENGINEERING CORP. 368,926.76 50568 12-11-08 12-11-08 SCOTT W. MOULTON 5,378.40 50569 12-11-08 12-11-08 SELMAN CHEVROLET COMPANY 1,117.07 50570 12-11-08 12-11-08 SENIK PAINT CO. 612.88 50571 12-11-08 12-11-08 SHRED-IT LOS ANGELES 68.60 50572 12-11-08 12-11-08 SO CAL SANDBAGS INC. 604.06 Yorba Linda Water DistrictCHECK REGISTER FOR CHECKS DATED 11-27-08 THRU 12-11-08 Check. Check... Posting. Vendor Name Check..... No Date Date Amount 50573 12-11-08 12-11-08 SOUTHERN CALIF EDISON CO. 31.84 50574 12-11-08 12-11-08 SOUTHERN CALIF GAS CO. 13,174.44 50575 12-11-08 12-11-08 SSC CONSTRUCTION, INC 133,679.30 50504 12-03-08 12-03-08 ST. JOSEPH SCRIP 3,700.00 50576 12-11-08 12-11-08 STACY BAVOL/PETTY CASH 47.67 50577 12-11-08 12-11-08 STATER BROS. MARKETS 23.89 50578 12-11-08 12-11-08 SUNSTATE EQUIPMENT CO 68.96 50579 12-11-08 12-11-08 SWRCB ACCOUNTING OFFICE/ 2,678.00 50580 12-11-08 12-11-08 TOWNSEND PUBLIC AFFAIRS, INC. 5,240.00 50581 12-11-08 12-11-08 UNDERGROUND SERVICE ALERT 120.00 50582 12-11-08 12-11-08 UNITED INDUSTRIES 709.33 50583 12-11-08 12-11-08 UNITED RENTALS - FULLERTON 61.14 50584 12-11-08 12-11-08 VERIZON WIRELESS 423.31 50585 12-11-08 12-11-08 VISION SERVICE PLAN 1,643.51 50586 12-11-08 12-11-08 WELLS SUPPLY CO 193.95 50587 12-11-08 12-11-08 WESTERN HIGHWAY PRODUCTS, INC. 5,453.41 50588 12-11-08 12-11-08 YORBA LINDA AUTO PARTS 792.30 50589 12-11-08 12-11-08 ZANE WOLLER 312.00 817,594.93 ITEM NO. AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE 90AR0 OF ilIRECTOHS Of THE YORRA LINDA WATER DISTRICT To: Board of Directors DEC 1 1 2008 From: Ken Vecchiarelli, Assistant General Manager BY_~ Staff Contact: Annie Alexander, Executive Secretary Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 13,625 Funding Source: Water Operating Fund CEQA Account No: 121640 Job No: Compliance: N/A Estimated Costs: $ 15,576 Dept: Admin Subject: 2009 Association of California Water Agencies Annual Membership Dues SUMMARY: The Association of California Water Agencies membership dues in the amount of $15,576. (ACWA) has sent its annual invoice for 2009 DISCUSSION: ACWA is the largest coalition of public water agencies in the United States. It is a leader on California water issues and provides information to members in the legislative and regulatory fields both in Sacramento and in Washington, D.C. ACWA's 447 public agency members deliver 90% of the water used by communities, cities, businesses and farms in California. ACWA's mission is to assist its members in promoting the development, management and use of good quality water at the lowest cost. ACWA has developed the following six program areas which are designed to meet the needs of its membership through: state legislation, federal affairs, regulatory affairs, communications and outreach, benefits and insurance and meetings and membership. ACWA's membership dues are calculated using the District's operation and maintenance (O&M) expenses as reported to the State Controller's office which is attached. PRIOR RELEVANT BOARD ACTION(S): Each year the Board of Directors considers membership in ACWA. The 2008 membership dues were approved on December 27, 2007 in the amount of $12,345. STAFF RECOMMENDATION: That the Board of Directors provide direction to staff regarding the payment of the 2009 ACWA membership dues in the amount of $15,576. COMMITTEE RECOMMENDATION: This agenda item was not presented to the Executive-Administrative-Organizational Committee. INVOICE Federal Identification Number: 94-6003910 Yorba Linda WD Accounts Payable Po 6- Yorbr Li nd,~ . (-'A 110; to/08 l1i, IOU, UU 1) 416.00 LESS PAYMENT b AMOUNT DUE 15.576.01 `0 , 13!!SNIT T ` - ASSOCIATION OF CALIFORNIA WATER AGENCIES PO BOX 2408 SACRAMENTO, CA 95812-2408 (916) 441-4545 FAX (916) 325-4849 0P O C T 7 6 2008 e- J v._ nnual membership dues include $50 for each one-ye o A(-WA News (Quantities based on membership type) 2009 Mempef zx' "r October 08, 2008 Date: 1165 yorba Linda WD Ming Expenses ,her Expenses (3) Total Expenses :SS rchased power later purchases groundwater Replenishment $22,821,086 $0 $22,821'086 $0 $10,703,037 $0 $3,445,868 $0 Depreciation y,.. °~8,672,~S11 Fixed Assets (g) Total Adjusted 6),p,,,es $0 ;GG LESS _ $8,672,181 pumping (10) pumping -Total Expenses Adjusted For $17,344,36 $8,672,18 (12) Line 11 times 2 1-1-1111-11111,11, $14,1 ~ (13) Dues O&M (lessor of lines 9 0112) DUES AMOUNT THIS WORKSHEET THIS IS NOT ABILL -PLEASE ~O NOT PAY FROM - prior year Adjusted O&M Amount: $7,512,752 ITEM NO. /I- AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE BOARD OF DIRECTORS To: Board of Directors OF THE YORBA LINDA WATER DISTRICT From: Ken Vecchiarelli, Assistant General Manager ~A, DEC 1 2008 Staff Contact: Joe Polimino, Project Engineer 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. 19 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. 19, in the amount of $140,715.05 for completed work through November 30, 2008. During this period, installation continued with retaining wall footings, structure waterproofing, drains and backfilling. Concrete ditch installation along the west side of the site continued and demolition of the steel tanks was completed. The status of the construction contract with SSC Construction, Inc. is as follows: • The current contract is $10,697,781.37 and 574 calendar days starting June 18, 2007. • If approved, Progress Payment No. 19 is $140,715.05 (1.3% of the total contract amount), less 5% retention of $7,035.75 for a net payment of $133,679.30. • Total payments to date including retention are $10,034,583.97 (93.8% of the total contract amount). • As of November 30, 2008, 532 calendar days were used (92.7% of the contract time). Staff and Butier, the District's construction manager for the project, have reviewed the contractor's progress payment and recommend approval. A copy of Progress Payment No. 19 is attached for your reference. COPY 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. On July 10, 2008, the Board of Directors approved Change Order No. 3 in the amount of $55,393.45 and an additional 17 calendar days to be added to the contract. The Board has approved eighteen progress payments to date for this project, the most recent of which was approved on November 12, 2008. STAFF RECOMMENDATION: Approve Progress Payment No. 19 in the net amount of $133,679.30 to SSC Construction, Inc. and 5% retention of $7,035.75 deposited to City National Bank escrow account 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. 19 LOCATION Yorba Linda, CA PROJECT NO. 200704 PAGE 1 OF 1 PAGES CONTRACTOR SSC Construction, Inc. DATE 11/30/08 ORIGINAL CONTRACT AMOUNT: $ 10,489,500.00 AUTHORIZED CHANGE ORDERS: 208,281.37 REVISED CONTRACT AMOUNT: 10,697,781.37 PROGRESS PAY ESTIMATE FOR PERIOD November 1, 2008 TO Novemb PREVIOUS THIS MONTH $ 9,685,587.551$ 140,715.051s $ 208,281.37 I $ - Is $ 9,893,868.92 I $ 140,715.051$ 50% of Electronic Wire Fees $ :r 30, 2008 TO DATE 9,826,302.60 208,281.37 10,034,583.97 501,729.20 150.00 VALUE OF WORK COMPLETED CHANGE ORDER WORK COMPLETED TOTAL VALUE OF WORK COMPLETED LESS RETENTION 5% LESS OTHER DEDUCTIONS NET EARNED TO DATE LESS AMOUNT PREVIOUSLY PAID BALANCE DUE THIS ESTIMATE NOTICE TO PROCEED June 18, 2007 COMPLETION TIME 487 CALENDAR DAYS APPROVED TIME EXTENSIONS 87 CALENDAR DAYS TOTAL CONTRACT TIME 574 CALENDAR DAYS TIME EXPENDED TO DATE 532 CALENDAR DAYS TIME REMAINING 42 CALENDAR DAYS REQUESTED BY: Ciint B , Asst Con rt oller; SSC Construction Inc. APPROVED BY: ?PL4't., 111 ~-1 1, John Whisenhunt, ons ruction anager, Butier Engineering AP-P-ROVED-BY- Kenne h R. Vecchiar Ili e ,Assistant General anager, YLWD $ 9,532,704,77 $ 9,399,025.47 $ 133,679.30 DATE: DATE: ( s / Z I6 pi DATF- / L 1,0fle) - ITEM NO. /.3 AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE BOARD Of DIRECTORS OF THE YORBA LINDA WATER DISTRICT To: Board of Directors From: Ken Vecchiarelli Assistant General Manager DEC 1 1 2008 , ' ~ ""o Staff Contact: Leon de los Reyes, Water Quality Engineer BY Steve Conklin, Contract Engineer 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. 7, and Change Order No. 1 for the Highland Reservoir Replacement Project SUMMARY: 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. Submitted for consideration are construction Progress Payment No. 7 and Change Order No. 1. DISCUSSION: In accordance with the contract documents, Schuler Engineering Corporation submitted a request for Progress Payment No. 7 for the period ending November 30, 2008. This progress pay request includes small percentage payments for shoring and sheet bracing, mobilization including project related office expenses and submittals, 26 % of electrical and instrumentation, 47% underground yard piping including piping connections to the Highland Booster Pump Station, and 24% of temporary tank related tasks such as tank #2 assembly, and overflow and drain piping structures. Moreover, in accordance with the contract documents, Schuler Engineering submitted Change Order No. 1 due to modifications and field-changed conditions encountered during the course of construction from June to October 2008. Change Order No. 1 comprises credits to the District for changed and deleted mobilization, office equipment deletions, material substitution and addition under the sloped portion of foundation, deletion and substitution of construction materials under the temporary tanks, and a credit to the District for payment of Schuler's geotechnical services cost due to the latter's delay in executing a geotechnical contract. In addition, it also includes: • a 4-inch diameter French-drain work, as recommended by our geotechnical engineer, to mitigate wet soil condition encountered around Temporary Tank No. 1, • a changed field condition related to the existing 30" Zone-1 pipeline connection. This eliminates the siphon design condition at 3.6 feet (about 360,000 gallons) reservoir water level, thereby increasing reliability and maximum use of reservoir capacity • encasement of the 30" storm drain due to its proximity to the Temporary Tank #1 • two air relief valves due to pipeline alignment changes in the bypass and meter vaults COPY See attached Summary of Change Order No. 1 for additional details regarding the items included in the change order. If further information is desired beyond that attached, a more detailed breakdown of items in the change order is available at the office of the staff contact for the project. 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, Change Order No. 1 adds $183,648.89 (a 2.03% cost increase) and 10 calendar days (a 1.37% time extension). • If approved, the revised construction contract amount is $9,232,994.89, and 740 calendar days. • If approved, Progress Payment No. 7 is $409,918.62 (4.5% of total contract amount less 10% retention of $40,991.86, for a net payment of $368,926.76 • If approved, total progress payments to date including retentions are $2,951,564.01 (32.6% of the total contract amount). • As of November 30, 2008, 182 calendar days were used (25% of the contract time). Staff and Carollo Engineers, the District's construction management consultant, reviewed the progress payment request, change order, and recommend payment and approval respectively. A copy of Progress Payment No. 7 and Change Order No. 1 are 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 construction budget in the amount of $11,200,000 for construction of the Highland Reservoir Replacement Project. The Board has approved six progress payments to date, the most recent of which was approved on November 12, 2008. STAFF RECOMMENDATION: Staff recommends the Board of Directors approve Progress Payment No. 7 in the net amount of $368,926.76 to Schuler Engineering Corporation and 10% retention of $40,991.86 deposited to Citizens Business Bank escrow account, and Change Order No. 1 for $282,102.89 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. 7 LOCATION Yorba Linda PROJECT NO. J- PAGE I OF 1 PAGES 200309 CONTRACTOR Schuler Engineering DATE Nov. 30,2008 ORIGINAL. CONTRACT AMOUNT: $ 9,049,346 AUTHORIZED CHANGE ORDERS: $ REVISED CONTRACT AMOUNT: $ 9,049,346 PROGRESS PAY ESTIMATE FOR PERIOD VALUE OF WORK COMPLETED CHANGE ORDER WORK COMPLETED TOTAL VALUE OF WORK COMPLETED LESS RETENTION 10% LESS OTHER DEDUCTIONS AMOUNT DUE THIS ESTIMATE 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 REQUESTED BY: APPROVED BY. APPROVED BY: November 1, 2008 PREVIOUS $ 2,541,645.391 $ $ - Is $ 2,541.645.391 $ June 2,2008 730 CALENDAR DAYS CALENDAR DAYS 730 CALENDAR DAYS 182 CALENDAR DAYS 548 CALENDAR DAYS zZI-A CAF~LLO-OWNER'S- REPRESENTATIVE YL D4-- TO November 30, 2008 THIS MONTH TO DATE 409,918.62 1 $ 2:951,564.01 -I$ - 409,918.62 1 $ 2;951,564.01 $ 295,156.40 $ 2,656,407.61 $ 2,287,480.85 $ 368,926.76 DATE: 61 l DATE: ///z b/0 DATE: /yI'G~r/'-' YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 1 DATE 11/26108 Page 1 of 2 CONTRACT NAME: Highland Reservoir CONTRACT AMT.: $ 9,049,346.00 DAYS: 730 Replacement CONTRACT NO.: J-200309 PREV. APPRVD. CHANGES: $ 0.00 DAYS: 0 CONTRACTOR: Schuler Engineering THIS CHANGE: $183,648.89 DAYS: 10 OWNER: Yorba Linda Water District REVISED CONTRACT $9,232,994.89 DAYS: 740 AMT: 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. DESCRIPTION OF CHANGES COP 1: Credit for Specification Section 01500 deletions and changes COP 6: Credit for Class II Base on slopes COP 9: Credit for deletion of ailed sand under TT1 & TT2 COR 2: French drain at TT1 due to possible reservoir leak COR 3: Potholing tie-in changes COR 8: SD lines near TT1 encasement COP 13: Geotechnical cost COP 15: Air relief valves @ Bypass & Meter vaults +INCREASE CONTRACT /OR TIME +EXTENSION ! - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT tai -$8,121.61 0 days -$9,172.00 0 days -$3,308.00 0 days $14,424.00 2 days $143,763.00 7 days $19,274.00 1 days -$3,010.50 0 days $29,800.00 0 days NET CHANGE $183,648.89 10 days REVISED CONTRACT AMOUNT AND TIME $9,232,994.89 7 40 days ~T~t/ 1 2 G-o y YORBA LINDA WATER DISTRICT CHANGE ORDER NO. r DATE 11/26/08 Page 2 of 2 The amount of the contract will be increased by the sum of $ 5183 648.89 and the contract time shall be Increased by ten (10) calendar days. The undersigned Contractor approves the foregoing Change drder 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 a d'rtional compensation, damages or time extensions, in connection with the above-referenced changes. c / v RECOMMENDED: Carollo Gl vim" Engineers DATE: ACCEPTED: Engineering DATE' Schuler Yorba Linda DATE: APPROVED: _ ?t1h,41 ~nater District Summary of Construction Change Order No. 1 Highland Reservoir Replacement Project COP 1: Credit for Specification Section 01500 deletion and changes ($8.121.61 credit) The contract documents require the contractor to provide computer and software credit, shared office trailer, and miscellaneous office equipment for use by construction management staff during construction. These were deleted from the requirements after award and a credit was provided by the contractor. COP 6: Replacement of Class II Base on Slopes ($9,172.00 credit) This is a substitution of Class II Base for Class II Permeable Base on the sloped portions of the foundation. It also requires the installation of filter/drainage fabric between the interface of the two base materials. COP 9: Credit for replacement of oiled sand under temporarv tank-1 (TT 1) and temporarv tank-2 (TT2) with crushed rock (53,308.00 credit) The Contractor (Schuler) suggested that 6" layer of oiled sand under the two temporary tanks be replaced with layer of 3/4" crushed rock, which was approved by the design engineer (Carollo). COR 2: French Drain at TT1 due to possible reservoir leak ($14,424.00 added cost) A gravel and perforated-pipe drain was required around the west side of TT-1 due to the wet soil condition encountered approximately 5 feet outside of the tank pad, believed to be caused by leakage from the existing reservoir. District geotech engineer (Leighton) reviewed the existing condition and made the recommendation. COR 3: Pipeline Tie-in Chanizes ($143,763.00 added cost) Based on the District's as-built pipeline information, the District's project engineer, Carollo, designed the reservoir discharge pipeline to the 30" Zone 1 pipeline connection with a depressed section or "siphon condition" in order to make available the full storage volume of the new reservoir. This is a standard, long-utilized design, if gravity-flow cannot be provided. The drawback of this design is if the siphon-flow condition is lost due to air in the line, the remaining water in the tank below the elevation of the siphon could not be drawn out for use. In this unlikely event for the new Highland Reservoir, 3.6 feet of water, approximately 360,000 gallons, would be left unusable until the siphon condition was re-established. After construction started, the contractor potholed the connection point and found that the existing pipeline was lower than indicated in the District's as-built plans. Following consultation with District staff and the contractor, the District's project engineer evaluated the new information and recommended lowering about 150 feet of pipeline to make the outlet a full gravity-flow condition, eliminating the siphon. This will improve reliability for use of the full 6-MG volume of the reservoir. 4 COR 8: Storm drain Lines near Temnorarv Tank-1 (TT 1) ($19.274.00 added cost) This change is for concrete encasement of two storm drain lines near TT1 due to their close proximity to the temporary tank. No encasement was called out in the original plans. COP 13: Geotechnical Costs ($3,010.50 credit) Credit for geotechnical engineering service costs paid by the District which have been determined to be the responsibility of the contractor. The issue of responsibility for these costs for additional services has been resolved. COP 15: Air Relief Valves at bvpass and meter vaults ($29,800.00 added cost) Due to existing conditions in the field, alignment changes at the meter vaults and the re- alignments of the bypass piping was required at existing pipelines south of the reservoir. These changed conditions required the addition of air relief valves at high points and changes in the meter vaults. NOTE: Detailed cost breakdowns are available for review. ITEM NO. /3 AGENDA REPORT - CORRECTED Board Meeting Date: December 11, 2008 To: Board of Directors From: Ken Vecchiarelli, Assistant General Manager Staff Contact: Leon de los Reyes, Water Quality Engineer Steve Conklin, Contract Engineer 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. 7, and Change Order No. 1 for the Highland Reservoir Replacement Project SUMMARY: 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. Submitted for consideration are construction Progress Payment No. 7 and Change Order No. 1. DISCUSSION: In accordance with the contract documents, Schuler Engineering Corporation submitted a request for Progress Payment No. 7 for the period ending November 30, 2008. This progress pay request includes small percentage payments for shoring and sheet bracing, mobilization including project related office expenses and submittals, 26 % of electrical and instrumentation, 47% underground yard piping including piping connections to the Highland Booster Pump Station, and 24% of temporary tank related tasks such as tank #2 assembly, and overflow and drain piping structures. Moreover, in accordance with the contract documents, Schuler Engineering submitted Change Order No. 1 due to modifications and field-changed conditions encountered during the course of construction from June to October 2008. Change Order No. 1 comprises credits to the District for changed and deleted mobilization, office equipment deletions, material substitution and addition under the sloped portion of foundation, deletion and substitution of construction materials under the temporary tanks, and a credit to the District for payment of Schuler's geotechnical services cost due to the latter's delay in executing a geotechnical contract. In addition, it also includes: • a 4-inch diameter French drain work, as recommended by our geotechnical engineer, to mitigate wet soil condition encountered around Temporary Tank No. 1, • a changed field condition related to the existing 30" Zone-1 pipeline connection. This eliminates the siphon design condition at 3.6 feet (about 360,000 gallons) reservoir water level, thereby increasing reliability and maximum use of reservoir capacity • encasement of the 30" storm drain due to its proximity to the Temporary Tank #1 • two air relief valves due to pipeline alignment changes in the bypass and meter vaults See attached Summary of Change Order No. 1 for additional details regarding the items included in the change order. If further information is desired beyond that attached, a more detailed breakdown of items in the change order is available at the office of the staff contact for the project. 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, Change Order No. 1 adds $183,648.89 (a 2.03% cost increase) and 10 calendar days (a 1.37% time extension). • If approved, the revised construction contract amount is $9,232,994.89, and 740 calendar days. • If approved, Progress Payment No. 7 is $409,918.62 (4.5% of total contract amount less 10% retention of $40,991.86, for a net payment of $368,926.76 • If approved, total progress payments to date including retentions are $2,951,564.01 (32.6% of the total contract amount). • As of November 30, 2008, 182 calendar days were used (25% of the contract time). Staff and Carollo Engineers, the District's construction management consultant, reviewed the progress payment request, change order, and recommend payment and approval respectively. A copy of Progress Payment No. 7 and Change Order No. 1 are 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 construction budget in the amount of $11,200,000 for construction of the Highland Reservoir Replacement Project. The Board has approved six progress payments to date, the most recent of which was approved on November 12, 2008. STAFF RECOMMENDATION: Staff recommends the Board of Directors approve Progress Payment No. 7 in the net amount of $368,926.76 to Schuler Engineering Corporation and 10% retention of $40,991.86 deposited to Citizens Business Bank escrow account, and Change Order No. 1 for $292,102.89 $183,648.89 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. 7 LOCATION Yorba Linda PROJECT NO, J- PAGE 1 OF 1 PAGES 200309 CONTRACTOR Schuler Engineering DATE Nov. 30,2008 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 AMOUNT DUE THIS ESTIMATE 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 REQUESTED BY: APPROVED BY: APPROVED BY: 9,049,346 9,049,346 November 1, 2008 TO !November 30. 2008 PREVIOUS THIS MONTH TO DATE $ 2,541,645.391 $ 409,918.62 $ 2,951,564.01 $ - Is - $ - $ 2,541,645,39 1 $ 409,918.62 $ 2,951,564.01 $ 295,156.40 $ 2,656,407.61 i~ $ 2,287,480.85 $ 368,926.76 June 2,2008 730 CALENDAR DAYS CALENDAR DAYS 730 CALENDAR DAYS 182 CALENDAR DAYS 548 CALENDAR DAYS ENGINEER1NG -ONTRACTC CARLLO-OWNER'S- REPRESENTATIVE Y DATE: DATE: ~r l DATE: X YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 1 DATE 11126/08 Page 1 of 2 CONTRACT NAME: Highland Reservoir CONTRACT AMT.: $ 9,049,346.00 DAYS: 730 Replacement CONTRACT NO.: J-200309 PREV. APPRVD. CHANGES: $ 0.00 DAYS: 0 CONTRACTOR: Schuler Engineering THIS CHANGE: $183,648.89 DAYS: 10 OWNER: Yorba Linda Water District REVISED CONTRACT $9,232,994.89 DAYS: 740 AMT. This Change Order covers changes to the subject contract as described herein. The Contractor shalt 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. DESCRIPTION OF CHANGES COP 1: Credit for Specification Section 01500 deletions and changes COP 6: Credit for Class II Base on slopes COP 9: Credit for deletion of oiled sand under TT1 & TT2 COR 2: French drain at TT1 due to possible reservoir leak COR 3: Potholing tie-in changes COR 8: SD lines near TT1 encasement COP 13: Geotechnical cost COP 15: Air relief valves @ Bypass & Meter vaults +INCREASE CONTRACT ! OR TIME +EXTENSION - DECREASE IN OR -REDUCTION CONTRACT (DAYS) AMOUNT -$8,121.61 0 days -$9,172.00 0 days -$3,308.00 0 days $14,424.00 2 days $143,763.00 7 days $19,274.00 1 days -$3,010.50 0 days $29,800.00 0 days NET CHANGE $183,648.89 10 days REVISED CONTRACT AMOUNT AND TIME $9,232,994.89 7 40 days YORBA LINDA WATER DISTRICT CHANGE ORDER NO. r DATE 11126/08 Page 2 of 2 The amount of the contract will be increased by the sum of $ $183 648.89 and the contract time shall be increased by ten (10 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 worts, 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: Caroilo Engineers DATE: ACCEPTED: Schuler DATE: j✓/ (J G ` Engineering APPROVED: Yorba Linda DATE: Water District j.;- c Summary of Construction Change Order No. 1 Highland Reservoir Replacement Project COP 1: Credit for Specification Section 01500 deletion and chanizes ($8,121.61 credit) The contract documents require the contractor to provide computer and software credit, shared office trailer, and miscellaneous office equipment for use by construction management staff during construction. These were deleted from the requirements after award and a credit was provided by the contractor. COP 6: Replacement of Class II Base on Slopes 69,172.00 credit) This is a substitution of Class II Base for Class II Permeable Base on the sloped portions of the foundation. It also requires the installation of filter/drainage fabric between the interface of the two base materials. COP 9: Credit for replacement of oiled sand under temporarv tank-1 (TT1) and temporarv tank-2 (TT2) with crushed rock ($3.308.00 credit) The Contractor (Schuler) suggested that 6" layer of oiled sand under the two temporary tanks be replaced with layer of 3/4" crushed rock, which was approved by the design engineer (Carollo). COR 2: French Drain at TT1 due to possible reservoir leak ($14,424.00 added cost) A gravel and perforated-pipe drain was required around the west side of TT-1 due to the wet soil condition encountered approximately 5 feet outside of the tank pad, believed to be caused by leakage from the existing reservoir. District geotech engineer (Leighton) reviewed the existing condition and made the recommendation. COR 3: Pipeline Tie-in Changes ($143.763.00 added cost) Based on the District's as-built pipeline information, the District's project engineer, Carollo, designed the reservoir discharge pipeline to the 30" Zone 1 pipeline connection with a depressed section or "siphon condition" in order to make available the full storage volume of the new reservoir. This is a standard, long-utilized design, if gravity-flow cannot be provided. The drawback of this design is if the siphon-flow condition is lost due to air in the line, the remaining water in the tank below the elevation of the siphon could not be drawn out for use. In this unlikely event for the new Highland Reservoir, 3.6 feet of water, approximately 360,000 gallons, would be left unusable until the siphon condition was re-established. After construction started, the contractor potholed the connection point and found that the existing pipeline was lower than indicated in the District's as-built plans. Following consultation with District staff and the contractor, the District's project engineer evaluated the new information and recommended lowering about 150 feet of pipeline to make the outlet a full gravity-flow condition, eliminating the siphon. This will improve reliability for use of the full 6-MG volume of the reservoir. COR 8: Storm drain Lines near Temvorarv Tank-1 (TT1) ($19,274.00 added cost) This change is for concrete encasement of two storm drain lines near TT1 due to their close proximity to the temporary tank. No encasement was called out in the original plans. COP 13: Geotechnical Costs ($3.010.50 credit) Credit for geotechnical engineering service costs paid by the District which have been determined to be the responsibility of the contractor. The issue of responsibility for these costs for additional services has been resolved. COP 15: Air Relief Valves at bvoass and meter vaults ($29,800.00 added cost) Due to existing conditions in the field, alignment changes at the meter vaults and the re- alignments of the bypass piping was required at existing pipelines south of the reservoir. These changed conditions required the addition of air relief valves at high points and changes in the meter vaults. NOTE: Detailed cost breakdowns are available for review. ITEM NO. _Iq AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE BOARD Of DIRECTORS To: Board of Directors OF THE YORBA LINDA WATER DISTRICT DEC 1 1 2008 From: Ken Vecchiarelli, Assistant General Manager Staff Contact: Steve Conklin, Consulting Engineer BY Leon de los Reyes, Water Quality Engineer Reviewed by General Counsel: No Budgeted: Yes Total Budget: $ 1.2M Funding Source: Water Revenue Bond CEQA Account No: 101-2700 Job No: 200813 Compliance: N/A Estimated Costs: $ 71,150 Dept: Eng Subject: Contract with General Pump for Rehabilitation of Well No. 12 SUMMARY: As part of the District's plans to restore and maximize the full potential of its groundwater production capabilities to its service area, bids were received for the cleaning and redevelopment of Well No. 12. Following an evaluation of the two bids received, staff recommends award to General Pump Company, Inc., at a cost of $71,150. DISCUSSION: As previously reported to the PEO Committee, the District is experiencing diminishing productivity from some of its wells and an overall drop in the combined production capability due to the age, physical characteristics and configuration of the wells. This condition is exacerbated by lower pumping water level in the groundwater basin. The District is addressing this issue through its Well Optimization Plan. As a first step, Well No. 11 has been redeveloped and provided with a new 1600-gpm capacity pump, replacing the former 2000-gpm pump. Well No. 11 is operating very well at 1600 gpm. Thereafter, Well No. 12, which was operating with cascading water into the casing, was