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HomeMy WebLinkAbout2014-11-13 - Board of Directors Meeting Agenda PacketYorba Linda '"Water District AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Thursday, November 13, 2014, 8:30 AM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. PLEDGE OF ALLEGIANCE 3. ROLL CALL Robert R. Kiley, President Ric Collett, Vice President Michael J. Beverage Phil Hawkins Gary T. Melton 4. ADDITIONS /DELETIONS TO THE AGENDA 5. PUBLIC COMMENTS Any individual wishing to address the Board is requested to identify themselves and state the matter on which they wish to comment. If the matter is on the agenda, the Board will recognize the individual for their comment when the item is considered. No action will be taken on matters not listed on the agenda. Comments are limited to matters of public interest and matters within the jurisdiction of the Water District. Comments are limited to five minutes. 7 SPECIAL RECOGNITION 6.1. Presentation of Proclamation to Lynn Nuzman, Sr. Maintenance Distribution Operator, for 28 Years of Service to the District COMMITTEE REPORTS 7.1. Citizens Advisory Committee (Kiley) Minutes of the meeting held October 27, 2014 at 8:30 a.m. Next meeting is scheduled to be held November 24, 2014 at 8:30 a.m. 8. CONSENT CALENDAR All items listed on the consent calendar are considered to be routine matters, status reports, or documents covering previous Board instructions. The items listed on the consent calendar may be enacted by one motion. There will be no discussion on the items unless a member of the Board, staff, or public requests further consideration. 8.1. Minutes of the Board of Directors Regular Meeting held October 9, 2014 Recommendation: That the Board of Directors approve the minutes as presented. 8.2. Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $836,577.63. 8.3. Progress Payment No. 2 for the YLHS Park Bryant Cross Feeder Pipeline Relocation Project Recommendation: That the Board of Directors approve Progress Payment No. 2 in the net amount of $169,727.19 to Vido Samarzich, Inc. for construction of the YLHS Park Bryant Cross Feeder Pipeline Relocation Project, Job No. 2012 -13. 8.4. Investment Report for Period Ending September 30, 2014 Recommendation: That the Board of Directors receive and file the Investment Report for the Period Ending September 30, 2014. 9. REPORTS. INFORMATION ITEMS. AND COMMENTS 9.1. President's Report 9.2. Directors' Reports OCWD Groundwater Adventure Tour - October 23, 2014 Presentation by Governor Jerry Brown - October 28, 2014 MWDOC Elected Officials' Forum - November 6, 2014 9.3. General Manager's Report 9.4. General Counsel's Report 9.5. Future Agenda Items and Staff Tasks 10. COMMITTEE REPORTS CONTINUED 10.1. Executive - Administrative - Organizational Committee (Kiley / Collett) • Minutes of the meeting held October 13, 2014 at 4:00 p.m. • Minutes of the meeting held November 10, 2014 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Next meeting is scheduled to be held December 9, 2014 at 10:00 a.m. 10.2. Finance - Accounting Committee (Hawkins / Beverage) • Minutes of the meeting held October 29, 2014 at 4:00 p.m. • Next meeting is scheduled to be held November 17, 2014 at 4:00 p.m. 10.3. Personnel -Risk Management Committee (Hawkins / Melton) • Minutes of the meeting held October 14, 2014 at 4:00 p.m. • Minutes of the meeting held November 12, 2014 at 8:30 a.m. (To be provided at the next regular Board meeting.) • Next meeting is scheduled to be held December 16, 2014 at 4 :00 p.m. 10.4. Planning- Engineering- Operations Committee (Melton / Beverage) • Minutes of the meeting held November 4, 2014 at 4:00 p.m. • Next meeting is scheduled to be held December 4, 2014 at 4:00 p.m. 10.5. Public Affairs - Communications - Technology Committee (Collett / Kiley) • Minutes of the meeting held November 3, 2014 at 4:00 p.m. Next meeting is scheduled to be held December 1, 2014 at 4:00 p.m. 10.6. YLWD -City of Placentia Joint Agency Committee (Beverage / Melton) • Minutes of the meeting held November 10, 2014 at 10:00 a.m. (To be provided at the next regular Board meeting.) • Next meeting is yet to be scheduled. 10.7. YLWD -City of Yorba Linda Joint Agency Committee (Kiley / Collett) • Minutes of the meeting held October 28, 2014 at 5:00 p.m. (To be provided at the next regular Board meeting.) • Next meeting is tentatively scheduled for January 13, 2015 at 5:00 p.m. 10.8. YLWD - MWDOC -OCWD Joint Agency Committee (Kiley / Beverage) • Next meeting is scheduled to be held November 25, 2014 at 4:00 p.m. 11. INTERGOVERNMENTAL MEETINGS 11.1. YL City Council - October 21, 2014 (Kiley) 11.2. OCSD - October 22, 2014 (Kiley) 11.3. YL LMCAC - October 23, 2014 (Beverage) 11.4. YL Planning Commission - October 29, 2014 (Melton) 11.5. ISDOC - October 30, 2014 (Hawkins /Kiley) 11.6. YL City Council - November 4, 2014 (Collett) 11.7. MWDOC Board - November 5, 2014 (Melton) 11.8. OCWD Board - November 5, 2014 (Collett) 11.9. WACO - November 7, 2014 (Kiley) 11.10. YL Planning Commission - November 12, 2014 (Beverage) 12. BOARD OF DIRECTORS ACTIVITY CALENDAR 12.1. Meetings from November 14, 2014 - December 31, 2014 13. CONFERENCES, SEMINARS, AND SPECIAL EVENTS This section of the agenda is for the Board of Directors to authorize Director attendance at the listed events. 13.1. Presentation by Governor Jerry Brown Regarding Propositions 1 and 2 - October 28, 2014 Recommendation: That the Board of Directors ratify Director attendance at this event if desired. 14. 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. 14.1. Public Employee Performance Evaluation Pursuant to Section 54957 of the California Government Code Title: Acting General Manager /Engineering Manager 15. ADJOURNMENT 15.1. The next Regular Board of Directors Meeting will be held Wednesday, November 26, 2014 at 8:30 a.m. Items Distributed to the Board Less Than 72 Hours Prior to the Meeting Pursuant to Government Code section 54957.5, non - exempt public records that relate to open session agenda items and are distributed to a majority of the Board less than seventy -two (72) hours prior to the meeting will be available for public inspection in the lobby of the District's business office located at 1717 E. Miraloma Avenue, Placentia, CA 92870, during regular business hours. When practical, these public records will also be made available on the District's internet website accessible at http: / /www.ylwd.com /. Accommodations for the Disabled Any person may make a request for a disability - related modification or accommodation needed for that person to be able to participate in the public meeting by telephoning the Executive Secretary at 714 - 701 -3020, or writing to Yorba Linda Water District, P.O. Box 309, Yorba Linda, CA 92885 -0309. Requests must specify the nature of the disability and the type of accommodation requested. A telephone number or other contact information should be included so the District staff may discuss appropriate arrangements. Persons requesting a disability - related accommodation should make the request with adequate time before the meeting for the District to provide the requested accommodation. Meeting Date Subject: ATTACHMENTS: ITEM NO. 7.1 AGENDA REPORT November 13, 2014 Citizens Advisory Committee (Kiley) Minutes of the meeting held October 27, 2014 at 8:30 a.m. Next meeting is scheduled to be held November 24, 2014 at 8:30 a.m. Name: Description: Type: 102714 - CAC Minutes.docx Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT CITIZENS ADVISORY COMMITTEE MEETING Monday, October 27, 2014, 8:30 a.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER The October 27, 2014 meeting of the Yorba Linda Water District's Citizens Advisory Committee was called to order by Chair Daniel Mole at 8:30 a.m. The meeting was held in the Training Room at the District's Administration Building located at 1717 East Miraloma Avenue, Placentia, California 92870. 2. ROLL CALL COMMITTEE MEMBERS PRESENT Daniel Mole, Chair Lindon Baker Modesto Llanos Carl Boznanski Cheryl Spencer- Borden YLWD DIRECTORS PRESENT Robert R. Kiley, President 3. PUBLIC COMMENTS None. 4. DISCUSSION ITEMS Bill Guse Fred Hebein Oscar Bugarini, Sr. Joe Holdren YLWD STAFF PRESENT Marc Marcantonio, General Manager Damon Micalizzi, Public Information Manager 4.1. Proposition 1 — The Water Quality, Supply and Infrastructure Act of 2014 It was reported to the Committee that Board of Directors voted unanimously to support the Water Bond, Proposition 1 on the November Ballot. Staff then answered questions from the Committee regarding the Water Bond, including clearing up misconceptions about the Proposition including the Bay Delta Conservation Plan (BDCP) and the Delta Tunnels. 