HomeMy WebLinkAbout2014-11-26 - Board of Directors Meeting Agenda PacketYorba Linda
'"Water District
AGENDA
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Wednesday, November 26, 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. Introduction of Malissa Tem, Recently Hired Public Affairs Specialist (Part -Time)
6.2. Introduction of Jorge Lopez, Recently Promoted to Maintenance Distribution Operator III
6.3. Recognition of Jeremy Smith, Acting Safety and Training Technician, for Completion of
the ACWA /JPIA Operations Certification Program
6.4. Presentation of Proclamation to Director Ric Collett for 10 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.
• Minutes of the meeting held November 24, 2014 at 8:30 a.m. (Will be provided at the
next regular Board meeting.)
Next meeting is scheduled to be held December 15, 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 21, 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 $1,447,699.06.
8.3. Unaudited Financial Statements for Period Ending September 30, 2014.
Recommendation: That the Board of Directors receive and file the Unaudited
Financial Statements for the Period Ending September 30, 2014.
9. ACTION CALENDAR
This portion of the agenda is for items where staff presentations and Board discussions are needed prior to
formal Board action.
9.1. Proposed Revisions to Policy Pertaining to Disposition of Refunds from Outside
Agencies
Recommendation: That the Board of Directors approve Resolution No. 14 -17
Adopting a Policy on the Disposition of Refunds from Outside Agencies and
Rescinding Resolution No. 08 -01.
9.2. Vactor Truck Purchase
Recommendation: That the Board of Directors approve the purchase of a
Sewer /Jetter Truck from Haaker Equipment Company in the amount of
$391,604.00.
10. REPORTS, INFORMATION ITEMS, AND COMMENTS
10.1. President's Report
10.2. Directors' Reports
• CSDA Special District Leadership Academy Conference - November 17 -19, 2014
10.3. General Manager's Report
10.4. General Counsel's Report
10.5. Future Agenda Items and Staff Tasks
11. COMMITTEE REPORTS CONTINUED
11.1. Executive - Administrative - Organizational Committee
(Kiley / Collett)
• 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.
11.2. Finance - Accounting Committee
(Hawkins / Beverage)
• Minutes of the meeting held November 17, 2014 at 4:00 p.m.
Next meeting is scheduled to be held December 22, 2014 at 4:00 p.m.
11.3. Personnel -Risk Management Committee
(Hawkins / Melton)
• 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.
11.4. Planning- Engineering- Operations Committee
(Melton / Beverage)
Next meeting is scheduled to be held December 2, 2014 at 4:00 p.m.
11.5. Public Affairs - Communications - Technology Committee
(Collett / Kiley)
Next meeting is scheduled to be held December 1, 2014 at 4:00 p.m.
11.6. 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.
11.7. 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
regularly scheduled Board meeting.)
• Next meeting is tentatively scheduled to be held January 13, 2015 at 5:00 p.m. at YL
City Hall.
11.8. YLWD - MWDOC -OCWD Joint Agency Committee
(Kiley / Beverage)
• Minutes of the meeting held November 25, 2014 at 4:00 p.m. (To be provided at the
next regular Board meeting.)
• Next meeting is scheduled to be held January 27, 2015 at 4:00 p.m.
siVIIIIIIIIIIIIIIII Ilk 111:4: ICTOIN4:7ILM41L kir_10,M:1149l11 [L7
12.1. YL LMCAC -November 13, 2014 (Beverage)
12.2. YL City Council - November 18, 2014 (Kiley)
12.3. MWDOC Board -November 19, 2014 (Melton)
12.4. OCWD Board -November 19, 2014 (Collett)
12.5. OCSD - November 19, 2014 (Kiley)
13. BOARD OF DIRECTORS ACTIVITY CALENDAR
13.1. Meetings from November 27, 2014 - December 31, 2014
14. CONFERENCES, SEMINARS, AND SPECIAL EVENTS
This section of the agenda is for the Board of Directors to authorize Director attendance at the listed events.
14.1. CASA Winter Conference - January 21 -23, 2015
CSDA Special District Leadership Academy Conference - January 25 -28, 2015
Recommendation: That the Board of Directors approve Director attendance at these
events if desired.
15. CLOSED SESSION
The Board may hold a closed session on items related to personnel, labor relations and /or litigation. The public is
excused during these discussions.
15.1. Public Employee Performance Evaluation
Pursuant to Section 54957 of the California Government Code
Title: Acting General Manager /Engineering Manager
16. ADJOURNMENT
16.1. The next Regular Board of Directors Meeting will be held Monday, December 8, 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 26, 2014
Citizens Advisory Committee
(Kiley)
Minutes of the meeting held October 27, 2014 at 8:30 a.m.
Minutes of the meeting held November 24, 2014 at 8:30 a.m. (Will be
provided at the next regular Board meeting.)
• Next meeting is scheduled to be held December 15, 2014 at 8:30 a.m.
r - 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.
In addition, staff shared with the Committee a recent concern expressed
from Metropolitan about the lake levels at Lake Mathews which are at an
all -time low of 47,000 acre feet. If the lake level continues to drop and
reaches the 40,000 acre foot level (volume), Lake Mathews will fall
dangerously close to the hydraulic grade line necessary to gravity feed the
Diemer treatment plant.
1
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.