removed from service and the casing was examined by video-camera. The video was reviewed by staff of the District and by CDM the District's consultant. The inspection indicated that the casing was in good shape and a redevelopment plan was recommended by CDM. The District solicited bids for redevelopment from two firms that are experienced and qualified to perform this type work. The bids are as follows: General Pump Company: $71,150 Layne Christensen Company: $82,500 District staff reviewed the bids and recommends award to General Pump Company for $71,150. A copy of the bid by General Pump Company is attached. PRIOR RELEVANT BOARD ACTION(S): September 11, 2008: Approve Professional Service Agreement with Camp, Dresser & McKee, Inc. in the amount not to exceed $54,390 to provide hydrogeologic and support engineering services for optimization study and assistance for the District's water production wells. COPY STAFF RECOMMENDATION: That the Board of Directors authorize the General Manager to execute a Purchase Order with General Pump Company, Inc., in the amount not to exceed $71,150, to provide well redevelopment and testing of Well No. 12. COMMITTEE RECOMMENDATION: The Planning-Engineering-Operations Committee discussed this item at its meeting held December 4th and supports staff's recommendation. Yorba Linda Water District Well No. 12 Bid Sheet Item 2 3 4 5 6 7a. 7b 8 9 demobilization including site Unit Price Total Price Project mobilization and l Lump Sum ja p Description Estimated Un Quantity cleanup. Furnish and maintain system to achieve NPDES compliance including neutralizing acid and laboratory analyses. Provide description of your proposed system. Furnish and install by swabbing pre-mixed sulfamic acid solution into perforated casing intervals per manufacturers directions. Wire brush well casing from top to bottom Bail or airlift fill from bottom of well Mechanical development with double swab while simultaneously airlifting Furnish, install and demobilize pump equipment for well development and test pumping. Pump shall be equipped with an open ended deep suction set at approximately 240 feet and with a packer above the bowls at approximately 115 feet. Furnish, install and demobilize pump equipment for well , development and test pumping. Pump shall be equipped with an open ended deep suction set at approximately 420 ft-:i and with a packer above the bowls at approximately 1] 5 feet. Conduct pumping development (by surging and pumping ) with pump with packer not inflated. Conduct constant discharge pumping. i 1 8 4 40 1 40 8 +O~ Lump Sum T1 op 0 " CgjODo $ Lump Sum 3 5 5- 0 $,3!55c)- Hours $ 3700- Hours 00 $ i 2pp - Hours :2 00 $ (a oa p - Lump Sum `01' 0 o,a $ 1 91 OUO Lump Sum 3 5 U o, $ 315oa- Hours a v 0 $ BU o O- Hours A oo $ 1600 - C:\Documents and Settings\bbrunel.GENPUMP\Local Settings\Temporary Internet Files\Cbntent.Outlook\02WPKGPB\Well 12 Bid Form.x1s\Sheet1 Yorba Linda Water District 6e=7 c Well No. 12 Bid Sheet P14 AF Item Description Estimated Units Unit Price Total Price Quantity 10 Conduct pumping with pump 8 Hours O Kp $ 1(006- with packer inflated. Monitor pressures both above and below packer during pumping. I Conduct video camera survey. I l Lump Sum ( 00 0 I$ 10 oo - Total $ .71,156 Mobilization shall include but not be limited to providing all equipment necessary for the project including compressor, neutralization trailer or tank, pipe and toilet rentals. Provide rossum sand tester. Pumping rate 2,000 gpm The rehabilitation should include the introduction of sulphamic acid by swabbing (mechanical development). The entire casing should be swabbed with additional swabbing in the perforated intervals so that the acid is forced into the formation. The dosage of acid should follow the manufacturer's recommendations. The bottom of the deep suction will be equipped with perforations and placed in a blank section of the well to reduce turbulence (226 to 253 feet and 340 to 483 feet) Prevailing wage rate required. C:Oocunnents and Settings\bbrunel.GENPUMP\Local Settings\Temporary Internet Files\Content.0utlook\02WPKGP8\Well 12 Bid Fornn.xls\Sheet1 • Yorba Linda Water District R Z u Well No. 12 Bid Sheet 6 f 1 s~ Item Description I Estimated Units Unit Price Total Price Quantity I Project mobilization and 1 Lump Sum $ 5,000 $ 5,000 demobilization including site cleanup. 2 Fumish and maintain system to 1 Lump Sum $ 9,220 $ 9,220 achieve NPDES compliance including neutralizing acid and laboratory analyses. Provide description of your proposed system. 3 Furnish and install by swabbing 1 Lump Sum $ 9,200 $ 9,200 pre-mixed sulfamic acid solution into perforated casing intervals per manufacturers directions. 4 Wire brush well casing from top 8 Hours $ 290 $ 2,320 to bottom 5 Bail or airlift fill from bottom of 4 Hours $ 290 $ 1,160 well 6 Mechanical development with 40 Hours $ 375 $ 15,000 double swab while simultaneously airlifting 7a Furnish, install and demobilize I Lump Sum $ 12,900 $ 12,900 pump equipment for well development and test pumping. Pump shall be equipped with an open ended deep suction set at approximately 240 feet and with a packer above the bowls at approximately 115 feet. 7b Furnish, install and demobilize 1 Lump Sum $ 12,900 $ 12,900 pump equipment for well development and test pumping. Pump shall be equipped with an open ended deep suction set at approximately 420 feet and with a packer above the bowls at approximately 1 15 feet. 8 Conduct pumping development 40 Hours $ 250 $ 10,000 (by surging and pumping ) with pump with packer not inflated. 9 Conduct constant discharge 8 Hours $ 250 $ 2,000 pumping. 10 Conduct pumping with pump 8 Hours $ 250 $ 2,000 with packer inflated. Monitor pressures both above and below packer during pumping. (Conduct video camera survey. 1 1 I Lump Sum 1 $ 800 1 $ 800 Total) I $ 82,500 Mobilizatio n shall include but not be limited to providing all equipment necessary for the project including compressor, neutralization trailer or tank, pipe and toilet rentals. Provide rossum sand tester. Pumping rate 2,000 gpm 1.\,,.,,..\.,..-1 vi'-m~ nnn-r l nnnlU dinmenN\1I,Iin~innmlTpm...-Int-at Wii-\01 ViA*AFNNO1119 Rid Fnrm\RhaPtl Yorba Linda Water District Well No. 12 Bid Sheet Item Description I Estimated Units Unit Price Total Price Quantity The rehabilitation should include the introduction of sulphamic acid by swabbing (mechanical development). The entire casing should be swabbed with additional swabbing in the perforated intervals so that the acid is forced into the formation. The dosage of acid should follow the manufacturer's recommendations. The bottom of the deep suction will be equipped with perforations and placed in a blank section of the well to reduce turbulence (226 to 253 feet and 340 to 483 feet) Prevailing wage rate required. v. Inlgmat Files\OLK143F\Well 12 Bid Form\Sheetl ITEM NO. AGENDA REPORT Board Meeting Date: December 11, 2008 APPROVED BY THE BOARD OF DIRECTORS To: Board of Directors OF THEYORBALINDAWATER DISTRICT DEC 1 1 2008 From: Ken Vecchiarelli, Assistant General Manager A Staff Contact: Joe Polimino, Project Engineer BY Steve Conklin, Engineering Consultant Reviewed by General Counsel: N/A Budgeted: Yes Total Budget: $ 1.5 Million Funding Source: All Water Funds CEQA Account No: 101-2700 Job No: 200710 Compliance: Exempt Estimated Costs: $ 43,125 Dept: Eng Subject: Amendment No. 1 to Consultants Agreement with Psomas for Zone 4C Reconfiguration Project SUMMARY: Design plans for the Zone 4C Reconfiguration Project are nearing completion. In a recent design-review meeting, staff took a closer look at the existing San Antonio Pressure Reducing Station (PRS) through which water will be fed to the reconfigured zone. It was determined that an upgrade of the 27-year-old PRS would be appropriate. Psomas, the District's design consultant for the project, was asked to provide a proposal to expand its services to include design of upgrades to the PRS. District staff reviewed the proposal by Psomas and recommends award of Amendment No. 1 in the amount of $43,125. DISCUSSION: The Zone 4C Reconfiguration Project was conceived to raise the hydraulic grade line from 675 to 706 to solve low-pressure problems in three separate areas, totaling 120 homes. Psomas, the District's design consultant for the project, is completing 100% design plans for review, consisting of pipeline and valve improvements. It is anticipated that the project will be advertised for bidding in late December 2008, with construction complete by December 2009. The new Zone 706 (4C) is supplied through the existing San Antonio PRS, which was constructed in 1981. In a recent meeting, staff reviewed the adjustments necessary in the existing PRS to serve the new, smaller Zone 706. It was determined that the best approach would be to upgrade the 27-year-old facility to current District design standards. This would include new pressure-reducing valves, full-size access hatch, forced-air ventilation, lighting, and controls to allow remote monitoring of pressure and flow. An important goal of the PRS upgrade would be to complete the design and replacement of the valves and appurtenances in the existing vault by the completion date of the Zone 706 pipeline work, planned for December 2009. That is, the PRS upgrade project would have its own design, bidding and construction with completion by December 2009. At the District's request, Psomas provided a proposal to expand its project design services to include the upgrade of the San Antonio PRS. The proposal included a realistic and achievable COPY project schedule for construction completion by December 2009. The proposal for services includes the following: Additional $40,465 for the design phase, including plans, specifications and estimate for the PRS upgrade project. Additional $2,660 for bidding-phase assistance, including attendance in the pre-bid meeting, preparation of addendums and bid evaluation assistance. District staff reviewed the proposed services, staff-hours and fee and believe that they are appropriate for the work required. Staff recommends authorization of Amendment No. 1 in the amount of $43,125 for additional design services and bid-phase assistance, to upgrade the existing San Antonio PRS as part of the Zone Reconfiguration Project. This would bring the total for design and bid-phase services to $156,801. PRIOR RELEVANT BOARD ACTION(S): On June 28, 2007, the Board of Directors adopted Budgets for Fiscal Years 2007/08 and 2008/09 and approved the Current Five Year Capital Improvement Plan for FY 2007-2012. On September 13, 2007, the Board of Directors authorized staff to modify the Current Five Year Plan Capital Improvement Projects List and the Adopted Budget for Fiscal Years 2007-2009 by adding the Zone 4 Reconfiguration Project for the Twin Peaks Area of East Lake Village. On March 13, 2008, the Board of Directors received and filed the Zone Reconfiguration Study for Areas 1, 2 and 3 prepared by RBF Consulting and authorized staff to solicit proposals for the design of the combined projects identified as Alternative Six in this study. On May 15, 2008, the Board of Directors authorized the President and Secretary to execute a Professional Services Agreement with Psomas for a fee not to exceed $113,676 to provide design and bid services for the Zone Reconfiguration and Sub Zone Extension Projects, Job Nos. 200220 and 200710. STAFF RECOMMENDATION: That the Board of Directors authorize Amendment No. 1 to the Consultants Agreement with Psomas, in the amount of $43,125 for additional work to provide design services and bid assistance for upgrades to the San Antonio PRS, in conjunction with the Zone Reconfiguration Project, Job No. 200710. COMMITTEE RECOMMENDATION: The Planning-Engineering-Operations Committee discussed this item at its meeting held December 4th and supports staff's recommendation. Balancing the Natural and Built Environment November 20, 2008 Mr. Joe Polimino Project Engineer YORBA LINDA WATER DISTRICT 1717 E. Miraloana Avenue Placentia, CA 92870 Subject: Proposal for Professional Design Services San Antonio Pressure Reducing Station Upgrade Project Dear Mr. Polimino: We are pleased to submit this Proposal for Professional Design Services to the Yorba Linda Water District (District) for the San Antonio Pressure Reducing Station Upgrade Project. PROJECT UNDERSTANDING Psomas is currently preparing plans, specifications, and bidding documents for the Zone Reconfiguration for Areas 1, 2, and 3 Water System Improvements Project. The San Antonio Road Pressure Reducing Station (PRS) is located in Area 1 approximately 1,000 feet north of the intersection of Yorba Linda Boulevard and San Antonio Road. Adjustment of the downstream pressure setting in the San Antonio Road PRS to raise the downstream H GL from 675 to 706 is critical to the success of the zone reconfiguration project. This adjustment of the downstream I-IGL, along with piping and valve improvements in the distribution system, will improve service in areas currently experiencing low water pressure. Additionally, installation of check valves and isolation valves in the zone reconfiguration project will change the limits of the distribution system served by the San Antonio PRS, thereby reducing maximum day demands served by the PRS. Fire flow demands will remain consistent with the District's water master plan requirements. 