4.2. Drought Update and Water Supply Report Staff updated the Committee on the continued Drought and reviewed the water supply report provided by Metropolitan Water District to the District. 4.3. Committee Insights and Feedback This item was continued to the next meeting. 4.4. President's Report President Kiley had nothing more to add, as his inputs were offered during the previously discussed agenda items. 1 4.5. Future Agenda Items Chairman Mole reminded the Committee that reorganization would be on the agenda for the next meeting. 5. ADJOURNMENT 5.1. The meeting was adjourned at 10:30 a.m. The next Citizens Advisory Committee meeting is scheduled to be held Monday, November 24, 2014 at 8:30 a.m. DM 2 AGENDA REPORT Meeting Date: November 13, 2014 ITEM NO. 8.1 Subject: Minutes of the Board of Directors Regular Meeting held October 9, 2014 STAFF RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: Description: Type: 100914 BOD - Minutes.doc Minutes Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/13/2014 RC /GM 5 -0 1 K 3 4 MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Thursday, October 9, 2014, 8:30 a.m. 1717 E Miraloma Ave, Placentia CA 92870 rLCUUM Vr ALLCUTADJUM President Kiley led the pledge. ROLL CALL IIIRFrTOWR PRFSFNT Robert R. Kiley, President Ric Collett, Vice President Michael J. Beverage Phil Hawkins Gary T. Melton B Al RO PRFSFNT STAFF rrccacnl I Marc Marcantonio, General Manager John DeCriscio, Operations Manager Gina Knight, Human Resources / Risk Manager Delia Lugo, Finance Manager Anthony Manzano, Senior Project Manager Damon Micalizzi, Public Information Manager Art Vega, Acting IT Manager Annie Alexander, Executive Secretary Edgar Araujo, Maintenance Distribution Operator I I Amelia Cloonan, Human Resources Analyst Jorge Lopez, Maintenance Distribution Operator II Ken Mendum, Water Maintenance Superintendent Freddie Ojeda, Plant Operator II Brian Vargas, Sr. Maintenance Distribution Operator Brett Barbre, Director, MWDSC and MWDOC Gene Hernandez, Councilmember, City of Yorba Linda (Arrived at 8:42 a.m.) Art Kidman, Partner, Kidman Law LLP Eddy Beltran, Partner, Kidman Law LLP Michael Moore, Ex- Officio, Orange County Water Association Daniel Mole, Chair, YLWD Citizens Advisory Committee ADDITIONS /DELETIONS TO THE AGENDA None. 5. PUBLIC COMMENTS Director Barbre addressed the Board and reported that he would soon be presenting a refund check to the District on behalf of MWDOC in the amount of 1 $16,172.51 for MWDSC's overcharges on deliveries through Service Connection OC -88. The meter at this location was installed using an incorrect diameter resulting in a 3.5% over - register since it was placed into service in 2005. Director Barbre also reported that Mr. Larry McKenney, who previously served as Board President for the Moulton Niguel Water District, had been appointed to represent MWDOC on MWDSC's Board of Directors. 6. SPECIAL RECONGNITION 6.1. Recognition of OCWA Annual Pipe Tapping Competition Participants Mr. Marcantonio introduced Mr. Moore. Mr. Moore provided a brief overview of OCWA's services and presented a trophy to Messrs. Araujo, Lopez, Ojeda and Vargas recognizing their achievement in the pipe tapping competition. The team took home 1St place with a time of 1:52 in the first round and 1:44 in the second round. Mr. Moore also encouraged the District to participate in the national competition scheduled to take place during AWWA's annual conference in Anaheim next year. The Board and the audience then applauded the participants. Messrs. Moore, Mendum, Araujo, ,Lo 7. COMMITTEE REPORTS 7.1 Citizens Advisory Cc (Kiley) Ojeda and Vargas left the meeting at this time. Mayor Pro Tern Hernandez joined the meeting at this time. 8. CONSENT CALENDAR Director Collett made a motion, seconded by Director Hawkins, to approve the Consent Calendar. Motion carried 5 -0. Director Collett abstained from voting on Item No. 8.2. as he has a financial interest with one of the listed vendors. 8.1. Minutes of the Board of Directors Regular Meeting held September 11, 2014 Recommendation: That the Board of Directors approve the minutes as presented. 8.2. Payments of Bills, Refunds, and Wire Transfers Recommendation: That the Board of Directors ratify and authorize disbursements in the amount of $2,421,437.65. 9. ACTION CALENDAR 9.1. Submission of FYE 2014 Audit Reports Mrs. Lugo explained that White Nelson Diehl Evans LLP, had completed their audit of the District for FY 2013/14 and rendered an unqualified (clean) opinion. No deficiencies that were considered to be a "material weakness" were identified in their review of the District's internal controls for financial reporting. Additionally, required disclosures were provided to the Finance - Accounting Committee. Director Hawkins made a motion, seconded by Director Melton, to receive and file the FY 2013114 Comprehensive Annual Financial Report, the Report on Internal Control, and the Communication to Those in Governance Letter. Motion carried 5 -0. 9.2. Certifying Individuals to Act on Behalf of the District Relating to Investment Accounts Held at T. Rowe Price Ms. Cloonan explained that a previous employee had contacted the District to withdraw monies from their 457 investment account with T. Rowe Price. T. Rowe Price has indicated that in order to release funds from employees' accounts, the Board of Directors would need to adopt a Resolution authorizing certain individuals to act on behalf of the District. Director Beverage made a motion, seconded by Director Collett, to adopt Resolution No. 14 -14 Certifying Individuals Authorized to Act on Behalf of the District Relating to Employee Deferred Compensation Investment Accounts held at T. Rowe Price. Motion carried 5 -0 on a Roll Call vote. Ms. Cloonan left the meeting at this time. 10. REPORTS, INFORMATION ITEMS, AND COMMENTS 10.1. President's Report ■ CSDA Annual Conference Awards Luncheon - October 1, 2014 President Kiley reported on his attendance at this event during which the District was presented with a District Transparency Certificate of Excellence from CSDA. 10.2. Directors' Reports • Mayor of Yorba Linda State of the City Address - September 25, 2014 • MWDOC Water Policy Forum - October 2, 2014 3 ■ Placentia Chamber of Commerce Meet the Mayor Luncheon - October 8, 2014 Directors Melton, Hawkins and Collett provided a brief report on their attendance at the above listed events. Director Collett noted that a resolution in support of Proposition 1 would be reviewed by the Executive - Administrative - Organizational Committee at its next meeting. Mrs. Lugo reported on the recently more applications for participation program had been received. completed audit and noted that 11 in MWDOC's turf removal rebate Mr. Vega reported on the status of recent upgrades performed for GIS and noted that a rough draft of the CMMS strategic plan was now complete. Mrs. Knight reported on the status of updating the District's job descriptions, policies and procedures, and the IIPP. She also noted that staff was in process of revising the compensation letters for supervisory /confidential and management employees and that a Closed Session for labor negotiations was scheduled for the next regular Board meeting. 12 10.4. General Counsel's Report None. 10.5. Future Agenda Items and Staff Tasks None. 11. COMMITTEE REPORTS CONTINUED 11.1. Executive - Administrative - Organizational Committee (Kiley / Collett) ■ Next meeting is scheduled to be held October 13, 2014 at 4:00 p.m. 11.2. Finance - Accounting Committee (Hawkins / Beverage) ■ Minutes of the meeting held September 18, 2014 at 4:00 p.m. were provided in the agenda packet. ■ Next meeting is scheduled to be held October 29, 2014 at 4:00 p.m. Director Hawkins reported that the Finance - Accounting Committee had been reviewing the District's audit, status of investments and ■ Minutes of the meeting held October 8, 2014 at 4:00 p.m. will be provided at the next regular Board meeting. ■ Next meeting is scheduled to be held November 6, 2014 at 4:00 p.m. (This meeting was subsequently rescheduled to November 4, 2014 at 4:00 p.m.) Director Melton noted that a number of items related to the Fairmont Booster Pump Station Project had been reviewed by the Planning- Engineering- Operations Committee and would be 5 presented to the Board for consideration at the next regular meeting. 