3187 fled Hill Avenue Suite 250 Costa Mesa, CA 92626 Tel 714.751.7373 Fax 714.545.8883 v.V,w.psornas corn P S O M A S Yorba Linda Water District Page 2 Mr. Polimino November 20, 2008 The San Antonio PRS was constructed in 1981 using contemporary District standards, including ladder access through a manhole, two large PRVs and one small PRV in parallel, and a pressure relief valve. Power and telemetry is not available at tile PRS vault. The District desires to upgrade the San Antonio PRS to meet current design standards and replace piping, valves, and equipment in sizes and configurations appropriate to serve the new flows and pressures proposed in the zone reconfiguration project. It is proposed to replace the three existing parallel PRVs with two new parallel PRVs. Power and communications upgrades will be constructed to provide lighting, forced air ventilation, intrusion detection, and SCADA signals for rernote monitoring. PROJECT APPROACH Base Drawings We will use District provided record drawings supplemented with site visits to prepare a base drawing of the existing mechanical equipment (plan and section) and the existing improvements in the immediate vicinity of the vault, including the manhole access, curb, gutter, vent pipes, pressure relief discharge piping, and other utilities and improvements visible on the ground surface. Calculations The District will provide water model information to include average day, maximum day, peak hour, and fire flow demands through the San Antonio PRS. Upstream and downstream HGLs of 780 feet and 706 feet, respectively, will be used in the PRV hydraulic calculations. We will recommend a combination of sizes for two new PRVs in parallel to handle the expected range of flows from the lowest demands to fire flow demands. Although cavitation is not expected to be an issue with pressure downstream of the PRVs at about 70 psi and a relatively small pressure drop across the valves, we will run calculations to determine if anti-cavitation trim should be included with the new PRVs. The PRVs will include flow measuring trim. Vault and Mechanical Design The District has stated the following design features and vault modifications are desired: ► Remove all existing valves, piping, and fittings inside the vault to the wall flanges; ► Clean and recoat the existing wall flanges and pipes penetrating the vault walls; P S O M A S Yorba Linda Water District Mr. Polimino Page 3 November 20, 2008 ► Install two new Cla-Val pressure reducing valves of the sizes needed for the proposed flow ranges; ► Pressure reducing valves to include flow measuring capabilities; ► Install ductile iron pipe and fittings per current District standards, including Victaulic couplings and gate valves (as seen at the Trentino PRS); ► Maintain existing pressure relief valve and piping; ► Remove the existing manhole access and provide non-traffic rated hatch with recessed padlock hasp (hatch will be single leaf or double leaf depending on size); ► Install Lapeyre stair for station access (similar to stairs at the Lakeview flow control station); ► Provide power to this station for; o Lighting (automatic on when hatch is open) o Ventilation fan (automatic on when hatch is open) o SCADA ► Provide SCADA to include the following equipment and signals; o PLC o RTU o Pressure transducers with local digital readouts and transmitters to provide signal for pressure upstream and downstream of PRVs o Flow measurement through each PRV o Intrusion alarm Electrical/SCADA Design Moraes/Pham & Associates, our electrical subconsultant, will provide plans for the installation of power at the existing station. The plans will include a control sheet to show I/O wiring and Cla-Val control block diagrams. The electrical system will include wiring for lights, a ventilation fan and intrusion alarm. The lights and fan will be designed to turn on when the vault hatch is opened. Detailed RTU drawings are not required and therefore not included iii the scope of work. P S O M A S Yorba Linda Water District Page 4 Mr. Polimino November 20, 2008 The District standard SCADA configuration is Wonderware software on Modicon PLCs. PLC programming will be provided by the District and/or third party services and is not a part of this contract. A new electrical meter pedestal, an electrical panel, and a SCADA panel will be constructed behind the curb in the landscaping in the vicinity of the PRS vault. Traffic Control Design Work at the PRS vault will require removal of a small length of curb and AC pavement along San Antonio Road, as well as staging of materials and equipment in the "parking lane". Depending on the location of nearby power and telephone improvements, trenching along the gutter and/or across San Antonio might be required. The City has stated traffic control plans will be required for construction. We recommend requiring the Contractor to prepare traffic control plans and submittals to the City for encroachment permitting. We have not included preparation of traffic control plans in the scope of work for this project. The location of the City of Yorba Linda right-of-way and the status of existing District casements at the San Antonio PRS are currently unknown. The area behind the existing curb at the PRS is landscaped and includes a slope with ice plant and mature trees. Work at the PRS vault will include limited excavation and materials and construction equipment staging within City of Yorba Linda right-of-way, requiring a construction encroaclunent permit. Work to construct underground power and communications lines to the PRS from remote facilities will require an encroachment permit for trenching parallel with and/or across San Antonio Road. The plans and specifications will require the Contractor to prepare and submit all encroachment permit application to the City of Yorba Linda and obtain the permit prior to construction. Construelion flan Sheets Following is a list of the construction plan sheets we anticipate for this project: 1 Title Sheet 2 General Notes, Vicinity & Location Maps 3 Standard Symbols, Abbreviations, Basis of Bearing and Bench Mark 4 Demolition Plan 5 Site Plan and Vault Modifications 6 Hatch Structural Plan and Details PS O M A S Yorba Linda Water District Mr. Polimino 7 Mechanical Plan and Section 8 Miscellaneous Details 9 Electrical Symbols and Standard Abbreviations 10 Electrical Plans 11 Electrical Schedules/Details 12 Controls SCOPE OF SERVICES Psomas will provide the following scope of services: 1.0 Design Phase Page 5 November 20, 2008 1.1 Records Research - Perform a thorough review of available record drawings, reports, and operating data obtained from YLWD, the City of Yorba Linda and other utility owners listed on the Dig Alert website. 1.2 Calculations - Perform hydraulic calculations for the pressure reducing valves and piping to determine sizes for the desired range of flows and to check for the risk of cavitation. Perform structural calculations for the vault roof modifications and installation of a new hatch and frame. Calculate desired air turnover rate and size a ventilation tan for the vault. 1.3 Base Dra►t,ings - Create AutoCAD base drawings at a scale of 1/2"=1' using all available vault and utility record drawing information supplemented with site visits. 1.4 50% Design Submittal - Prepare 50% design construction plans showing the preliminary vault mechanical and structural design. Plans will be provided at 1/2"=1' scale in plan and section views. We will provide five (5) sets of the 50% design plans for District review. 1.5 90% Design Submittal - Prepare 90% design submittal incorporating District plan review comments, structural, and electrical design. Plans will be provided at a horizontal scale of 1/2"=1'. Five (5) sets of project bid documents, technical specifications and preliminary construction cost estimate will be submitted with the 90% plans for District review and comment. PSOMAS Yorba Linda Water Disn ict Mr. Polimino Page 6 November 20, 2008 1.6 100% Design Subndflal - Incorporate District's final review comments and submit five (S) sets of 100% construction plans, contract documents, tecluiical specifications and construction cost estimate for District acceptance. 1.7 Final Deliverables - Deliver signed/sealed mylar drawings, final bid documents and compact disk containing all documents in AutoCAD (latest version) and MS Word for use in construction bidding. Reproduction of construction documents for bidding purposes is not included. 1.8 Project Management and jUeelings -Provide project management to ensure adherence to the project schedule and budget and to document all communication between Psomas and the District. Psomas will conduct and document meetings at project kick-off, 50% and 90% design review submittals. Agendas and minutes will be prepared for all meetings. 1.9 Permit Assistance - Standard City of Yorba Linda permit conditions will be included in the final contract documents and will require the Contractor to obtain the encroaclvnent permit. Plan submittals to the City during design are not included in the scope of work. 2.0 Bid Phase 2.1 Attend Pre-Bid RVleeling - Assist the District by attending the project pre-bid meeting. 2.2 Prepare Addenda - Assist the District by preparing any required addenda to clarify the construction documents. 2.3 Bid Evaluation Assistance - Assist the District in review and evaluation of the contractor bids. Project Schedule Since the Zone Reconfiguration and San Antonio PRS Upgrade projects are hydraulically related, it is important to coordinate the construction period of both projects to the same time frame. We have prepared a project design schedule attached as Figure 1, which includes the schedule for both projects. We are available to begin work on the project immediately after receiving the notice-to-proceed from the District. P S O M A S Yorba Linda Water District Page 7 Mr. Polimino November 20, 2008 Labor flour.v and Fee We propose to provide engineering services to complete the work as discussed above on an hourly basis with the total fee not to exceed that shown in Tcible I attached. Our Fee Table lists the subject project as Variance No. 1 and shows the estimated labor hours and fees by task and total fee. The fee is computed based on our Standard Hourly Rates in effect at the time services are rendered. Our current Standard Hourly Rate Schedule is also attached as Table 2. In addition to specific exclusions stated previously, this proposal does not include preparation of SCADA programming and integration, geotechnical studies, traffic control plans, easement legal descriptions, surveying, potholing, construction phase services, record drawings, and other services not specifically stated herein. If you have any questions, please do not hesitate to call me at 714-481-8061. Sincerely, PSOMAS lt,~rov ~ , ~ Vernon R. Weisman, P.E. Senior Project Manager VRW:NC:vs Encl. 2008-I I-I8_YILWD_iir prpsl_VW-NG.doc FIGURE 1 YORBA LINDA WATER DISTRICT Design Services—Zone Reconfiguration for Areas 1,2,and 3 Water System Improvements Project and San Antonio Road PRS Upgrade Project Schedule Task Name Duration Start Finish 6/08 7/08 8/08 9/08 10/08 11/08 12108 1/09 2/09 3/09 4/09 5/09 6109 7109 8/09 9109 10/09 11109 Variance No.1-San Antonio Road PRS Upgrade 216 days Thu 12/11108 Thu 1018109 Notice to Proceed 1 day Thu 12/11/08 Thu 12111/08 12/11 Prepare 50%Design Plans 20 days Fri 12/12/08 Thu 1/8/09 District Review of 50%Design Plans 5 days Fri 1/9/09 Thu 1/15/09 Prepare 90%Design Plans 17 days Fri 1/16/09 Mon 2/9109 District Review of 90%Design Plans 10 days Tue 2/10/09 Mon 2/23/09 Prepare 100%Design Documents 10 days Tue 2/24/09 Mon 319/09 District Review of 100%Design Docs 5 days Tue 3/10/09 Mon 3/16/09 Submit Final Mylars&Contract Docs 5 days Tue 3/17/09 Mon 3/23/09 Bid Period 28 days Tue 3/24/09 Thu 4/30/09 Contract Award 10 days Fri 5/1/09 Thu 5/14/09 Construction Period 105 days Fri 5/15/09 Thu 1018/09 P S 0 M A S Task 0 Milestone G Notice to Proceed 0 TABLE 1 YORBA LINDA WATER DISTRICT Zone Reconfiguration Project Estimated Labor Hours and Fees D1 UMMM Scope of Work Tasks .Labor Haas o Fee 1.0 Design Phase 1.1 Utility Research 0 i 2 12 4 2 21 $2,526 so s0 s0 =220 $_2,746 1.2 Aerial Topographic Mapping 0 1 2 0 4 0 7 $934 $15,270 $0 s0 $1,900 $18,104 1.3 Prepare Street and Utility Base Mapping _ 0 2 16 8 80 16 122 $14,532 $0 $0 $0 $0 $14,532 _ 1.4 Prepare Preliminary Design(50%)Plans 2 18 36 24 40 60 178 $21,528 $0 s0 s0 $110 $21,638 1.5 Prepare 90%Plans,Specifications and Estimate 4 12 40 16 40 60 172 $20,864 $0 s0 s0 $220 $21,084 1.6 Prepare 100%Plans,Specifications and Estimate 1 8 24 8 16 16 73 $9,372 $0 s0 s0 $220 $9,592 1.7 Provide Final Deliverables 0 2 8 2 4 16 32 $3,710 $0 s0 $0 $110 _$3,820 1.8 Project Management and Meetings 2 8 12 0 0 0 22 $3,512 $0 s0 so $-to $3,622 1.9 Permit Assistance 0 0 4 12 0 0 16 $1,980 s0 s0 SO $0 $1,980 Subtotal Task 1.0 9 50 144 82 188 170 643 $78.958 $15,270 $0 $0 52.890 $97.118 2.0 Bid Phase _ 2.1 Attend Pro-Bid Meeting 0 2 2 0 0 0 4 $636 s0 $0 $0 $o $636 2.2 Prepare Addendum 0 2 8 0 2 0 12 $1,736 s0 $0 $0 $0 57,738 2.3 Assist in Evaluation of Bids 0 1 2 0 0 0 3 $462 $0 $0 $0 so $482 Subtotal Task 2.01 C 5 12 0 $2.834 so so so so 52,814 1.0 Potholing Services 3.1 Potholing of Existing Utilities at C Locations 0 0 2 0 2 0 4 $524 $0 $13,200 EO EO ;$1 724 2 0 2 0 5524 $0 $13.200 $0 So ,724 Variance No.1-San Antonio Road PRS Upgrade 1-1-Design Phase VI-1.1 Utility Records Research 0 0 0 4 0 0 4 $468 $0 $0 $0 $220 $692 V1-1.2 Perform Hydraulic and Structural Calculations 0 1 16 0 0 0 17 $2,478 $0 so s0 $0 $2,478 Vi-1.3 Site Visit/Prepare Base Mapping 0 0 4 0 4 16 24 $2,552 $0 $0 s0 s0 $2,552 V1-1.4 Prepare Preliminary Design(50%)Plans 0 2 8 0 8 12 30 $3,572 $0 $0 $1,650 $165 $5,387 V1-1.5 Prepare 90%Plans,Specifications and Estimate 0 4 24 0 12 32 72 $8,576 $0 $0 $6,050 $220 $14,846 V1-1.6 Prepare 100%Plans,Specifications and Estimate 0 2 10 0 8 20 40 $4,612 $0 so $3,190 $220 $81022 V1-1.7 Provide Final Deliverables 0 2 2 0 4 8 16 $1,860 $0 $0 $0 $220 $2,080 V1-1.8 Project Management and Meetings 2 4 10 0 0 0 16 $2,528 $0 $0 $0 $55 $2,599 V1-1.9 Permit Assistance 0 1 4 8 0 0 13 $1,686 $0 $0 $0 $110 $1,809 Sub-ToW Task VIA 2 16 78 12 36 88 232 $28,332 $0 s0 $10,890 $1,210 $40,465 V1.2-Bid Phase V7-2.1 Attend Pre-Bid Meeting 0 2 2 0 0 0 4 $636 $0 $0 $0 $0 $636 V7-2_2'Prepare Addendum _ 0 1 8 0 2 0 11 $1,562 $0 $0 $0 s0 $1,562 VI-2.3 Assist in Evaluation of Bids 0 1 2 0 0 0 3 $462 $0 $0 $0 $0 $462 Sub-Total Task V1.2 0 4 12 0 2 0 18 $2,660 $0 $0 $0 EO 52,660 Subtotal Valiance No.1 2 20 12 0 2 0 18 $30,992 $0 $O $10,890 51.210 $43,125 Total Estimated Hours and Fee 1 11 75 170 82 194 170 684 1 $113,308 $15,270 $13,200 $10,890 $4,100 $156,801 P.I.C.-Principal In Charge 6 DA/QC($1961hr) Pothole(Underground Solutions) P.M.-Project Manager($174(hr) Electrical(Momes/Pham) P.E.-Project Engineer(f144/hr) S.E.