11.5. Public Affairs - Communications - Technology Committee (Collett / Kiley) ■ Minutes of the meeting held October 6, 2014 at 4:00 p.m. will be provided at the next regular Board meeting. ■ Next meeting is scheduled to be held November 3, 2014 at 4:00 p.m. Director Collett reported that the Public Affairs- Communications- Technology Committee had been discussing the status of GIS and CMMS, as well as the draft fall newsletter. 11.6. YLWD -City of Placentia Joint Agency Committee (Beverage / Melton) ■ Next meeting is scheduled to be held November 10, 2014 at 10:00 a. m. 11.8. YLWD - MWDOC -OCWD Joint Agency Committee (Kiley / Beverage) ■ Minutes of the meeting held September 23, 2014 at 4:00 p.m. were provided in the agenda packet. ■ Next meeting is scheduled to be held November 25, 2014 at 4:00 p.m. Directors Kiley and Beverage commented on the drought response, water supply conditions, and the turf replacement rebate program which were discussed during the last YLWD /MWDOC /OCWD Joint Agency Committee meeting. I Director Collett indicated that the minutes for the Citizens Advisory Committee meeting held on September 22, 2014 had incorrectly identified him as being in attendance. Staff will make this correction to the record. 12. INTERGOVERNMENTAL MEETINGS 12.1. YL LMCAC - September 25, 2014 (Collett) Director Collett attended and reported that the next community outreach meeting had been scheduled for December 3, 2014 at 6:30 p.m. at the East Lake Village Clubhouse. Director Collett also noted that he would be attending the YL LMCAC Committee meeting in place of Director Beverage later this evening. 12.2. MWDOC Board - October 1, 2014 (Melton) Director Melton attended and commented on MWD's Water Supply Allocation Plan which was discussing during the meeting. He noted that a 40% State Water Project Allocation would be needed to meet baseline demands without additional action. 12.3. OCWD Board - October 1, 2014 (Staff) Mr. Marcantonio attended and reported that the District's conceptual idea for the siting of Well 22 had been approved. 12.4. WACO - October 3, 2014 (Kiley /Hawkins) Director Hawkins attended and commented on the drought update and the water bond which were discussed during the meeting. 12.5. YL City Council - October 7, 2014 (Collett) Director Collett attended and commented on 2 public hearings for tentative tract maps which were held during the meeting. 13. BOARD OF DIRECTORS ACTIVITY CALENDAR 13.1. Meetings from October 10, 2014 — November 30, 2014 The Board reviewed the activity calendar. Director Collett noted that he would not be able to attend the next YLWD /City of Yorba Linda Joint Agency Committee meeting due to a prior commitment. Director Melton offered to attend in place of Director Collett. 14. ADJOURNMENT 14.1. The meeting was adjourned at 9:34 a.m. The next Regular Board of Directors Meeting will be held Tuesday, October 21, 2014 at 8:30 a.m. Annie Alexander Assistant Board Secretary 7 AGENDA REPORT Meeting Date: November 13, 2014 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Prepared By: Richard Cabadas, Accounting Assistant I Subject: SUMMARY: Budgeted Cost Estimate: Funding Source: Dept: Reviewed by Legal: CEQA Compliance: Payments of Bills, Refunds, and Wire Transfers ITEM NO. 8.2 Yes $836,577.63 All Funds Finance N/A N/A Section 31302 of the California Water Code says the District shall pay demands made against it when they have been approved by the Board of Directors. Pursuant to law, staff is hereby submitting the list of disbursements for Board of Directors' approval. STAFF RECOMMENDATION: That the Board of Directors ratify and authorize disbursements in the amount of $836,577.63. DISCUSSION: The major items and wires on this disbursement list are as follows: A check of $184,038.42 to Vido Samarzich Inc., for Progress Payment No. 2 & Miscellaneous Repairs; a check of $48,167.63 to CalCard US Bank for October 2014 credit card transactions; a wire of $23,473.84 to William Robertsons for transfer of funds from T.Rowe Price; and a wire of $124,163.63 to Southern California Gas Company for Highland and Paso Fino Booster Station gas charges. The balance of $201,388.45 is routine invoices. The Accounts Payable check register total is $581,231.97; Payroll No. 22 total is $255,345.66; and the disbursements of this agenda report are $836,577.63. A summary of the checks is attached. PRIOR RELEVANT BOARD ACTION(S): The Board of Directors approves bills, refunds and wire transfers semi - monthly. ATTACHMENTS: Name: 14 CC 1113.pdf 14 -CS 1113.doc CkReg111314.0 Approved by the Board of Directors of the Yorba Linda Water District Description: CREDIT CARD SUMMARY CAP SHEET CHECK REGISTER Type: Backup Material Backup Material Backup Material 11/13/2014 RC /GM 4 -0 -1 -0 RC abstained from voting on Item 8.2. as he has a financial interest with one of the listed vendors. Cal Card Credit Card U S Bank 10/08/14- 10/30/14 Date Vendor Name Amount Description 10/9/2014 AWWA 15.00 AWWA Publication 10/13/2014 OC ICE 84.89 ICE FOR HERITAGE FEST 10/13/2014 Praxair 46.48 Welding Supplies 10/13/2014 System Source 167.72 Modular Wall parts and finishing for quiet room 10/13/2014 CRWUA 445.00 Marcantonio registration for CRWUA Conference 10/15/2014 Orange Tree Deli 1,441.80 Luncheon for 100 persons - Health Benefit Fair 10/15/2014 Safe Hearing 60.00 Entry and Analysis of hearing test 10/15/2014 ISDOC 68.00 Quarterly luncheon; Micalizzi, Kiley, Hawkins & Marc 10/15/2014 NEWEGG.COM 12.23 IT Supplies 10/15/2014 MONOPRICE.COM 104.43 IT Supplies 10/16/2014 City of Yorba Linda 1,000.00 Encroachment permit 10/17/2014 Arma International 175.00 Professional membership dues. 10/20/2014 Mobile Industrial Supply 180.36 CO2 cylinder and pressure regulator 10/20/2014 Loma Vista Nursery 43.20 Tree for landscape replacement 10/20/2014 Minuteman Press 25.65 Labels for AC pipe disposal 10/20/2014 The Catch 66.08 Lunch meeting with Hawkins, Phil 10/20/2014 United Water Works 14,962.21 August 2014 Invoices 10/20/2014 Placentia Disposal 504.52 2 Loads at Richfield 10/20/2014 Verizon Wireless 2,488.40 Verizon Cell service. 10/20/2014 Answer One Communications 534.95 Answering Service. 10/21/2014 Home Depot 155.26 Tools for Unit 204 10/21/2014 Mobile Industrial Supply 53.06 Repair of pressure regulator 10/21/2014 Harrington Industrial 99.92 Filter bodies for CL2 system and spanner wrench 10/21/2014 United Water Works 14,847.04 August & September 2014 Invoices 10/21/2014 Inland Group 981.72 Door hangers, redesign and print. 10/22/2014 Ferguson Enterprise 339.60 Lavatory faucet for admin building 10/22/2014 Home Depot 13.94 Building repair parts - Admin building 10/22/2014 Town of Blacksburg 328.50 Sensus reading equipment for meters 10/22/2014 Inland Group 8,105.33 Fall 2014 Newsletters 10/23/2014 Hands on Wellness Center 120.00 Massages for Health Benefit Fair 10/28/2014 Harrington Industrial 27.00 Brackets for CL2 Filters 10/28/2014 Online Information Services 438.80 Utility Exchange Reports 10/29/2014 NPELRA 160.00 Public Records Act- Enough is Enough 10/30/2014 John Deere Landscape 71.54 PVC pipe cutter, blades and parts TOTAL 48,167.63 November 13, 2014 CHECK NUMBERS: Computer Checks 64423 -64542 $ 433,594.50 $ 433,594.50 WIRE: W102714 William Robertsons $ 23,473.84 W1 10514 SO. CAL GAS CO. $ 124,163.63 TOTAL OF CHECKS & WIRES PAYROLL NO. 22: Direct Deposits Third Party Checks 5991 -6003 Payroll Taxes TOTAL OF PAYROLL $ 147,637.47 $ 159,802.61 $ 43,806.99 $ 51,736.06 $ 255,345.66 $581,231.97 $255,345.66 ---------------------------------------------------------------------------------------------------------------------- DISBURSEMENT TOTAL: $836,577.63 ------------------------------------------------------------------ ------------------------------------------------------------------ APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF November 13, 2014 ------------------------------------------------------------------ ------------------------------------------------------------------ Yorba Linda Water District Check Register For Checks Dated: 10/10/2014 thru 10/21/2014 Check No. Date Vendor Name Amount Description 64455 11/13/2014 ACWA /JPIA 250.00 BACK SCHOOL - TRAINING 64436 11/13/2014 ALAN PELLEGRINI 5.94 CUSTOMER REFUND 64456 11/13/2014 Albert A. Webb Associates 1,010.50 PROF SVCS -SEPT 2014- J2012 -13 64457 11/13/2014 Aljon Graphics, Inc 553.11 #10 WINDOW ENVELOPES 64458 11/13/2014 Alternative Hose Inc. 168.38 MOUNT AND HOSE - UNIT 168 64459 11/13/2014 Anaheim Wheel & Tire 196.75 MOUNT AND BALANCE - UNIT 173 & 205 64460 11/13/2014 Anthem Blue Cross EAP 170.94 EAP - NOVEMBER 2014 64461 11/13/2014 Apollo Technologies Inc. 430.00 WTR TREATMENT SVC LOOPS 64462 11/13/2014 Aquatic Inspections, Inc. 6,850.00 INSPECTION SERVICES 64463 11/13/2014 Aramark 635.55 UNIFORM SERVICE 64449 11/13/2014 ARDOR REALTY INC 104.67 CUSTOMER REFUND 64446 11/13/2014 ASHLIE ADAMS 53.81 CUSTOMER REFUND 64464 11/13/2014 Associated Laboratories 2,754.20 SEPTEMBER 2014 LAB TEST 64466 11/13/2014 AT & T 45.48 CIRCUIT 75KS315PT - OCT 2014 64465 11/13/2014 AT & T - Calnet2 3,210.99 ATT CALNET 64467 11/13/2014 Autoscribe Corporation 703.25 TRANS THROUGH PMT VISION GTWY 64444 11/13/2014 BERENICE GUZMAN 24.81 CUSTOMER REFUND 64468 11/13/2014 Bush & Associates Inc 3,648.00 SURVEY CONTROL - J2012 -13 64424 11/13/2014 C & C MGMT LLC 111.27 CUSTOMER REFUND 64427 11/13/2014 C & C MGMT LLC 70.77 CUSTOMER REFUND 64428 11/13/2014 C & C MGMT LLC 24.87 CUSTOMER REFUND 64430 11/13/2014 C & C MGMT LLC 62.67 CUSTOMER REFUND 64431 11/13/2014 C & C MGMT LLC 46.47 CUSTOMER REFUND 64432 11/13/2014 C & C MGMT LLC 24.87 CUSTOMER REFUND 64434 11/13/2014 C & C MGMT LLC 555.49 CUSTOMER REFUND 64469 11/13/2014 CalCard US Bank 48,167.63 CREDIT CARD TRANSACTIONS FOR OCTOBER 2014 64470 11/13/2014 CDM Smith 6,175.61 PROF SVCS - J2009 -22 64471 11/13/2014 CDW Government, Inc 66.42 IT EQUIPMENT 64448 11/13/2014 CHAMPING PAVING INC 698.50 CUSTOMER REFUND 64442 11/13/2014 CINDY QUIROZ 8.95 CUSTOMER REFUND 64472 11/13/2014 City Of Anaheim 36,529.88 RICHFIELD & LAKEVIEW- ELEC - SEPT 2014 64473 11/13/2014 Clinical Lab. Of San Bern. 1,710.00 LAB TEST - SEPTEMBER 2014 64474 11/13/2014 Coastal Ignition & Controls 1,459.25 CHAMPTION SPARK PLUGS 64490 11/13/2014 Costco Online 402.66 ALL HANDS MEETING SUPPLIES 64450 11/13/2014 CRAIG STOCKSTILL 184.41 CUSTOMER REFUND 64475 11/13/2014 CSDA 5,691.00 2015 MEMBERSHIP DUES 64476 11/13/2014 Culligan of Santa Ana 2,015.98 EQUIPMENT PE SOFTENER 64423 11/13/2014 CYNTHIA BEAR 66.22 CUSTOMER REFUND 64477 11/13/2014 Dapper Tire Co. Inc. 832.90 P235/75R15 TIRES 64478 11/13/2014 Dean Criske Trucking 1,565.66 BASE, SAND & COLD MIX TRANSPORTATION 64439 11/13/2014 DONNA LOVETT 17.24 CUSTOMER REFUND 64479 11/13/2014 Eisel Enterprises, Inc. 642.06 METER BOX AND LIDS 64480 11/13/2014 Environmental Engineering & Contracting Inc. 5,408.34 PROF. SERVICES - SEPTEMBER 2014 64443 11/13/2014 ESCALE INVESTMENTS 173.63 CUSTOMER REFUND 64481 11/13/2014 Fairway Ford Sales, Inc. 57.34 LAMP ASSEMBLY - UNIT 188 64482 11/13/2014 Federal Express 88.73 SHIPPING FEES 64483 11/13/2014 Gary Melton 126.50 MILEAGE REIMBURSEMENT - MELTON 64441 11/13/2014 GEORGE GOWANNI 21.32 CUSTOMER REFUND 64484 11/13/2014 Golden Bell Products 734.40 ODOR CONTROL BLOCK 64485 11/13/2014 Graybar Electric Co 1,100.00 UNITY LEVEL 1 TRAINING 64486 11/13/2014 Haaker Equipment Co. 545.00 ELBOW ASSEMBLY 64487 11/13/2014 Hach Company 676.12 WTR QUALITY TEST KITS 64488 11/13/2014 Hall & Foreman, Inc 540.00 PROF SVCS - J2014 -09S 64491 11/13/2014 Infosend Inc. 8,473.31 PRINT & POSTAGE FEES 64492 11/13/2014 Integrity Backflow 1,281.06 BACKFLOW TESTING AND REPAIRS 64495 11/13/2014 J & S Construction 950.00 R &R APPRX 40 SF SIDEWALK 64493 11/13/2014 Jackson's Auto Supply - Napa 104.22 OIL FILTER 64425 11/13/2014 JAMES WRIGHT 189.36 CUSTOMER REFUND 64438 11/13/2014 JAMIE STANTON 51.80 CUSTOMER REFUND 64494 11/13/2014 Jeremy Smith 35.00 SAFETY FEST 2014 ADM FEE 64451 11/13/2014 JING LIU 160.51 CUSTOMER REFUND 64497 11/13/2014 Kimball Midwest 293.13 HARDWARE SUPPLIES 64496 11/13/2014 Kimco Staffing Services Inc 1,798.72 CUSTOMER SVC - MORENO, P 64498 11/13/2014 Konica Minolta Business 291.47 BIZHUB C224 LEASE 64453 11/13/2014 LESTER NG 19.40 CUSTOMER REFUND 64499 11/13/2014 Liebert Cassidy Whitmore 6,054.95 PROF. SERVICES - SEPTEMBER 2014 64437 11/13/2014 LOU ANNE FETSCHER 36.79 CUSTOMER REFUND 64489 11/13/2014 MailFinance 313.93 EQUIPMENT LEASE 64500 11/13/2014 Marina Landscape, Inc 226.75 IRRIGATION REPAIR 64429 11/13/2014 MARK RUIZ 71.61 CUSTOMER REFUND 64542 11/13/2014 Mc Fadden -Dale Hardware 871.80 HARDWARE SUPPLIES 64501 11/13/2014 Mc Master -Carr Supply Co. 434.39 HARDWARE SUPPLIES 64447 11/13/2014 MOOREFILED CONSTRUCTION INC 802.90 CUSTOMER REFUND 64541 11/13/2014 Municipal Water District 645.00 RESIDENTIAL TIMERS - SEPT 2014 64502 11/13/2014 Muzak LLC 76.68 NOVEMBER 2014 SERVICES 64503 11/13/2014 Nickey Kard Lock Inc 6,279.59 FUEL 64504 11/13/2014 O.C. Driveline 212.35 ENGINE MAINT - VALLEY VIEW 64505 11/13/2014 Office Solutions 1,693.93 OFFICE SUPPLIES 64454 11/13/2014 OLSON URBAN - PLACENTIA 1 LLC 960.00 CUSTOMER REFUND 64506 11/13/2014 One Source Distributors, LLC 134.92 HIGHLAND PLC 50 64507 11/13/2014 Orange County - Auditor /Cont 716.90 SEPT 2014 - GENERAL WASTE 64508 11/13/2014 Orange County Water District 145.34 DA 13 -13 ANNEX PUBLIC NOTICE 64516 11/13/2014 P.T.I. Sand & Gravel, Inc. 1,879.17 3/4" CL2 BASE, COLD MIX ASPHALT, & FILL SAND 64509 11/13/2014 Parts Source Anaheim 63.97 VEH. MAINTENANCE - UNIT 147 64426 11/13/2014 PAULINA GRAY 34.52 CUSTOMER REFUND 64510 11/13/2014 Paulus Engineering Inc. 23,531.00 MANHOLE REPAIR 64511 11/13/2014 Plumbers Depot Inc. 5,032.80 WARTHOG, RECYCLED WTR PULLER 64512 11/13/2014 Powerstride Battery 89.38 PS59 -675 - BATTERY 64513 11/13/2014 Praxair Distribution 243.57 INPUT CORD 64514 11/13/2014 Priority Mailing Systems LLC 183.39 INK CARTRIDGE 64515 11/13/2014 Prudential Group Insurance 3,972.89 INSURANCE LIFE /ADD /LTD & STD 64517 11/13/2014 Quinn Power Systems Associates 1,888.65 ENGINE MAINTENANCE 64518 11/13/2014 R.F.MacDonald Co 3,853.79 DOSING UNIT 64524 11/13/2014 Rachel Padilla /Petty Cash 271.65 PETTY CASH 64435 11/13/2014 RICHARD HAM 178.76 CUSTOMER REFUND 64519 11/13/2014 Robert Kiley 99.08 DATA PLAN & MILEAGE REIMBURSEMENT - KILEY 64452 11/13/2014 ROBERT RIVERA 125.75 CUSTOMER REFUND 64520 11/13/2014 Sanders Paving, Inc. 525.00 RESTRIPPING OF RICHFIELD PARK 64521 11/13/2014 SC Prime Source Inc. 4,800.00 JANITORIAL SERVICES - OCT 2014 64440 11/13/2014 SHANNON NGUYEN 65.47 CUSTOMER REFUND 64522 11/13/2014 Shaw HR Consulting 1,005.00 REIMBURSEMENT - DOCTOR VISITS 64523 11/13/2014 Shred -It USA Inc 93.14 SHRED IT SERVICE W110S14 11/05/2014 Southern Calif Gas Co. 124,163.63 HIGHLAND & PASO FINO - ELECTRICAL - AUGUST 2014 64531 11/13/2014 St.Jude Hospital Yorba Linda 193.00 MEDICAL TESTING - SEPT 2014 64528 11/13/2014 Stantec Consulting Services Inc. 22,378.59 WELL 21 EQUIPPING- J2009 -22 #21 64525 11/13/2014 Staples Business Advantage 344.46 TONER & OFFICE SUPPLIES 64526 11/13/2014 State Chemical Manufacturing 604.86 BIO BASED PENETRANT 64527 11/13/2014 Stater Bros. Markets 19.49 MEETING SUPPLIES 64529 11/13/2014 Step Saver Inc 1,908.71 COARSE SALT 64530 11/13/2014 Steven Engineering 536.39 YLBPS PROJECT & WELL 7 UPGRADE 64532 11/13/2014 Sunrise Medical Group 1,000.00 FLU VACCINE 64533 11/13/2014 Superior Water Technologies 354.00 PSI 100 SYSTEM FAIL 64534 11/13/2014 Tab Products Co. 310.52 PKT LTR - 3.5" EXP 64535 11/13/2014 TDI Refrigeration Air Conditioning Inc. 133.16 AIR FILTERS 64433 11/13/2014 TERRY TETT 60.07 CUSTOMER REFUND 64536 11/13/2014 Time Warner Cable 1,465.62 BCF FIBER I NET & BASIC CABLE 64537 11/13/2014 United Industries 1,095.27 PPE EQUIPMENT 64445 11/13/2014 VICKI ISKENDERIAN 160.53 CUSTOMER REFUND 64538 11/13/2014 Vido Samarzich Inc 184,038.42 J2012 -13 - PROGRESS PAYMENT 02 64539 11/13/2014 Village Nurseries 153.58 SOD REPLACEMENT W102714 10/27/2014 William Robertsons 23,473.84 TRANSFER OF FUNDS FROM T.ROWE PRICE 64540 11/13/2014 Yorba Linda Hardware 156.50 HARDWARE SUPPLIES S81,L31.y/ Meeting Date To: From: Presented By Prepared By: Subject: SUMMARY: AGENDA REPORT November 13, 2014 Board of Directors Marc Marcantonio, General Manager Steve Conklin, Engineering Manager Budgeted: Total Budget: Cost Estimate: Funding Source Account No: Job No: Dept: Reviewed by Legal: Joe Polimino, Project Engineer CEQA Compliance: ITEM NO. 8.3 Yes $350,000 $345,780 All Water Funds 101 -2700 J2012 -13 Engineering N/A Exempt Progress Payment No. 2 for the YLHS Park Bryant Cross Feeder Pipeline Relocation Project Work continues on the construction of the YLHS Park Bryant Cross Feeder Pipeline Relocation Project. The project consists of the installation of approximately 520 lineal feet of 36 -inch waterline, fittings, valves and associated appurtenances. STAFF RECOMMENDATION: That the Board of Directors approve Progress Payment No. 2 in the net amount of $169,727.19 to Vido Samarzich, Inc. for construction of the YLHS Park Bryant Cross Feeder Pipeline Relocation Project, Job No. 2012 -13. DISCUSSION: In accordance with the contract documents, Vido Samarzich, Inc. submitted a request for Progress Payment No. 2, in the amount of $178,660.20 for completed work through October 31, 2014. During this period, the contractor installed 447 lineal feet of 36 -inch