-Staff Engineer($1171hrc) CADD-Lead CAD Designer($11 Mr) Des-Designer(f941hr) Psomas TABLE 2 HOURLY RATE SCHEDULE For services by Psomas Effective through December 31, 2008 Water and Wastewater Engineering Services $ 65-$ 85 Administrative Assistant $ 65-$ 90 Engineering Assistant $ 70 - $100 CAD Designer $ 80 - $120 Lead CAD Designer $ 80 - $125 Civil Engineer Designer $ 90 - $130 Professional Engineer/Surveyor $120-$160 Project Engineer/Project Surveyor/Senior Environmental Scientist $120-$195 Senior Project Engineer $150-$190 Project Manager $165-$230 Senior Project Manager, QA/QC Manager, Principal-In-Charge $210-$235 Two-Man Survey Crew • Standard computer and technology costs are incorporated into these hourly rates, as well as direct labor, overhead, fringe benefits and fee. • Survey and other specialty equipment will be charged at a per unit per day rate. • Expert witness testimony is two times the normal rate. • Per Diem is calculated at current State Department of Transportation rates (or other appropriate Agency rate). Reimbursables Mileage at $0.585 per mile (or current IRS allowable rate) and parking expenses incurred by office employees are charged at cost. Prints, plots, messenger service, subsistence, air travel, and other direct expenses will be charged at cost plus ten percent. The services of outside consultants will be charged at cost plus fifteen percent. ITEM NO. AGENDA REPORT APPROVED BY THE BOARD OF DIRECTORS Board Meeting Date: December 11, 2008 OF THE YORBA LINDA WATER DISTRICT To: Board of Directors DEC 1 1 2008 From: Ken Vecchiarelli, Assistant General Manager BY Staff Contact: Leon de los Reyes, Water Quality Engineer Reviewed by General Counsel: Pending Budgeted: Yes Total Budget: $ 3.2M Funding Source: Water Revenue Bond CEQA Account No: 101-2700 Job No: 200711 Compliance: Assessment Pending Estimated Costs: $550.00 Dept: Eng Subject: License Agreement with Orange County Water District for Access to Warner Basin Complex to Collect Water Quality Samples SUMMARY: The District is required by the State Department of Public Health (DPH) to collect and analyze water quality samples from Orange County Water District's (OCWD's) Conrock Basin. OCWD requires the execution of a License Agreement in order to access its property for sample collection. DISCUSSION: As part of the District's long-term goal of increasing groundwater production, efforts continue to gain approval to construct a second well at the site of Well No. 11, near to OCWD's Conrock Basin. Per DPH requirements, the District must perform a series of water quality tests on Well No. 11 and on nearby surface-water bodies, including the Santa Ana River and Conrock Basin. OCWD requires the execution of a License Agreement, documentation of insurance and payment of a license fee of $550 in order to access its property for sample collection. A copy of the License Agreement is attached. Staff has reviewed the agreement and recommends approval. PRIOR RELEVANT BOARD ACTION(S): September 11, 2008: Authorize a Professional Service Agreement with Camp, Dresser & McKee, Inc. in the amount of $179,500 for hydrogeologic services to evaluate two potential well sites, provide well-hole design, specifications, observation and inspection services for two new groundwater wells. STAFF RECOMMENDATION: That the Board of Directors authorize execution of the License Agreement with Orange County Water District for access to the Warner Basin Complex to collect water samples subject to approval as to form by legal counsel, and to approve payment of $550 license fee to OCWD. COMMITTEE RECOMMENDATION: The Planning-Engineering-Operations Committee discussed this item at its meeting held December 4th and supports staff's recommendation. COPY LICENSE AGREEMENT (YORBA LINDA WATER DISTRICT) (WARNER BASIN COMPLEX) This License Agreement ("License") is made and entered into as of , 2008 by and between the ORANGE COUNTY WATER DISTRICT, a political subdivision of the State of California organized under Chapter 924 of the Statutes of 1933, as amended ("OCWD"), and YORBA LINDA WATER DISTRICT, a special governmental district of the State of California ("Licensee"). PART I FUNDAMENTAL LICENSE TERMS 1.1 License: OCWD hereby issues to Licensee a License to enter upon the following real property owned by OCWD, for the purpose or activity specified in Paragraph 1.1.2: 1.1.1 Licensed Property: 4060 E. La Palma AvenuesAnaheim, CA., Conrock Basin, as shown on the map included as Part IV attached hereto and incorporated herein by this reference ("Premises"). 1.1.2. Use of Premises: For and during the term of this License, and any extension or renewal thereof, Licensee shall use the Premises solely and exclusively for the following purpose(s) or activity(ies): to collect water samples. 1.2 Term: ThisLicense shall commence on December 17, 2008 ("Commencement Date") and shall continue to and terminate at 11:59 p.m. local time on December 31, 2010 ("Expiration Date"). This License and the Licensee's rights hereunder may not be extended beyond the Expiration Date unless such extension is set forth in writing and signed by both OCWD and the Licensee. Notwithstanding the foregoing or any other provision of this License, either OCWD or Licensee may terminate this License with or without cause, or for any reason, at any time, by giving the other party a ten (10) days written notice of termination. BY PLACING ITS INITIALS HERE, LICENSEE ACKNOWLEDGES THAT IT HAS READ AND UNDERSTANDS THE PROVISIONS OF THIS LICENSE THAT ALLOW OCWD TO TERMINATE THIS LICENSE AT ANY TIME WITH OR WITHOUT CAUSE AS SET FORTH HEREINABOVE. Licensee: 1.3 License Consideration: As consideration for the issuance of this License, Licensee shall pay to OCWD the sum of FIVE HUNDRED FIFTY DOLLARS ($550.00) payable prior to entering the Premises ("License Fee") in accordance with Part II (General Provisions). 131/022499-0016 949607.01 a11/18/08 1.4 Notices and Payments: All payments, notices and other writings required to be delivered under this License to either party shall be delivered in accordance with the provisions of Part II ("General Provisions"), to OCWD at the address set forth in Part II, and to Licensee at the address set forth in this Part I. 1.5 Attachments: This License incorporates by reference the following Attachments to this License: Part I: Fundamental License Terms 4 , Part II: General License Provisions Part III: Special License Provisions Part IV: Map of the Premises] 1.6 Integration: This License represents the entire understanding of OCWD and Licensee as to the License and all other matters contained herein. No prior oral or written understanding shall be of any force or effect with regard to those matters covered by this License. This License supersedes and cancels any and all previous negotiations, arrangements, agreements or understandings, if any, between the parties, and none shall be used to interpret this License. IN WITNESS WHEREOF, the parties have executed and entered into this License as of the date first set forth above. a ORANGE COUNTY WATER DISTRICT YORBA'LINDA WATER DISTRICT 9{{ fie' E f ~ ~ ~ .}V It ~lf~[ By: Stephen R. Sheldon, President , lr ~fl;', By. Michael R. Markus P. E.,' General Manager `]gilt` sill it; APPROVED AS TO FORM: RUTAN & TUCKER, LLP. General Counsel, Orange County Water District By ~ , Name: Title: By: Name: Title: [Note: Licenses issued to corporations require the signature of two corporate officers] 131/022499-0016 949607.01 all/18/08 -2- 1717 E. Miraloma Ave. P.O. Box 309 Placentia, CA 92885-0309 Attn: Ken Vecchiarelli Telephone Number: (714) 701-3102 Fax No.: (714) 70,1-310&,, Email Address, kvec(a),ylwd.com a e1[{ ~td(1~ ~p G IV f 1 i"h jrSr' i p tt r 1~1t i+~Ff(3f~ry~,r r `~~fi a DaAI ~ r.~F~ii 1E F 1I4~ f lf'lrr ii61 ~ i i 1 p r ~~~t~ pp €i tilt~l~l E ~ {~e rrrt~t$~i}~ t Sy~~l ~it '.ISt(F~t~{f~s~~e1tR~ 111l1SIr er x 1~I ~ z t $off rlr°;^ qq ~ 1~" Nq ~3 ~t~t~'a. s11 rrrE41'~~;~~~~~, 131/022499-0016 949607.01 all/18/08 -3- PART II GENERAL LICENSE PROVISIONS 2.1 2.2 Pavment of License Fee sums provided for in this License. No endorsement or letter accompanying any check or payment shall be del ✓mems on account. P of any License Fee of yable pursuant to this agreement by OCWD modifying this License or a waiver without offset or deduction, and shall be deemed I payment by Licensee nor the acceptance by OCW an amount which is less than the amount due and I the issuance of a monthly statement showing as di properly due and payable pursuant to the terms of 2. 1.1 Transmittal of Pavments: Licensee shall make all License Fee payments, and pay all other sums due under this License, in lawful money of the United States, by check payable to "ORANGE COUNTY WATER DISTRICT," and shall personally deliver or mail all payments without any notice or demand to OCWD at the address set forth in Paragraph 2.8.1 below. Licensee assumes all risk of loss or late payment if any payment is made by mail. 2.1.2 No Offsets: All License Fees and other sums due under this License shall be paid the sum in nor able an amount less than is se, shall constitute an OCWD's right to receive all nent on any check or any an accord or satisfaction, and OCWD shall accept all checks and payments from Licensee without prejudice to OCWD's right to recover the balance of the amount due or to pursue any other remedy in this License or otherwise provided by law. Charees for Pavment of License Fee 2.2.1 If any payment of any License Fee or any other sum due OCWD is not received by OCWD within ten (10) days after the due date, Licensee shall be deemed delinquent in its License Fee payment and a late charge of one and one-half percent (1.5%) of the delinquent amount, plus the sum of One Hundred Dollars ($100.00), shall become immediately due and payable to OCWD. An additional charge of one and one-half percent (1.5%) of such delinquent License Fee payment (excluding late charges) shall be added for each additional calendar month (or portion thereof) that the delinquent sum remains unpaid. 2.2.2 Licensee and OCWD hereby acknowledge and agree that such late charges do not represent and shall not be deemed to be an interest payment, but that such late charges represent a fair and reasonable estimate of the costs and expenses that OCWD will incur by reason of Licensee's late payment. 131/022499-0016 949607.01 al 1/18/08 -4- 2.2.3 Acceptance by OCWD of any delinquent License Fee payment or late charge shall in no way constitute a waiver of Licensee's default with respect to such overdue and delinquent payment, or in any way impair, prevent or restrict OCWD from exercising any of its rights or remedies set forth in this License or otherwise provided at law. 2.3 Use of Premises 2.3.1 Conditions of Use: For and during the term of this License, and any extension or renewal thereof, Licensee's use of the Premises shall be subject to the following conditions, covenants and restrictions: 2.3.1.1 Except as provided in this License, tho!,Premises shall be used only for the purposes specified in Paragraph 1. 1.2 above; and the Premises shall not be used for any other use or purpose whatsoever, without the prior written consent of OCWD. ~2.3.1.2 Licensee shall not cause, permit or suffer any "hazardous,material," "hazardous waste" or "hazardous chemicals" as those terms are used in CERCLA (42 U.S.C. § 9601(14)) or SARA (42 U.S.C. § 110211(e)) or any similar Federal, State, or local law, statute, ordinance, regulation or order,, or otherwise determined by OCWD, to be brought upon, lefl, used or, abandoned on the Premises. 2.3.1.3 Licensee shall not maintain, commit or permit the maintenance or commission of any waste or any nuisance (as defined in California Civil Code section, 3479) on the Premises, and Licensee shall not use or permit the use of the Premises for any unlawful purpose. 2.3.1.4 OCWD or its authorized representative shall have the right at all reasonable times to enter upon the Premises and inspect the general condition of the Premises to determine if Licensee is complying with the terms, conditions, requirements and provisions of this License. 2.3 .2 '0j)jties and Services: Licensee shall be solely responsible for obtaining all utility service and for the payment of all utility charges, including but not limited to water and power, supplied to the Premises. 2.3.3 Permits and Approvals: Licensee shall obtain any and all governmental permits, approvals, licenses or other authorizations which may be required in connection with the use of the Premises as set forth in this License. No approval or consent given under this License by OCWD shall affect or limit Licensee's obligations hereunder, nor shall any approvals or consents given by OCWD, in its capacity as a party to this License, be deemed to be approval as to compliance or conformance with any applicable governmental codes, laws, orders, rules or regulations. 131/022499-0016 949607.01 all/18/08 -5- 2.4 Insurance: Without limiting Licensee's indemnification obligations, Licensee shall not enter or occupy the Premises until Licensee has obtained all of the insurance required herein from a company or companies licensed to do business in the State of California and acceptable to OCWD, and Licensee shall maintain all such insurance in full force and effect at all times during the term of this License and any extension or renewal thereof. Insurance shall be placed with insurers having a current A.M. Best rating of no less than A-:VII or equivalent or as otherwise approved by OCWD. 2.4.1 Licensee shall take out and maintain the following insurance: 2.4.1.1 Workers' Compensation and Emnlover's Liability Insurance: Licensee shall cover or insure under the applicable laws relating to workers' compensation insurance all of its employees working on or about the Premises, in accordance with the "Workers' Compensation and Insurance Act," Division N of the Labor Code of the State of California and any Acts amendatory thereof. Licensee shall provide worker's compensation insurance and employer's liability insurance with limits not less than One Million Dollars ($1,000,000) each occurrence, One Million Dollars ($1,000,000) disease policy limit, and One Million Dollars ($1,000,000) disease each employee. Such policy of workers compensation insurance shall contain the following separate endorsements: (a) "Insurer waives all rights of subrogation against the Orange County Water District, its officers, directors, employees, representatives and volunteers." (b) "This insurance policy shall not be suspended, voided, reduced in coverage or in limits, cancelled, limited, non-renewed or materially changed for any reason by the insurer until thirty (30) days after receipt by the Orange County Water District of a written notice of such cancellation, limitation or reduction of coverage." 2.4.1.2 Commercial General Liabilitv Insurance providing coverage in the following minimum limits: (a) Combined single limit of Two Million Dollars ($2,000,000) per occurrence for Bodily Injury, Personal Injury or Death and Property. (b) Damage Coverage shall be at least as broad as Insurance Services Office (ISO) Commercial General Liability coverage (occurrence Form CG 0001). (c) If Commercial General Insurance or other form with a general aggregate limit is used, either the general aggregate limit shall apply separately to 131/022499-0016 G 949607.01 all/18/08 -6- the project/location (with the ISO CG 2503 or ISO CG 2504, or insurer's equivalent endorsement provided to OCWD), or the general aggregate limit shall be twice the required occurrence limit. 2.4.1.3 Comprehensive Automobile Liabilitv Insurance. including owned, non- owned, leased, hired, and borrowed automobiles and similar vehicles, providing the following minimum limits: (a) Combined single limit of One Million Dollars ($1,000,000) per occurrence for Bodily Injury or Death and Property Damage. (b) Coverage shall be at least as broad as Insurance Services Office (ISO) Business and Auto Coverage (Form, CA 0001) covering any auto. 2.4.2 Endorsements: The policies of liability insurance provided for in Paragraphs 2.4.1.2 and 2.4.1.3 shall specify that this specific License is insured and that coverage for injury to participants resulting from Licensee's activities is not excluded, and shall be in a form satisfactory to OCWD and contain the following separate endorsements: (a) "The OrangglCounty Water District, its officers, directors, employees, representatives and volunteers, are declared to be additional insureds on all of the above policies with respects to the operations and activities of the named insured at or from the premises of the Orange County Water District. The coverage shall contain no special limitations on the scope of protection afforded to the Orange County Water District,, its officers, directors, employees, representatives and volunteers." (b) "This insurance policy shall not be suspended, voided, reduced in coverage or in limits, canceled, limited, non-renewed, or materially changed for any reason until thirty (30) days after receipt by the Orange County Water District of a written notice of such cancellation, limitation or reduction of coverage." (c) "This insurance policy is primary insurance and no insurance held or owned by the designated additional insureds shall be called upon or looked to cover a,loss under said policy; the Orange County Water District shall not be liable for the payment of premiums or assessments on this policy." (d) "Any failure to comply with reporting or other provisions of the policies including breaches of warranties shall not affect coverage provided to the Orange County Water District, its officers, directors, employees, representatives, or volunteers." 131/022499-0016 949607.01 al 1/18/08 -7- (e) "This insurance shall apply separately to each insured against whom claim is made or suit is brought, except with respect to the limits of the insurer's liability." 2.5 2.4.3 Evidence of Coverage: Licensee shall at the time of the execution of the License present to OCWD the original policies of insurance required by this Paragraph 2.4 or a certificate of the insurance, with separate endorsements (Insurance Services Office Form CG 2026, or equivalent), showing the issuance of such insurance and the additional insured and other provisions and endorsements required insurance sufficient in coverage, form and limits to provide adequate protection and Licensee shall promptly comply with any such requirement. OCWD's requirements shall not be unreasonable, but shall be adequate in the sole opinion of OCWD to protect against the kind and extent of risks which may exist at the time a change of insurance is required, or thereafter. 2.4.5 Deductibles: Any and all deductibles must be declared and approved by OCWD prior to execution of this License. 2.4.6 License Contingent Utnon Coverage: Notwithstanding any other provision of this License, this License shall be null and void at all times when the above-referenced original policies of insurance or Certificate of Insurance or Renewal Certificates or Endorsements are not on file with OCWD. 2.4.4 Review of Coverage: OCWD shall have the right at any time to review the coverage, form, and limits of insurance required under this License. If, in the sole and absolute discretion of OCWD, the insurance provisions in this License do not provide adequate protection for OCWD, OCWD shall have the right to require Licensee to obtain of all endorsements signed by the insurer's representative. All,policies shall contain the Licensee's name and location of the Premises on the certificate. At least thirty (30) days prior to the expiration of any such policy, a signed complete certificate of insurance, with all endorsements provided herein, showing that such insurance coverage has been renewed or extended, shall be filed with OCWD. Licensee's insurance shall apply separately to each insured against whom claim is made of ssuit is brought, except with respect to the limits of the insurer's liability. Indemnification 2.5.1 OCWD not Liable: OCWD shall not be liable at any time for any loss, damage or injury whatsoever to the person or property of any person or entity whatsoever, including but not limited to any employee, agent or contractor of Licensee, resulting from or arising out of any act or omission of Licensee or of any person or entity holding under Licensee, or the occupancy or use of the Premises or any part thereof by or under Licensee, or any act or omission in the exercise of any right or the performance of any obligation under 131/022499-0016 949607.01 al 1118/08 -8- this License, or directly or indirectly from any state or condition of the Premises, or any part thereof. 2.5.2 Indemnification: Irrespective of any insurance carried by Licensee for the benefit of OCWD, and notwithstanding any other provision of this License to the contrary, Licensee shall indemnify and hold OCWD, its officers, directors, employees, representatives and volunteers harmless from and against any and all actions, claims, demands, judgments, attorneys fees, costs, damages to persons or property, penalties, obligations, expenses or liabilities of any kind that may be asserted or claimed by any person or entity (including, but not limited to, any employee, agent or contractor of Licensee) in any way arising out of or in connection with this License, the operations carried on by Licensee on the Premises or any lands to which Licensee has access hereunder, or the occupation or use of the Premises by Licensee or any person or entity holding under Licensee (collectively, "Claims"), whether or not there is concurrent active or passive negligence on the part of OCWD, and/or acts for which the OCWD would be held strictly liable, but excluding the sole active negligence and willful misconduct of OCWD. In connection therewith: 2.5.2.1 Licensee shall representatives and vole in whole or in part by C which C from the employe costs, in 2.5.2.2 OCWD whether be held hold OCWD, its officers, employees, agents, iless from any and all Claims, whether caused ve or passive negligence, and/or acts for y liable, but, excluding any Claim that results lillful misconduct of OCWD, its officers, agents, or representatives; and Licensee shall pay all expenses and uding attorneys' fees, incurred in connection therewith. ,icensee shall promptly pay any judgment rendered against Licensee or ~vering any Claim, and hold and save OCWD harmless therefrom, ich Claim was caused in whole or in part by OCWD's active or passive and/or acts for which OCWD would be held strictly liable, but the sole active negligence and willful misconduct of OCWD. 2.5.2.3 In the event OCWD is made a party to any action or proceeding filed or prosecuted for or arising out of or in connection with any Claim, Licensee shall pay to OCWD any and all costs and expenses incurred by OCWD in any such action or proceeding, together with reasonable attorneys' fees. 2.5.2.4 All of the indemnity obligations of Licensee under this Paragraph 2.5.2, or as otherwise set forth in this License, shall survive the expiration or earlier termination of this License. 131/022499-0016 949607.01 a11/18/08 -9- 2.6 Legal Relations and Responsibilities 2.6.1 Nature of Relationship: OCWD and Licensee understand and agree that the only relationship between them created by this License is that of Licensor and Licensee, and that this License does not create, and shall not be construed to create, any agency, partnership, joint venture, landlord-tenant or other relationship between OCWD and Licensee. 2.6.2 Compliance with Laws: Licensee shall keep itself and future state and federal laws and all county and city or in any manner affect the activities of Licensee under this.I use of the Premises by Licensee, and of all such orders= an( having any jurisdiction or authority over the sair and comply with all such existing and future law decrees, and shall protect and indemnify, as regt directors, employees and agents against any clai: violation of any such law, ordinance, regulation, any person or entity holding under Licensee. 2.6.3 Assignment: The License assignment of said License by Lia formed of all existing s and regulations which or the possession or or tribunals Licensee shall at all times observe ordinances, regulations, orders and ;d herein, OCWD, its officers, or liability, arising from or based on the -der or decree, whether by Licensee or is personal to Licensee and any .y or by operation of law, shall automatically terminate this License, unless Licensee has obtained the prior written consent of OCWD, which may be withheld, in its sole and absolute discretion, for any reason or no reason at all. 2.6.4 Acknowledament of OCWD's Title: Licensee hereby acknowledges the title of OCWD in and to the Premises, including the real property fixtures and improvements existing or erected thereon, and Licensee hereby covenants and promises never to assail, contest or resist OCWD's title to the Premises. 2.6.5 Liens: Licensee shall maintain the Premises free from and clear of any claims, obligations, liabilities, liens, encumbrances and charges, including but not limited to any claims, liens or charges arising out of or in connection with the furnishing of materials or the performance of labor on the Premises. Licensee further shall protect and indemnify OCWD and the Premises from and hold them, and each of them, harmless against any and all such claims, obligations, liabilities, liens, encumbrances and charges. 2.6.6 Possessory Interest Taxation: A possessory interest subject to property taxation may be created by this License. It is understood and agreed that if such a possessory interest is created, Licensee shall be responsible for the payment of all property taxes levied on such interest, and that OCWD shall have no responsibility therefor. 131/022499-0016 949607.01 a 11 /18/08 _10- 2.6.7 OCWD's Reservations 2.6.7.1 OCWD hereby reserves the right to grant easements and rights-of-way for pole or tower lines for transmission of electricity, and easements, leases and rights-of-way for telephone, telegraph, telecommunication facilities, gas, water, sewer and oil lines, for roads and highways, and for other similar uses over and across the Premises at any location or locations within the Premises. In the event Licensee determines that the granting or exercise of any such easement, lease, or right-of-way significantly interferes with Licensee's possession or use of the Premises, Licensee's only remedy shall be to terminate this License upon thirty (30) days written notice to OCWD. Licensee shall not interfere with any easements or rights-of-way pertaining to or affecting the Premises. 2.6.7.2 OCWD hereby reserves the right to sell, transfer or any portion of the Premises at any time. In the disposition, and notwithstanding any other pro` shall, upon the close of escrow or the conveyar portions of the Premises sold, transferred or dis release the same from the terms of this License of such sale, dispose of fer or oh,Qf this License; this License of title, terminate as to the sed of, and Licensee shall y encumbrance which results from this License. 2.6.7.3 OCWD reserves the any set forth in the Orange County W of into itself to perform any and all work and/or conserving the basin groundwater y to the functions or purposes of OCWD, as r District Act, Chapter 924 of the California any portion or all of the Premises at any time. Such work may be performed without incurring any liability of any nature whatsoever to Licensee, and Licensee hereby releases OCWD from, and covenants not to sue OCWD for, any such liability. OCWD further reserves unto itself the rights of ingress and egress over all or any portion of the Premises. 2.6.8 Waiver of Clajrns: As a material part of the consideration to OCWD under the License, Licensee hereby waives any and all claims that it may have against OCWD during the term of this License, or any extension or renewal thereof, for any damage to goods, wares and merchandise upon or about the Premises, and for any injury to Licensee, its employees, agents, invitees, or to third parties in or about the Premises, from any cause arising at any time. 2.6.9 Surrender of Possession: At the expiration or termination of this License, whether with or without cause, Licensee shall promptly quit and surrender the Premises in a good state of repair. 131/022499-0016 -11- 949607.01 al 1/18/08 2.6.10 Disposition of Abandoned Propertv: If Licensee abandons or quits the Premises or is dispossessed thereof by process of law or otherwise, title to any personal property left on the Premises for fifteen (15) or more days after such event shall at OCWD's opinion, be deemed to have been abandoned and transferred to OCWD. OCWD shall have the right to remove and dispose of any and all such property without liability therefor to Licensee or to any person or entity claiming under Licensee, and OCWD shall have no duty to account for such property. Licensee agrees to reimburse OCWD for any and all costs associated with OCWD transferring or disposing,Q f Licensee's personal property pursuant to this Section. 2.6.11 Premises "As-Is": Licensee acknowledges that the Premi! to Licensee on an "as-is" basis, and Licensee takes,and occupies th] reliance upon any representation by OCWD, or any of its officers, c representatives, or any other person, concerning the Premises, their intended use or any other particular purpos potential or capabilities, their value, or any not expressly set forth in this License. 2.6.12 No Representation or Warta that neither OCWD, nor any of its oft made any written or oral representatic concerning the Premises, their fitness use, their income producing history, I matter not expressly set forth in this I are being provided •emises without agents or Licensee's inducement -ernina PremjSes: Licensee acknowledges iployees, agents or representatives, has ise, or warranty, expressed or implied, nsee's intended use or any other purpose or or capabilities, their value, or any other 2.6.13 Disputes: In the event that any action is commenced by a party to this License against the other to enforce its rights or obligations arising from this License or seeking to interpret this License, the,prevailing party in such action, in addition to any other relief and recovery ordered by the court; shall be entitled to recover all statutory costs, plus reasonable attorneys' fees. Should OCWD be named in any suit brought by any third party against Licensee in connection with or in any way arising out of Licensee's occupancy or use of the Premises under this License, Licensee shall pay to OCWD its costs and expenses incurred in such suit, including reasonable attorneys' fees. 2.6.14 Securitv Measures: Licensee acknowledges that the Premises are licensed to and accepted by Licensee in an "as-is" condition, and that the License Payments and other sums payable from Licensee to OCWD hereunder do not include the cost of security guard or any other security services or measures. Licensee further acknowledges that OCWD makes no representation or warranty, express or implied, regarding the security of the Premises or the need for or propriety of any security measures at the Premises; and Licensee further acknowledges that OCWD shall have no obligation whatsoever to provide guard service or any other security measures. Licensee expressly 131/022499-0016 949607.01 al 1/18/08 -12- assumes all responsibility for the protection and security of the Premises, Licensee, its agents, employees, invitees and property within the Premises from any and all acts of any third party. 2.6.15 No Obligation to Third Parties: Execution and issuance of this License shall not be deemed to confer any rights upon, directly, indirectly or by way of subrogation, nor obligate either of the parties hereto to, any person or entity other than OCWD and Licensee. 