pipe and backfilled the trench. They also capped and hydro- tested the installed sections. The remainder of the pipe has been delivered to the project site. The status of the construction contract with Vido Samarzich, Inc. is as follows: • The current contract is $345,780.00 and 203 calendar days (includes Change Order No.1 which added 98 calendar days) starting June 23, 2014. • If approved, Progress Payment No. 2 is $178,660.20 (51.7% of the total contract amount), less 5% retention of $8,933.01 for a net payment of $169,727.19. • If approved, total payments to date including retention will be $240,474.00 (69.5% of the total contract amount). • As of October 31, 2014, 131 calendar days were used (64.5% of the contract time). Staff reviewed the contractor's progress payment and recommend approval. A copy of Progress Payment No. 2 is attached for your reference. STRATEGIC PLAN: SR 3 -A: Complete Implementation of Five Year Capital Improvement Plan from FY 2011 -2015 with adopted amendments PRIOR RELEVANT BOARD ACTION(S): On June 12, 2014, the Board of Directors authorized the President and Secretary to execute a Construction Agreement between Vido Samarzich, Inc., and the Yorba Linda Water District for the Construction of the YLHS Park Bryant Cross Feeder Pipeline Project in the amount of $345,780. The Board of Directors has approved one progress payment and one change order to date (which added 98 calendar days), on September 25, 2014. ATTACHMENTS: Description: Type: Samarzich YLHS Park Bryant Pipeline Relocation Signed PPR 2.pdf YLHS Bryant Pipeline Progress Payment No. 2 Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/13/2014 RC /GM 5 -0 YORBA LINDA WATER DISTRICT PROGRESS PAY REPORT PROJECT YLHS Park Bryant Cross Feeder PROGRESS PAY REQUEST NO. 002 Pipeline Relocation LOCATION Yorba Linda, CA PROJECT NO. 201213 PAGE 1 OF 1 PAGES CONTRACTOR Vido Samarzich, Inc. DATE 10/30/14 ORIGINAL CONTRACT AMOUNT: $ 345,780.00 AUTHORIZED CHANGE ORDERS: $ - REVISED CONTRACT AMOUNT: $ 345,780.00 PROGRESS PAY ESTIMATE FOR PERIOD September 1, 2014 TO PREVIOUS THIS M, VALUE OF WORK COMPLETED Is 61.813 -80 $ 1 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 COMPLETION TIME APPROVED TIME EXTENSIONS TOTAL CONTRACT TIME TIME EXPENDED TO DATE TIME REMAINING REQUESTED BY: RECOMMENDED: I - $ 61,813.80 $ $ 58,723.11 $ Electronic Wire Fees June 23, 2014 105 CALENDAR DAYS 98 CALENDAR DAYS 203 CALENDAR DAYS 131 CALENDAR DAYS 72 CALENDAR DAYS Joe Qjblimino, Construction Supervisor, Xtober 31, 2014 TO DATE i.20 1 $ 240,474.00 $ - 660.20 $ 727.19 $ $ $ 58,723.11 $ 169,727.19 DATE: 0�0 e DATE: 3a I APPROVED BY: DATE: Steve Conklin, Engineering Manager, YLWD AGENDA REPORT Meeting Date: November 13, 2014 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Dept: Prepared By: Kelly McCann, Senior Accountant ITEM NO. 8.4 Finance Subject: Investment Report for Period Ending September 30, 2014 SUMMARY: Government Code Section 53607, et. seq., requires the person delegated to invest funds to make quarterly report of investments to the legislative body. STAFF RECOMMENDATION: That the Board of Directors receive and file the Investment Report for the Period Ending September 30, 2014. COMMITTEE RECOMMENDATION: The Finance - Accounting Committee discussed this item at its meeting held October 29, 2014 and supports the staff's recommendation. DISCUSSION: Staff is submitting the Investment Report for the Period Ending September 2014 for your review and approval. This report ends the first quarter of FY2014/15. The Investment Portfolio Reports presents the market value and the percent yield for all the District investment by institution. The information and market value broken out by reserve categories. The total average portfolio yield for the month of September 2014 was 0.60 %. STRATEGIC PLAN: FR 1 -F: Continue to Record and Report the Fairly Stated Financial Activities of the District in a Timely and Transparent Manner to the Board of Directors and Member Agencies ATTACHMENTS: Invst Rpt 09- 14.xlsx Invst Agenda Backup - September 2014.xlsx Approved by the Board of Directors of the Yorba Linda Water District 11/13/2014 RC /GM 5 -0 Description: Type: Investment Report for Period Ending September 2014 Backup Material Investment Summary Report - September 2014 Backup Material Yorba Linda Water District Investment Portfolio Report September 30, 2014 Market % Date of Percent Value Par of Total Institution Maturity Yield Checking Account. $ 165,387 $ 165,387 Wells Fargo Bank 79,265 79,265 Pershing $ 244,652 $ 244,652 0.81% Total 0.00% Money Market Accounts: $ 54,977 $ 54,977 1,912,718 1,912,718 4,025,707 4,025,707 $ 5,993,402 $ 5,993,402 19.80% Federal Agency Securities: Wells Fargo Money Market 0.03% US Bank (Revenue Bonds) 0.03% Bank of the West 0.11% Total 0.08% $ 491,540 $ 500,000 Fannie Mae 05/25/18 1.14% 490,720 500,000 Federal Home Loan Bank 06/12/18 1.01% 497,085 500,000 Fannie Mae 06/12/18 0.85% 492,480 500,000 Federal Home Loan Bank 06/13/18 1.11% 492,700 500,000 Federal Home Loan Bank 06/20/18 1.14 % 2,109,416 2,124,676 Federal Home Loan Bank 05/24/17 0.88 % $ 4,573,941 $ 4,624,676 15.11 % Total 05/14/18 0.97% Certificates of Deposits: $ 245,232 $ 248,000 Crf Bank, Salt Lake 05/22/18 1.21% 245,059 248,000 Discover 05/22/18 1.21% 245,542 248,000 Goldman Sachs Bank 05/22/18 1.21% 245,297 248,000 Beal Bank 05/23/18 1.01% 246,792 248,000 Wells Fargo 04/27/18 0.90% 244,229 247,000 Barclays Bank 04/30/18 0.70% 245,927 248,000 State Bank of India 05/14/18 1.15% 247,018 249,000 Webster Bank 05/03/18 0.90% 245,220 248,000 American Express Centurion Bank 05/23/18 1.21% 243,248 248,000 GE Capital Bank 05/24/18 1.12% 248,681 249,000 Merrick Bank 05/24/17 0.75% 247,683 248,000 BMW Bank 05/24/17 0.90% 248,923 249,000 Firstbank Puerto Rico 05/24/16 0.75% 246,209 249,000 Oriental Bank & Trust 05/29/18 1.06% 246,281 249,000 Silvergate Bank 05/30/18 1.01% 246,196 249,000 Enterprise Bank & TR Co Lowell 05/30/18 1.01% 246,186 249,000 Safm National Bank 05/31/18 1.01% 245,205 248,000 Townebank Portsmouth 05/31/18 1.01% 246,206 249,000 Mascoma Savings Bank 05/29/18 1.01 % $ 4,675,134 $ 4,719,000 15.44% Total 1.01% Pooled Investment Accounts: $ 5,392,001 $ 5,392,001 Local Agency Investment Fund 0.25 % 3,073 3,073 CalTRUST Short Term 0.41% 9,389,439 9,408,812 CalTRUST Medium Term 0.75% $ 14,784,514 $ 14,803,886 48.84% 0.57% $ 30,271,643 $ 30,3859616 100% Total Investments 0.60% Per Government Code requirements, the Investment Report is in compliance with the Yorba Linda Water District's Investment Policy, and there are adequate funds available to meet budgeted and actual expenditures for the next six months. /A;—� Kelly D. McCann, Senior Accountant 9/30/14 Investment Summary Report Below is a chart summarizing the yields as well as terms and maturities for the month of September 2014: Average # of Month Portfolio Days to of 2014 Yield Maturity September 0.60% 385 Below is are charts comparing operating fund interest for current and prior fiscal years. Actual Interest Monthly - September Year -to -Date Budget Interest Budget, September YTD Interest Budget, Annual 9/30/2013 9/30/2014 $ 9,939 $ 13,046 $ 27,002 $ 31,736 2013/2014 2014/2015 $ 21,750 $ 28,000 $ 87,000 $ 112,000 Interest earned on investments is recorded in the fund that owns the investment. Investment Summary Comparison Between Current and Previous Month The distribution of investments in the portfolio both in dollars and as a percentage of the total portfolio by funds is as follows: Fund Description Water Operating Reserve Water Emergency Reserve Water Capital Project Reserve Water Reserve for Debt Service Maintenance Reserve Employee Liability Reserve COP Revenue Bond 2008 - Reserve Sewer Operating Sewer Emergency Reserve Sewer Capital Project Reserve Water Operating Sewer Operating August 2014 % Alloc Balance 8/31/2014 $ 2,035,776 7.07% 1,013,152 3.52% 16,694,667 57.98% 3,320,078 11.53% 150,335 0.52% 200,153 0.70% 2,148,371 7.46% 92,904 0.32% 1,011,092 3.51% 2,127,735 7.39% $ 28,794,263 100.00% Wells Fargo Bank Checking (39,240) 123,631 84,391 September 2014 % Alloc Balance 9/30/2014 $ 2,006,819 6.67% 1,011,245 3.36% 16,677,713 55.40% 2,731,297 9.07% 150,335 0.50% 200,169 0.66% 4,022,134 13.36% 92,902 0.31% 1,010,328 3.36% 2,203,314 7.32% $ 30,106,256 100.00% 104,502 60,885 165,387 Totals $ 28,878,654 $ 30,271,643 Meeting Date Subject: ATTACHMENTS: ITEM NO. 10.1 AGENDA REPORT November 13, 2014 Executive - Administrative - Organizational Committee (Kiley / Collett) • Minutes of the meeting held October 13, 2014 at 4:00 p.m. • Minutes of the meeting held November 10, 2014 at 4:00 p.m. (To be provided at the next regular Board meeting.) • Next meeting is scheduled to be held December 9, 2014 at 10:00 a.m. Name: Description: Type: 101314 EAO - Minutes.docx Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT EXECUTIVE - ADMINISTRATIVE - ORGANIZATIONAL COMMITTEE MEETING Monday, October 13, 2014, 4:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. 3 4 The October 13, 2014 meeting of the Yorba Linda Water District's Executive - Administrative- Organizational Committee was called to order by Director Kiley at 4:00 p.m. The meeting was held in the Admin Conference Room at the District's Administration Building located at 1717 East Miraloma Avenue in Placentia, California 92870. ROI I CAI I COMMITTEE STAFF Director Robert R. Kiley, Chair Marc Marcantonio, General Manager Director Ric Collett Damon Micalizzi, Public Information Manager Annie Alexander, Executive Secretary OTHER ATTENDEES Art Kidman, Partner, Kidman Law LLP Heather Stratman, Senior Director, Townsend Public Affairs (Via Teleconference) PUBLIC COMMENTS None. DISCUSSION ITEMS 4.1. Status of Legislative Affairs Mrs. Stratman provided the Committee with a summary of recent legislative activities. She noted that Governor Brown had raised approximately $6M for the water bond campaign and that support for Propositions 1 and 2 had been linked together. She indicated that with a 58 -60% approval rating both pieces of legislation were both likely to pass in the November election. Mrs. Stratman then responded to questions from the Committee and staff regarding the limited campaign efforts against Proposition 1, local elections, and when the District's seat on the OCSD Board of Directors would become official. Mr. Micalizzi reported that the District's logo had been forwarded to OCSD for placement in their Board room. 1 5. ACTION CALENDAR 5.1. Resolution in Support of Proposition 1 Mr. Marcantonio explained that staff was planning to present this resolution to the Board of Directors for consideration at their next regular meeting. Director Kiley stated that he would mention it at the next Yorba Linda City Council meeting. The Committee and staff then discussed the possibility of having Mr. Micalizzi sit at the dais, utilizing a sign in sheet to for members of the public to complete when they wish to address the Board, and time limitations for public comments. Following discussion, Ms. Alexander was instructed to place a sign in sheet at the podium for the public's use at future Board meetings. The following items were taken out of order. 6. DISCUSSION ITEMS CONTINUED 6.1. Potential Options for Augmentation of Conservation Rebates (Verbal Report) Mr. Micalizzi requested feedback from the Committee regarding the possibility of using funds previously budgeted for the November election to augment the District's water conservation programs. Following discussion, the Committee instructed staff to hold off on earmarking these funds at this time. The Committee and staff then discussed developer funds previously allocated for improvements at the Elk Mountain Reservoir. The possibility of using these funds for security improvements at the site was also discussed. Staff will follow up to determine the status of these monies and any associated restrictions for their use. ACTION CALENDAR CONTINUED 5.2. Amendments to the District's Conflict of Interest Code Mr. Marcantonio explained that the District is required to review its Conflict of Interest Code on a biennial basis. Staff reviewed the code and has identified 2 minor revisions. The Committee and staff then discussed the possibility of asking the Board to formally reaffirming the District's Ethics Policy (Resolution No. 10 -05) as it was very closely related to the Code and provided additional rules and procedures relative to Director and employee conduct. Following discussion, the Committee instructed staff to prepare an agenda report asking the Board to consider approving the revised Conflict of Interest Code and reaffirming the Ethics Policy as two 2 separate actions. A copy of both resolutions would then be distributed to all affected employees for review and formal acknowledgement. Mr. Marcantonio noted that he would be soon setting up one -on -one meetings with each of the Board members. DISCUSSION ITEMS CONTINUED 6.2. Future Agenda Items and Staff Tasks Ms. Alexander was instructed to contact the rest of the Board to check their availability for a rescheduled meeting on Tuesday, December 9, 2014 at 8:30 a.m. in order to accommodate Director and staff attendance at the upcoming CRWUA conference on Thursday, December 11, 2014. (This meeting was subsequently scheduled for Monday, December 8, 2014 at 8:30 a.m.) Mr. Kidman then responded to questions from staff regarding procedures for bringing matters back to the Board that might not pass due to a 2 -2 vote. 7. ADJOURNMENT 7.1. The meeting was adjourned at 5:11 p.m. The next Executive - Administrative- Organizational Committee meeting is scheduled to be held Monday, November 10, 2014 at 4:00 p.m. .. 3 Meeting Date Subject: ATTACHMENTS: ITEM NO. 10.2 AGENDA REPORT November 13, 2014 Finance - Accounting Committee (Hawkins / Beverage) Minutes of the meeting held October 29, 2014 at 4:00 p.m. Next meeting is scheduled to be held November 17, 2014 at 4:00 p.m. Name: Description: Type: 102914 FA - Minutes.doc Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT FINANCE - ACCOUNTING COMMITTEE MEETING Wednesday, October 29, 2014, 4:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER The October 29, 2014 meeting of the Yorba Linda Water District's Finance - Accounting Committee was called to order by Director Hawkins at 4:00 p.m. The meeting was held in the Admin Conference Room at the District's Administration Building located at 1717 East Miraloma Avenue in Placentia, California 92870. 2. ROLL CALL COMMITTEE 3. 4. 5 Director Phil Hawkins, Chair Director Michael J. Beverage PUBLIC COMMENTS None. STAFF Marc Marcantonio, General Manager Delia Lugo, Finance Manager ACTION CALENDAR 4.1. Investment Report for the Period Ending September 30, 2014 Mrs. Lugo presented the Investment Report for the Period Ending September 30, 2014. She reported that the average yield for September 2014 was 0.60 %. Mrs. Lugo also reported that the overall increase in the investment balance from the previous month is approximately $1.4 million. A larger balance change includes an increase in COP Revenue Bond - Reserve Fund of $1,874,000 due to the posting of funds to be available for the Debt Service principal and interest payment due on October 1, 2014. The decrease in Water Reserve for Debt Services fund of $588,781 is the direct result of making funds available for Debt Service payment due October 1, 2014. The Committee asked some clarifying questions and supported staff's recommendation. DISCUSSION ITEMS 5.1. Budget to Actual Results for September 2014 Mrs. Lugo presented the Budget to Actual Reports for the Month Ending September 30, 2014. Mrs. Lugo reported that the District's reported water revenue is 30.34% of annual budget, which is 3.71% lower that the historical trend for this point of the fiscal year. The majority of the Water Fund's individual Supplies and Services expenses are below budget, with the exceptions of Dues & Memberships, Materials, Maintenance, and Vehicle Equipment due to the previous month's reported reasons. 1 In addition, Insurance is at 66.10% of annual budget due to annual auto and general liability insurance payment to ACWA/JPIA, Utilities is at 29.72% of the annual budget due to electricity costs at the Richfield and Miraloma facilities, and Other Expenses are at 53.34% of the annual budget due to adjustments in the prior year invoices for the Highland Booster Station from the Southern California Gas Company. Overall, Sewer Supplies and Services expenses are trending below budget, with the same exceptions noted in the water fund. In addition, Non - Capital Equipment is at 78.86% of annual budget due to the replacement of the camera cable in the camera vehicle. 5.2. Overhead Rate Analysis Report Kelly McCann presented the most recent overhead calculation for the Committee's review. In Kelly's presentation, he discussed the how and why we calculate an overhead rate, displayed how subjective some expense items can be when determining whether they are direct or indirect costs to the District, and when the overhead rate will be used in future miscellaneous billings presented for payment. The District's current Overhead Rate has been calculated to be 78 %. 