2.6.16 Waiver: Any waiver by any party of a breach of any provision of this License shall not be deemed a continuing waiver or a waiver of any subsequent breach whether of the same or of another provision hereof. 2.6.17 OCWD's Liability on Termination: Licensee hereby waives all damages or claims for damage that may be caused by any action of OCWD in terminating this License (either with or without cause), oftaking possession of the Premises,,as provided in this License or at law, and Licensee waives all claims for damages to or loss of such property of Licensee as may be in or upon the Premises upon the termination of this License. ` 2.7 Maintenance and Repair of Premises All 2.7.1 Licensee's Oblip-ation to Maintain Premises: Licensee shall at all times during the term of this License, and any extension or renewal thereof, at its sole cost and expense, removes all trash and debris from the Premises. Licensee shall also keep and maintain in good condition and in substantial repair (all to the satisfaction of OCWD in its sole discretion), the Premises and all appurtenances and every part thereof, including improvements of any kind erected, installed or made on or within the Premises. Licensee shall at all times in the maintenance and use of the Premises and the buildings, structures, facilities, improvements and equipment thereon, comply with all laws, ordinances and rc~,,ulations pertaining thereto, and all conditions and restrictions set forth herein. Licensee expressly agrees to maintain the Premises in a safe, clean, wholesome, and sanitary condition and free of trash and debris, to the complete satisfaction of OCWD and in compliance, with all applicable laws. 2.7.2 Licensee's Default of its Maintenance Duties: In the event that Licensee fails, neglects or refuses to remove trash or debris deposited by Licensee or its invitees on the Premises or to maintain or make repairs or replacements as required by this License, OCWD shall notify Licensee in writing of such failure or refusal. Should Licensee fail or refuse to correct such default within ten (10) days of receipt of such written notice from OCWD, OCWD may, but shall not be required to, itself or by contract, undertake the necessary maintenance, repair or replacements; and the cost thereof, including but not limited to the cost of labor, materials and equipment and procurement of insurance, plus 131/022499-0016 949607.01 al 1/18/08 -13- an administrative fee in the amount of fifteen percent (15%) of the sum of such costs, shall be paid by Licensee to OCWD within ten (10) days of Licensee's receipt of a statement of such costs from OCWD. Any such maintenance, repair or replacement by or on behalf of OCWD shall not be deemed to be a waiver of Licensee's default under this License, and shall not in any way impair, prevent or restrict OCWD from exercising any of its rights or remedies set forth in this License or otherwise provided at law. 2.8 Miscellaneous 2.8.1 Notices: Any notice, payment or instrument required or permitted to be given or delivered by this License may be given or delivered by personal delivery or by depositing the same in any United States mail depository, first clash postage prepaid, and addressed as follows: If to OCWD: E. If by mail: ORANGE COUNTY WATER DISTRICT P.O. Box 8300, Fountain Valley, CA 92728-8300 Attn: Property Management If by personal delivery: ORANGE COUNTY WATER DISTRICT 18700 Ward Street i Fountain Valley, CA 92708 Attn: Property Management If to Licensee: i` ' To such name and address set forth for Licensee in Part I of this License, or such other person or address as, either party may direct in writing to the other; provided, however, that such new or different person or address shall not become effective until acknowledged in writing by the party to who directed. Except where service is by personal delivery or by registered or certified mail, return receipt requested, service of any instrument or writing shall be deemed completed forty-eight (48) hours after deposit in a United States mail depository. 2.8.2 Warrantv of Authoritv: Each officer of OCWD and Licensee affixing his or her signature to this License warrants and represents by such signature that he or she has the full legal authority to bind his or her respective party to all of the terms, conditions and provisions of-this License, that his or her respective party has the full legal right, power, capacity and authority to enter into this License and perform all of its provisions and obligations, and that no other approvals or consents are necessary in connection therewith. 131/022499-0016 949607.01 al 1/18/08 -14- 2.8.3 Headings: The titles and headings of Sections and Paragraphs of this License, as herein set forth, have been inserted for the sake of convenience only, and are not to be taken, deemed or construed to be any part of the terms, covenants or conditions of this License, or to control, limit or modify any of the terms, covenants or conditions hereof. 2.8.4 Time of Essence: Time is of the essence of this License. Failure to comply with any requirement, including but not limited to any time requirement, of this License shall constitute a material breach of this License. 2.8.5 Construction and Amendment: This License sha governed and enforced in all respects according to the la as if drafted by both OCWD and Licensee. No amendmi this document shall be valid unless in writing, stating tha this License, and signed by all of the parties hereto. 2.8.6 Successors: Subject to the provisions of Paragral all of the terms, conditions and provisions herein, shall ii binding upon, OCWD, Licensee,, and their respective suc 2.8.7 Re-Entrv: No entry or re-entr an election to terminate this License, i written notice of intent to terminate is possession of the Premises without havin from making such an election and giving 2.8.8 Partial Invall' held by a court of cc way affect, impa contained in this 2.8.9 Further ~ all additional pal things reasonabl hereunder and to construed, interpreted, if the State of California and it, change or modification of it amends, changes or modifies i2.6.3 above, this License, and " . ireFto the benefit of, and be and assigns. Premises by OCWD shall be construed as )r thereto or concurrently therewith ;WD to Licensee. OCWD's entry into to terminate shall not prevent OCWD notice thereof y term, covenant, condition or provision of this License is risdiction to be invalid, void, illegal, or unenforceable, the 'eof shall remain in full force and effect and shall in no e any other term, covenant, condition or provision ices: Each of the parties hereto shall execute and deliver any and ocuments and other assurances and shall do any and all acts and ssary in connection with the performance of their obligations out the intent of the parties hereto. 2.8.10 Precedence: In the event of any conflict between Parts of this License, Part I shall prevail over Parts lI, III and IV, and Part III shall prevail over Part Il. 131/022499-0016 949607.01 al 1/18/08 -15- PART III SPECIAL LICENSE PROVISIONS 3.1 Additional Conditions of Use: The following are added to Paragraph 2.3.1, as additional conditions to the use of the Premises: 2.3.1.5 Licensee shall provide OCWD with a copy of the Water Quality reports for samples taken from the Premises. e; 3 3.2 Additional Insurance: The following are added to Paragraph 2.4, as additional conditions of Insurance of the Premises: 2.4.7 Licensee may submit a letter of self-insurane~jnleu of a certificate of insurance in a form acceptable to OCWD. b titlll, ia31, `EISi; ! ¢]t{; it s imiol. 1tr MEi i~l14' 3 1p~i1 t~i~ x ti#.¢ o'k g 1 a ~M16 if~~1,,1 iiif l,.1 131/022499-0016 949607.01 al 1/18/08 -16- PART IV MAP OF THE PREMISES 131/022499-0016 949607.01 al 1/18/08 -17- ; 111111 ,11111'`. 1°~i1,?ix i[ !s ,1~P ITEM NO. l?- AGENDA REPORT APPROVED BY THE 30AAD OF DIRECTORS Board Meeting Date: December 11, 2008 OF THE YORBA LINCANATER DISTRICT To: Board of Directors DEC 1 1 2008 From: Ken Vecchiarelli, Assistant General Manager BY Staff Contact: Same Reviewed by General Counsel: No Budgeted: Yes Dept: Admin Funding Source: N/A Account No: Job No: CEQA Compliance: N/A Estimated Costs: $ Minimal staff costs Subject: Amending the Names of Individuals Authorized to Transfer Funds via the Federal Wire System SUMMARY: The District's financial institution Wells Fargo Bank requires those individuals authorized to transfer funds via the Federal Wire System for the District be designated by Resolution. With the retirement of Michael A. Payne as General Manager effective December 30, 2008, a new Resolution needs to be adopted incorporating the names of District employees authorized to transfer funds via the Federal Wire System. DISCUSSION: Currently, any funds currently transferred via the Federal Wire System for the purpose of investing or transferring funds for payment of payables are made by Michael A. Payne, Kenneth R. Vecchiarelli and/or Diane Cyganik. Section 1. That Kenneth R. Vecchiarelli/Assistant Secretary, or Diane Cyganik, Auditor, are both hereby authorized, as representatives of the District, to transfer funds via the Federal Wire System for the following purposes: a. Investments. Any funds transferred for the purpose of making investments on behalf of the Yorba Linda Water District must be for the credit of the Yorba Linda Water District, and can only be to financial institutions authorized by the latest adopted Investment Policy Resolution. b. Payables. Transfer of funds for payment of payables to the following: 1. Vendors requesting a wire transfer instead of a check. 2. To assure payment in a timely manner to avoid a financial penalty. c. Payment of payroll taxes. d. Payment of 3rd party checks for insurance, deferred income, garnishment, CalPERS, etc. Currently, any funds transferred via the Federal wire system for any purpose other than investments and payables require approval by two persons. Any one of the Board members is authorized to be the first signer and either Kenneth R. Vecchiarelli/Assistant Secretary or Diane Cyganik/Auditor to be the second signer. It is recommended that this section to remain the same. Section 2. Any funds transferred via the Federal Wire System for any purpose other than those specified in Section I(a) and/or (b) herein requires approval by two persons. Any one of the five members of the Board of Directors is authorized to be the first signer and Kenneth R. Vecchiarelli/Assistant Secretary or Diane Cyganik, Auditor are hereby authorized to be cosigners. These are the only signatures authorized to appear on the Wire Instruction Form for funds transferred under this section. Section 3. Sandi Van Etten, Senior Accountant, or Chau Le, Accounting Assistant II, will verify all wire transfers with Wells Fargo Bank that have been sent via the Federal Wire System. The attached Resolution incorporates the above changes and rescinds the current Resolution No. 06-02. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors last amended the names of individuals authorized to transfer funds via the Federal Wire System when Resolution No. 06-02 was adopted on April 13, 2006 when Diane Cyganik was hired as the Finance Director/Auditor on April 3, 2006. STAFF RECOMMENDATION: That the Board of Directors adopt Resolution No. 08-15 authorizing individuals to transfer funds via the Federal Wire System and rescind Resolution No. 06-02. COMMITTEE RECOMMENDATION: The Executive-Administrative-Organizational Committee discussed this issue at their meeting on November 24, 2008. The Committee recommends the Board of Directors adopt the attached Resolution. RESOLUTION NO. 08-15 RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT AUTHORIZING INDIVIDUALS TO TRANSFER FUNDS VIA THE FEDERAL WIRE SYSTEM AND RESCIND RESOLUTION NO. 06-02 WHEREAS, the Yorba Linda Water District (District) desires to transfer funds through the Federal Wire System; and WHEREAS, the transfer of funds through the Federal Wire System is authorized by signature and is completed electronically or by telephone if necessary, for the purpose of paying certain debts and making investments; and WHEREAS, financial institutions require that those persons authorized to sign District checks and transfer funds via the Federal Wire System be designated by a Resolution of the Board of Directors; and WHEREAS, on April 13, 2006, the Board of Directors adopted Resolution No. 06-02 which authorized the Secretary/General Manager, Assistant Secretary and Auditor as the designated representatives of the District to transfer funds via the Federal Wire System; and, WHEREAS, with the retirement of Michael A. Payne, Secretary/General Manager effective December 30, 2008; and, WHEREAS, the Board of Directors wish to update the names of the employees who are designated and authorized representatives of the District to transfer funds, NOW THEREFORE BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District as follows: Section 1. That Kenneth R. Vecchiarelli/Assistant Secretary, or Diane Cyganik, Auditor, are both hereby authorized, as representatives of the District, to transfer funds via the Federal Wire System for the following purposes: a. Investments. Any funds transferred for the purpose of making investments on behalf of the Yorba Linda Water District must be for the credit of the Yorba Linda Water District, and can only be to financial institutions authorized by the latest adopted Investment Policy Resolution. b. Payables. Transfer of funds for payment of payables to the following: 1. Vendors requesting a wire transfer instead of a check. 