5.3. Supplemental Investment Services Provided by Kreisler Long -term Investments and Blaylock Robert Van, LLC This item entailed Mrs. Lugo discussing the Finance Department's interest in obtaining information on utilizing a third party to assist on future investments the District would consider in order to optimize potential interest earnings. Kreisler Long -term Investments was sought out after receiving referrals from other local governmental agencies. A professional introduction and biography from Kreisler Long -term Investments and Blaylock Robert Van, LLC were included for review by the Committee. 5.4. Refund Received from MWDOC In order for the refund received from Municipal Water District to be credited against current year expenses and revenues, Mrs. Lugo discussed with the Committee how District Resolution 08 -01 needs to be reviewed and rewritten in order to allow for the refund to be applied in the most cost effective manner. 5.5. Future Agenda Items and Staff Tasks Invite Kreisler Long -term Investments to attend the next Finance - Accounting Committee meeting on November 24, 2014. Review the current Purchasing Policy and make and recommendations for additions, changes, or deletions. Review Resolution 08 -01 and make recommendations that would make the resolution cost effective for the District. 04 6. ADJOURNMENT 6.1. The meeting was adjourned at 5:40 p.m. The next Finance - Accounting Committee meeting is scheduled to be held Monday, November 24, 2014 at 4:00 p.m. 171 3 Meeting Date Subject: ATTACHMENTS: ITEM NO. 10.3 November 13, 2014 Na r 101414 PRM - Minutes.doc AGENDA REPORT Personnel -Risk Management Committee (Hawkins / Melton) Minutes of the meeting held October 14, 2014 at 4:00 p.m. Minutes of the meeting held November 12, 2014 at 8:30 a.m. (To be provided at the next regular Board meeting.) • Next meeting is scheduled to be held December 16, 2014 at 4:00 p.m. Description: Type: Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT PERSONNEL -RISK MANAGEMENT COMMITTEE MEETING Tuesday, October 14, 2014 4:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. 3 4. The October 14, 2014 meeting of the Yorba Linda Water District's Personnel - Risk Management Committee was called to order by Director Hawkins at 4:00 p.m. The meeting was held in the Admin Conference Room at the District's Administration Building located at 1717 East Miraloma Avenue in Placentia, California 92870. ROI I CAI I COMMITTEE MEMBERS PRESENT Director Phil Hawkins, Chair Director Gary T. Melton PUBLIC COMMENTS None. ACTION CALENDAR STAFF PRESENT Marc Marcantonio, General Manager Gina Knight, HR and Risk Manager 4.1. Revised Employee Compensation Letters to Incorporate New Management Position Ms. Knight presented Draft revised Compensation Letters for both the Management and Supervisory /Confidential employee groups to incorporate the promotion of the Public Information Officer to a Public Information Manager position. In addition, specific benefit language was revised for clarification purposes to both documents. Staff was directed to finalize both management and supervisory /confidential employee compensation letters and to present the revised documents through Resolution to the Board of Directors on November 13, 2014 for consideration and approval. 4.2. Claim Filed by William P. Austell, Jr. The Committee discussed the claim and will recommend that the Board of Directors reject the claim and refer the claim to ACWA -JPIA at the next Board of Directors meeting scheduled October 21, 2014. 1 4.3. Claim Filed by Brett M. Murdock, Esq. on behalf of Sharla Worth The Committee discussed the claim and will recommend that the Board of Directors reject the claim and refer the claim to ACWA -JPIA at the next Board of Directors meeting scheduled October 21, 2014. 4.4. Claim Filed by Hari Soeharjono The Committee discussed the claim and will recommend that the Board of Directors reject the claim and refer the claim to ACWA -JPIA at the next Board of Directors meeting scheduled October 21, 2014. 5. DISCUSSION ITEMS 5.1. Status of Assessment of Job Descriptions and Titles (Verbal Report) Ms. Knight reported that six job descriptions were in review and that HR staff has been working with Finance and Operations to make revisions to the following job descriptions: Customer Service Rep I, II, III and Maintenance Worker I, II, III positions. 5.2. Status of Performance Evaluations (Verbal Report) Ms. Knight distributed the latest performance Review Report. The Committee was pleased to see that management is on track with timely performance evaluations. 5.3. Status of Policies and Procedures (Verbal Report) Ms. Knight did not report on this item. 5.4. Human Resources, Risk Management and Safety Activity (Verbal Report) Ms. Knight distributed both the HR /Risk Management Department activity and Budgeted Positions reports. 5.5. Future Agenda Items and Staff Tasks None. 6. ADJOURNMENT 6.1. The meeting was adjourned at 5:30 p.m. The next Personnel -Risk Management Committee meeting is scheduled to be held Wednesday, November 12, 2014 at 8:30 a.m. GK 2 Meeting Date Subject: ATTACHMENTS: ITEM NO. 10.4 AGENDA REPORT November 13, 2014 Planning- Engineering- Operations Committee (Melton / Beverage) Minutes of the meeting held November 4, 2014 at 4:00 p.m. Next meeting is scheduled to be held December 4, 2014 at 4:00 p.m. Name: Description: Type: 110414 - PEO Minutes.docx Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT PLANNING - ENGINEERING - OPERATIONS COMMITTEE MEETING Tuesday, November 4, 2014, 4:00 PM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. 3 4. F1 The November 4, 2014 meeting of the Yorba Linda Water District's Planning - Engineering- Operations Committee was called to order by Director Melton at 4:00 p.m. The meeting was held in the Admin Conference Room at the District's Administration Building located at 1717 East Miraloma Avenue in Placentia, California 92870. ROI I CAI I COMMITTEE MEMBERS PRESENT Director Gary T. Melton, Chair Director Michael J. Beverage PUBLIC COMMENTS None ACTION CALENDAR STAFF PRESENT Marc Marcantonio, General Manager Steve Conklin, Engineering Manager John DeCriscio, Operations Manager 4.1. Change Order No. 2 for the YLHS Park Bryant Cross Feeder Pipeline Relocation Project Mr. Conklin reported that this item has been deleted following discussions with staff from the City of Yorba Linda. DISCUSSION ITEMS 5.1. Review of Proposed Budget for Fairmont Project and District CIP (Verbal Report) Mr. DeCriscio noted that in recent weeks, OCWD staff is reporting that the OCWD Board could take action in early 2015 to reduce the BPP to as low as 65% if there is no rain and the drought conditions continue. With this potential drastic change in the BPP from the current 72 %, it was determined that the design of the Fairmont BPS should include the two pumps to deliver water from the 780 to the 1000 Zone, provided now rather than as a future addition to the facility. It was also recommended that the current design include the chlorine generation system for boosting of system disinfection, now rather than as a future addition. Following discussion, the Committee was supportive of these design changes. Mr. Conklin handed out copies of a revised District Capital Improvement Program that included projects approved for the FY 2014/15 budget as 1 well as updates to those projects and proposed additional projects presented over the current and following five fiscal years, to and including FY 2019/20. He noted that due to delays in planning and design, the projected capital expenditures in FY 14/15 and FY 15/16 are estimated to be $3.1 million and $7.9 million, rather that the previously estimated $6.1 million and $4.8 million, respectively. Mr. Conklin pointed out that the combined capital expenditures for the two years will be approximately the same in the two scenarios. The spread sheet showing a revised CIP also included new potential projects with construction proposed for FY 17/18 to FY 19/20. Following discussion, the Committee asked staff to continue to investigate potential projects, the budget and funding alternatives. This will be brought back to PEO for continuing discussion and then to the Board for review and consideration at a Workshop. 5.2. Status of Well Siting (Verbal Report) Mr. Conklin reported that the District's hydro - geologic consultant, CDM Smith, has begun its feasibility study of proposed Well 22, located adjacent to OCWD's Huckleberry Basin. The study will determine the estimated quality and quantity of water from the well, and determine if there are any potential site - development or permitting issues. The study should be complete within the next two months. 