2. To assure payment in a timely manner to avoid a financial penalty. c. Payment of payroll taxes. d. Payment of 3rd party checks for insurance, deferred income, garnishment, CalPERS, etc. Section 2. Any funds transferred via the Federal Wire System for any purpose other than those specified in Section I(a) and/or (b) herein requires approval by two persons. Any one of the five members of the Board of Directors is authorized to be the first signer and Kenneth R. Vecchiarelli/Assistant Secretary or Diane Cyganik, Auditor are hereby authorized to be cosigners. These are the only signatures authorized to appear on the Wire Instruction Form for funds transferred under this section. Section 3. Sandi Van Etten, Senior Accountant, or Chau Le, Accounting Assistant II, will verify all wire transfers with Wells Fargo Bank that have been sent via the Federal Wire System. Section 4. That Resolution No. 06-02 is hereby rescinded effective immediately upon passage of this Resolution. PASSED AND ADOPTED this 11th day of December 2008 by the following called vote: AYES: NOES: ABSENT: ABSTAIN: , President Yorba Linda Water District ATTEST: Kenneth R. Vecchiarelli, Assistant Secretary Yorba Linda Water District REVIEWED AS TO FORM BY GENERAL COUNSEL: Arthur G. Kidman, Esq. McCormick, Kidman and Behrens 2 ITEM NO. ,-_,23d MINUTES OF THE YORBA LINDA WATER DISTRICT PLANNING-ENGINEERING-OPERATIONS COMMITTEE MEETING December 4, 2008 A meeting of the Planning-Engineering-Operations Committee was called to order by Committee Chair Mills on Thursday December 4, at 4:00 p.m. The meeting was held at the District Administrative Office at 1717 E. Miraloma Ave, Placentia. DIRECTORS PRESENT Director William R. Mills, Chair Director Paul R. Armstrong STAFF PRESENT Ken Vecchiarelli, Asst.General Manager Lee Cory, Operations Manager Ken Mendum, Operations Superintendent John DeCriscio, Chief Plant Operator Steve Conklin, Consulting Engineer INTRODUCTION OF VISITORS AND PUBLIC COMMENTS None. ACTION ITEMS Consider waiving construction meter fees and temporary construction water charges for demolition of homes destroyed in wildfires. Mr. Vecchiarelli reported that the District's current program for providing temporary construction meters is to require a $1,000 meter deposit (refundable upon return of the meter) and to charge the applicant a meter rental charge of $2.50 per day and a water-use charge of $3.58 per hundred cubic feet of water consumed. The water-use charge is set at two times the customer-use rate, which is currently $1.79 per hundred cubic feet. Mr. Vecchiarelli noted that the idea has been suggested that the District consider waiving all or part of the fees for providing temporary meters for water for demolition of homes destroyed in the wildfires. Following discussion, the Committee suggested that the meter deposit remain, the daily rental be waived, and the water-use rate be dropped to the regular residential rate, which is currently $1.79 per hundred cubic feet. However, the Committee requested that this item be brought to the Board as an Action Item for further discussion and consideration. 2. Contract with General Pump Co. for Rehabilitation of Well No. 12. Mr. Conklin reported that competitive bids were solicited from two firms known to the District to professionally perform well-rehabilitation work, General Pump Company and Layne Christensen Company. Following discussion, the Committee recommended award to the low-bidder, General Pump Company for $71,150. 3. Change Order to Professional Services Agreement with Psomas for Additional Design Services for Zone Reconfiguration Project. Mr. Conklin reported that design plans and specifications for the Zone 4 Reconfiguration Project will be complete next week and the project will be advertised for bids before the holidays. He noted that staff recently reviewed the condition of the San Antonio Pressure Reducing Station (PRS), through which water will flow to the new, smaller 706 Zone. It was determined by staff that the 27-year-old PRS was in need of an upgrade to current District standards for access, ventilation, lighting and controls, among other necessary improvements. Staff requested that Psomas, the design consultant preparing the plans for the pipeline reconfiguration, submit a proposal to add the design to upgrade the PRS to its service agreement. Following discussion, the Committee recommended that Amendment No. 1 be added to the agreement with Psomas for $43,125 for the additional design services. 4. License Agreement with Orange County Water District for Access to Warner Basin Complex to Collect Water Quality Samples. Mr. Conklin reported that the District is proceeding with obtaining approval from the State Department of Public Health (DPH) for a new well to be located near to Well No. 11, at the south end of Richfield Road. He noted that DPH is requiring a sampling program that includes collection of water samples from OCWD's Conrock Basin, located nearby. Following discussion with OCWD staff, OCWD requested execution of a license agreement, documentation of insurance, and payment of a $550 license fee to enter the site on a regular basis. Mr. Vecchiarelli noted that District legal counsel will be asked to review the license agreement. The Committee recommended approval of the agreement and payment of the license fee, subject to approval of the agreement by legal counsel. Assistant General Manager Vecchiarelli requested to add the following item to the agenda: 4a. Progress Payment No. 7, and Change Order No. 1 for the Highland Reservoir Replacement Project. Following discussion, the Committee determined that there was not an urgent need for this item to be added to the agenda. Staff was instructed to bring it to the Board for review and possible approval at the next Board meeting. DISCUSSION ITEMS 5. Monthly Groundwater Production and Purchased Water Report. Mr. Vecchiarelli and Mr. DeCriscio reported on the monthly and year-to-date groundwater production and purchased import water totals. They noted that monthly total demand exceeded the projected estimate by 11.2%, or approximately 200 acre-feet. This was due to the warmer than expected weather and the high delivery of water in response to the fire storm. Mr. Vecchiarelli noted that it is currently estimated that 46 to 50 acre-feet of water was provided through the system to fight the fires. 6. Monthly Preventative Maintenance Program Report. Mr. Mendum presented a status report on the monthly preventative maintenance program. Mr. Mendum reported that most of the work was on schedule, but some tasks, particularly the hydrant inspection and valve operation work, fell behind due to the response to the fires. He noted that there were a few hydrants that were damaged in the response to the fires and have since been repaired or replaced. 2 7. Monthly MWDOC Meeting Summary Report. Staff had no report. 8. Monthly OC Groundwater Producers Meeting Summary Report. Staff had no report. 9. Status Report on Capital Projects in Progress. Mr. Conklin briefed the Committee on the status of projects in construction, design and planning. ADJOURNMENT The Committee adjourned at 6:00 p.m. The next Planning-Engineering-Operations Committee meeting will be held January 8, 2009 at 4:00 p.m. 3 ITEM NO. cl,3e MINUTES OF THE YORBA LINDA WATER DISTRICT PUBLIC INFORMATION - TECHNOLOGY COMMITTEE MEETING December 2, 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 STAFF PRESENT Michael A. Payne, General Manager Kenneth R. Vecchiarelli, Asst. G.M. Pat Grady, IT Manager INTRODUCTION OF VISITORS AND PUBLIC COMMENTS ACTION ITEMS None DISCUSSION ITEMS 2. Update on Current Public Relations Activities Staff presented a proposal from Laer Pearce which detailed a program for additional firestorm related communications to the public. The Committee was not in favor of moving forward with this item. 3. Update on New Financial Utility Billing Software Staff reported that Cogsdale spent a week at the District two weeks ago to review and understand the District's business process. Cogsdale will be generating a report with their recommendations and implementation of the new financial system is scheduled for February, in time for the budget season. The utility billing software is scheduled to follow the financial software installation. 4. Update on Electronic Imaging and Agenda Automation Software Staff reported that the electronic imaging system has been installed and in operation. Staff will be hiring temporary labor to begin the scanning process of District documents. A kickoff meeting for the agenda automation system is scheduled for sometime in December. Staff is awaiting scheduling options from the vendor. ADJOURNMENT The next meeting of the Public Information-Technology Committee is scheduled for January 6, 2009. ITEM NO. x,36 MINUTES OF THE YORBA LINDA WATER DISTRICT FINANCE-ACCOUNTING COMMITTEE December 10, 2008 A meeting of the Yorba Linda Water District Finance-Accounting Committee was called to order by Director John W. Summerfield at 4:10 p.m. The meeting was held at the District's offices, 1717 E. Miraloma Ave, Placentia. DIRECTORS PRESENT Director Michael J. Beverage, Chair Director John W. Summerfield STAFF PRESENT Ken Vecchiarelli, Assistant GM Sandi Van Etten, Senior Accountant ACTION ITEMS None. DISCUSSION ITEMS 1. Investment Report ending October 31, 2008. The Investment Report for month ending October 31, 2008 was discussed and accepted as presented. 2. Monthly Portfolio Report ending November 30, 2008. Report by Keith Khorey, Wells Capital Management. The Committee spoke with Keith Khorey by telephone. His response to Director Summerfield's inquiry regarding whether our portfolio included treasuries was negative. The portfolio is invested in sound securities. 3. Monthly Financial Statements for the Period ending September 30, 2008. September Financial Statements were discussed and accepted as presented. 4. Wells Fargo Checking Account - Analysis Based vs. ZBA. Wells Fargo Bank confirmed that the option we are using to compensate them for their services is financially the most beneficial for us. Director Summerfield was satisfied with the information and conclusion presented by Wells Fargo Bank. 5. Overview of Property Taxes. Property tax revenue history was reviewed, along with the amount of supplemental tax received in fiscal years 07/08 and 08/09. If the state were to impound a portion of our tax revenue, the District's pass through rate increase would require notification of our customers per proposition 218. 6. CalPERS Investment Return Impact on Employer Rates. A probable increase in employer rates was discussed. Various options were mentioned regarding how the District might handle PERS in the future. ORIGINA ADJOURNMENT The Committee adjourned at 5:15 p.m. The next Finance-Accounting Committee meeting will be held January 13, 2009 at 4:00 p.m. ITEM NO. 4 2,~i MINUTES OF THE YORBA LINDA WATER DISTRICT PERSONNEL-RISK MANAGEMENT COMMITTEE MEETING December 9, 2008 A meeting of the Personnel-Risk Management Committee was called to order by Chairman Paul Armstrong at 10:05 a.m. The meeting was held at the District Administrative Office at 1717 E. Miraloma Ave, Placentia. COMMITTEE STAFF Director Paul Armstrong, Chair Mike A. Payne, General Manager Director Ric Collett Ken Vecchiarelli, Asst. General Mgr. Gina Knight, Human Resources Mgr. LEGAL COUNSEL Art Kidman, Esq. INTRODUCTION OF VISITORS AND PUBLIC COMMENTS Eric Neff, Reporter for the Orange County Register On a motion by Director Armstrong, seconded by Director Collett, the Committee voted 2-0 to add Item No. 1 c to the agenda. On a motion by Director Armstrong, seconded by Director Collett the Committee entered into Closed Session at 10:30 a.m. All Committee members were present. Also present were Assistant General Manager Vecchiarelli, Human Resources Manager Knight and the District's Legal Counsel Kidman. ADJOURN TO CLOSED SESSION Conference with Legal Counsel - Liability Claims Pursuant to Section 54956.95 of the California Government Code a. Claimant: Hong Nguy b. Claimant: Dennis Winzen C. Claimant: Paul and Gillian Johnson Agency Claimed Against: Yorba Linda Water District CLOSED SESSION REPORT The Committee reconvened in Open Session at 11:30 a.m. There were no reportable items from the Closed Session. 0K`1`bAA_ DISCUSSION ITEMS 2. Status of Salary Survey. Staff presented the results from a CalPACS Salary Survey. The Committee recommended the results be presented for consideration by the Board at the December 23, 2008 Board Meeting. 3. Status of Recruitments. Staff gave an update on recruitments. 4. Status of Personnel on Administrative Leave. Staff reported on personnel on administrative leave. 5. Status of Risk Management Activities. Staff gave an update on recent risk management activity regarding the Triangle Complex Fire Incident public relations issues. ADJOURNMENT The Committee adjourned at 12:00 p.m. The next Personnel-Risk Management Committee meeting will be held January 12, 2009 at 4:00 p.m. •t Blake Kidd UNI- FLArNGE District Manager f , THE FORD METER BOX COMPANY, INC. P. O. Box 443, Wabash, Indiana 46992-0443 Phone: 260-563-3171 / FAX: 800-826-3487 Internet: http://www.fordmeterbox.com I am here tonight as a representative of the Citizens of Yorba Linda. We have just experienced the worst disaster Yorba Linda has ever faced. We acknowledge many things were out of our control but as a community we are very upset, as you are, about the water issue we experienced during the November 2008 Fire Storm. You, like myself, are elected our representatives. Our mandate from the Community we serve is to be accessible ands responsive to our community's needs. I thank you for moving this meeting to an evening time so the residents have an opportunity to attend. I hope this becomes a standard of operation for future meetings I, along with our constituents, have been disappointed that this Board chose to hire a PR firm to talk to the public during this disaster. You were elected by the community and have an obligation to respond to them personally. I have a number of questions that I would appreciate answers to as we go along tonight- Can you agree to that? 1. Is the General Manager of the Water District a registered Civil Engineer? 2. Is there a registered Civil Engineer schooled and experienced in hydraulics on the Water District staff? Who is it and what can you tell us about him. 3. What percentage of our water comes from the water district? 4. In the area of the Hidden Hills development, bonds were sold for a water system. The citizens have paid in these bonds for years. Can you tell me what has been done with this money over the past 15 years? 5. What is standing in the way of the reservoir being built and when can we anticipate it being completed? 6. Hydrant testing- are there records of the hydrant maintenance schedule including which hydrants have been tested, when and the results including the flow and pressure measurements? Where are these records maintained? 7. There have been reports throughout the community that there have been complaints about low water pressure throughout our community. Are there records/ minutes regarding this issue and what decisions have been made to either defer or correct this problem? 8. What is the minimum water pressure requirement for this community? 9. Can you confirm for me exactly what areas had reported low water pressure and in exactly which pressure zone each problem site is located? 10. Can you tell me what the water pressure and the flow rate that is available at the higher elevations compared to the flat lands 11. What is the reservoir and pumping station layout for getting water up to the higher elevations? 12. How many reservoirs are there and at what elevations? 13. How many pumps are used to get water from one reservoir to another? 14. Can you explain the back up system and what happened during our fire 15. Is there a layout map of the water distribution system and can we have a copy of this document? 16. Can you verify what the reason for the lack of water pressure at the higher elevations. We have been told a pumping station burned, is this true? What happened to the back up pump? How old was this back up pump? When was the last time this back up pump was tested? Recommendations: 1. 1 will bring this to our next Council meeting and ask that we study the issue of merging the two agencies. This has been explored before and was recommended by the reporting agency.