5.3. Status of Cielo Vista and Esperanza Hills Developments (Verbal Report) Mr. Conklin reported no recent activity on the two proposed residential development projects. However, he noted that he received an email on Nov 3 from County Planning that the two projects will be discussed in a Study Session with County staff on November 6. Mr. Conklin indicated that he plans to attend the 1:30 pm meeting in Santa Ana. 5.4. Monthly Groundwater Production and Purchased Import Water Report (To be provided at the meeting.) Mr. DeCriscio reported that water demand for the month of October was 3.9% above that budgeted. However, for the first four months of FY14/15, demand is 5.3% below the budgeted projection. He noted that through October, we have met 87% of our CUP obligation and will achieve 100% before January. 5.5. Monthly Preventive Maintenance (PM) Report (To be provided at the meeting.) Mr. DeCriscio noted that he has divided the PM Report in half, and proposes to present each half in greater detail in successive months. The Committee was agreeable to this approach. Mr. DeCriscio reported on PM work to date by our field crews on repair of leaks, meter installations, sewer cleaning and televising, and other sewer work including root removal. 2 5.6. Monthly Production Summary Report (To be provided at the meeting.) Mr. DeCriscio reported on max, min and average day water production in October, weather conditions, water quality throughout the system, and equipment removed and returned to service after repairs. He noted that Elk Mtn, Camino de Bryant and Chino Hills reservoirs were inspected this month by Aquatic Inspection, a diving service, with no problems reported. 5.7. Groundwater Producer Meeting Notes Mr. Conklin reported on the items discussed at the October 8 GWP meeting. He also handed out copies of two items to be discussed at the Nov 5 OCWD Board meeting titled "Groundwater Basin Accumulated Overdraft and FY14 -15 Imported Water Purchases," and "Poseidon Resources City of HB Ocean Desalination Project Schedule." Mr. Conklin noted that these two items are of major concern to YLWD and the other groundwater producers due to their potential impact on the BPP and the RA in the near future. Mr. Marcantonio asked if the Board has taken a position pro or con on the Desal Project. The Committee indicated that they continue to monitor the situation with no formal stance. 5.8. Status Report on Capital Projects in Progress Mr. Conklin reported on the status of capital projects currently is planning, design and construction. He noted that District staff is currently very busy reviewing plans and issuing permits for new water and sewer services for new single homes, small businesses, or small infill developments. 5.9. Future Agenda Items and Staff Tasks None. 6. ADJOURNMENT J D /SC 6.1. The meeting was adjourned at 4:58 p.m. The next Planning- Engineering- Operations Committee meeting is scheduled to be held Thursday, December 4, 2014 at 4:00 p.m. 3 Meeting Date Subject: ATTACHMENTS: ITEM NO. 10.5 AGENDA REPORT November 13, 2014 Public Affairs - Communications - Technology Committee (Collett / Kiley) Minutes of the meeting held November 3, 2014 at 4:00 p.m. Next meeting is scheduled to be held December 1, 2014 at 4:00 p.m. Name: Description: Type: 110314 PACT - Minutes.docx Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT PUBLIC AFFAIRS - COMMUNICATIONS - TECHNOLOGY COMMITTEE MEETING Monday, November 3, 2014, 4:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. 3 4 The November 3, 2014 meeting of the Yorba Linda Water District's Public Affairs - Communications- Technology Committee was called to order by Director Collett at 4:00 p.m. The meeting was held in the Admin Conference Room at the District's Administration Building located at 1717 East Miraloma Avenue in Placentia, California 92870. ROI I CAI I COMMITTEE MEMBERS PRESENT Director Ric Collett, Chair Director Robert R. Kiley PUBLIC COMMENTS None. DISCUSSION ITEMS STAFF PRESENT Marc Marcantonio, General Manager Damon Micalizzi, Public Information Mgr 4.1. Statewide Drought and Review of the District's Conservation Ordinance The Committee reviewed the District's Ordinance and discussed reductions in consumption since the Ordinance went into effect. The Discussion will continue during the next Committee Meeting in December. 4.2. Status of Part Time Public Affairs Specialist Position (Verbal Report) Mr. Micalizzi informed the Committee that the new Part Time Public Affairs Specialist is tentatively set to join the week of District November 17tH 4.3. Status of Current Public Outreach Activities and Water Donations The Committee reviewed the report, noting that requests for bottled water donations have increased steadily since the program's inception. 4.4. Future Media Outreach and Press Relations (Verbal Report) Mr. Micalizzi briefed the Committee on several potential upcoming news reports that could be related to the District including recent inquiries from local media outlets regarding conservation efforts made by various District Customers. 4.5. Future Agenda Items and Staff Tasks None. 1 5 17t•I ADJOURNMENT 5.1. The meeting was adjourned at 5:10 p.m. The next Public Affairs - Communications- Technology Committee meeting will be held Monday, December 1, 2014 at 4:00 p.m. 2 Meeting Date Subject: ATTACHMENTS: AGENDA REPORT November 13, 2014 ITEM NO. 12.1 Meetings from November 14, 2014 - December 31, 2014 Description: Type: BOD - Activities Calendar.pdf Backup Material Backup Material Board of Directors Activity Calendar Event Date Time Attendance by: November 2014 SDLA Conference Mon, Nov 17 8:30AM Collett/Kiley Finance - Accounting Committee Meeting Mon, Nov 17 4:OOPM Beverage /Hawkins SDLA Conference Tue, Nov 18 8:30AM Collett/Kiley Yorba Linda City Council Tue, Nov 18 6:30PM Kiley SDLA Conference Wed, Nov 19 8:30AM Collett/Kiley MWDOC Wed, Nov 19 8:30AM Melton OCWD Wed, Nov 19 5:30PM Collett OCSD Wed, Nov 19 6:30PM Kiley Citizens Advisory Committee Meeting Mon, Nov 24 8:30AM Kiley Joint Committee Meeting with MWDOC and OCWD Tue, Nov 25 4:OOPM Kiley /Beverage Board of Directors Regular Meeting Wed, Nov 26 8:30AM Yorba Linda Planning Commission Wed, Nov 26 6:30PM Melton District Offices Closed Thu, Nov 27 7:OOAM Yorba Linda LMCAC Thu, Nov 27 6:30PM Collett December 2014 Pub Affairs- Communications -Tech Committee Meeting Mon, Dec 1 4:OOPM Collett/Kiley Yorba Linda City Council Tue, Dec 2 6:30PM Collett MWDOC Wed, Dec 3 8:30AM Melton OCWD Wed, Dec 3 5:30PM Collett Planning- Engineering- Operations Committee Meeting Thu, Dec 4 4:OOPM Melton /Beverage Board of Directors Regular Meeting Mon, Dec 8 8:30AM Exec - Admin- Organizational Committee Meeting Tue, Dec 9 10:OOAM Kiley /Collett LAFCO Wed, Dec 10 8:30AM Beverage CRWUA Annual Conference Wed, Dec 10 2:OOPM Beverage /Melton Yorba Linda Planning Commission Wed, Dec 10 6:30PM Beverage CRWUA Conference Thu, Dec 11 9:OOAM Beverage /Melton Yorba Linda LMCAC Thu, Dec 11 6:30PM Beverage WACO Fri, Dec 12 7:45AM Kiley /Hawkins CRWUA Conference Fri, Dec 12 9:OOAM Beverage /Melton Citizens Advisory Committee Meeting Mon, Dec 15 8:30AM Kiley Personnel -Risk Management Committee Meeting Tue, Dec 16 4:OOPM Hawkins /Melton Yorba Linda City Council Tue, Dec 16 6:30PM Kiley MWDOC Wed, Dec 17 8:30AM Melton OCWD Wed, Dec 17 5:30PM Collett OCSD Wed, Dec 17 6:30PM Kiley Finance - Accounting Committee Meeting Mon, Dec 22 4:OOPM Beverage /Hawkins Board of Directors Regular Meeting Tue, Dec 23 8:30AM District Offices Closed Wed, Dec 24 7:OOAM Yorba Linda Planning Commission Wed, Dec 24 6:30PM Melton District Offices Closed Thu, Dec 25 7:OOAM Yorba Linda LMCAC Thu, Dec 25 6:30PM Collett 11/6/20142:53:01 PM AGENDA REPORT Meeting Date: November 13, 2014 ITEM NO. 13.1 Subject: Presentation by Governor Jerry Brown Regarding Propositions 1 and 2 - October 28, 2014 STAFF RECOMMENDATION: That the Board of Directors ratify Director attendance at this event if desired. ATTACHMENTS: Nami, Description: Gov Brown.pdf Backup Material Approved by the Board of Directors of the Yorba Linda Water District 11/13/2014 RC /PH 5 -0 Type: Backup Material le_el . Orange County Water District and Orange County Sanitation District with the Metropolitan Water District of Southern California invite you to a presentation by Cyovernor 9e Vrown Help keep California oving Forward Proposition 1: The California Water Bond and Proposition 2: The "Rainy Day" Fund Grangqe Coun� %vafer Visfricf rouneTwafer e %niy6menf .S' lem Date: Tuesday, October 28, 2014 Tiine: 2:30 PM to 3:30 PM Entrance: 18700 Ward Street Fountain Valley, CA 92708