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
FA
ITEM NO. 8.1
AGENDA REPORT
Meeting Date: November 26, 2014
Subject: Minutes of the Board of Directors Regular Meeting held October 21, 2014
STAFF RECOMMENDATION:
That the Board of Directors approve the minutes as presented.
ATTACHMENTS:
102114 BOD - Minutes.doc
Approved by the Board of Directors of the
Yorba Linda Water District
11/26/2014
RC /PH 5 -0
Description: Type:
Minutes Minutes
K
3
4.
5.
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Tuesday, October 21, 2014, 8:30 a.m.
1717 E Miraloma Ave, Placentia CA 92870
CALL TO ORDER
The October 21, 2014 Regular Meeting of the Yorba Linda Water District Board
of Directors was called to order by President Kiley at 8:30 a.m. The meeting was
held in the Board Room at the District's Administration Building located at 1717
East Miraloma Avenue in Placentia, California 92
Y
PLEDGE OF ALLEGIANCE
President Kiley led the pledge.
ROLL CALL
Robert R. Kiley, President
Ric Collett, Vice President
Michael J. Beverage
Phil Hawkins
Gary T. Melton
STAFF PRESENT
Marc Marcantonio, General Manager
Steve Conklin, Engineering Manager
John DeCriscio, Operations Manager
Gina Knight, Human Resources / Risk Manager
Delia Lugo, Finance Manager
Damon Micalizzi, Public Information Manager
Art Vega, Acting IT Manager
Annie Alexander, Executive Secretary
Anthony Manzano, Sr. Project Manager
Brian Vargas, Sr. Maintenance Distribution Operator
Brett Barbre, Director, MWDSC and MWDOC
Gene Hernandez, Mayor Pro Tem, City of Yorba Linda
Eddy Beltran, Partner, Kidman Law LLP
Connie Almond, Attorney, Liebert Cassidy Whitmore
ADDITIONS /DELETIONS TO THE AGENDA
Mr. Marcantonio stated that there were no additions to the agenda but he'd like to
request that the Board of Directors consider taking Action Calendar Item No. 8.3.
and Closed Session Item No. 14.1. immediately following Special Recognition in
order to accommodate the attendance of labor counsel. He also stated that
Closed Session Item No. 14.2. was no longer needed.
Director Collett made a motion, seconded by Director Hawkins, to approve taking
Item Nos. 8.3. and 14.1. out of order. Motion carried 5 -0.
PUBLIC COMMENTS
None.
6. SPECIAL RECONGNITION
6.1. Introduce Brian Vargas, Newly Promoted to Senior Maintenance
Distribution Operator
Mr. DeCriscio introduced Mr. Vargas and provided the Board with an
overview of his background and previous work experience. The Board
and audience applauded Mr. Vargas on his accomplishment.
Mr. Vargas left the meeting at this time.
8. ACTION CALENDAR
8.3. Identification of Agency Designated Representative(s) for Labor
Negotiations
Mr. Marcantonio explained that staff was recommending the Board of
Directors designate Gina Knight, Human Resources /Risk Manager, and
Connie Almond, from Liebert Cassidy Whitmore to serve as the District's
designated representatives for labor negotiations with the Yorba Linda
Water District Employees Association.
Director Beverage made a motion, seconded by Director Hawkins, to
designate Gina Knight, Human Resources /Risk Manager, and Connie
Almond, Attorney, Liebert Cassidy Whitmore, as the Districts designated
representatives for labor negotiations with the Yorba Linda Water District
Employees Association. Motion carried 5 -0.
14. CLOSED SESSION
The meeting was adjourned to Closed Session at 8:38 a.m. All Directors were
present. Also present was Mr. Marcantonio, Mrs. Knight and Ms. Almond.
14.1. Conference with Labor Negotiators
Pursuant to Section 54957.6 of the California Government Code
Agency Designated Representatives:
Gina Knight, Human Resources /Risk Manager
Connie Almond, Attorney, Liebert Cassidy Whitmore
Employee Organization:
Yorba Linda Water District Employees Association
The Board reconvened in Open Session at 9:04 a.m. President Kiley reported
that no action was taken during Closed Session that was required to be reported
under the Brown Act.
Ms. Almond left the meeting at this time.
5. PUBLIC COMMENTS CONTINUED
Director Barbre addressed the Board and presented the District with a refund
check in the approximate amount of $16,173. He explained that MWDSC had
been overcharging for its water deliveries due to a meter over - register. He then
briefed the Board regarding the drought and its effect on the current water supply
situation. He also noted that Mr. Marcantonio and other management staff would
be participating in a tour of the Diemer Water Treatment Plant the next day.
7. CONSENT CALENDAR
Director Hawkins requested to remove Item No. 7.4. from the Consent Calendar
for separate action.
Director Hawkins made a motion, seconded by Director Collett, to approve the
remainder of the Consent Calendar. Motion carried 5 -0.
7.1. Minutes of the Board of Directors Regular Meeting held September 25,
2014
Recommendation: That the Board of Directors approve the minutes as
presented.
7.2. Payments of Bills, Refunds, and Wire Transfers
Recommendation: That the Board of Directors ratify and authorize
disbursements in the amount of $1,601,768.07.
7.3. Purchase of an Annual EADOC Project Management System Subscription
for the Fairmont Booster Pump Station and other YLWD Projects
Recommendation: That the Board of Directors approve the purchase of an
annual EADOC Project Management System subscription for the Fairmont
Booster Pump Station Project and other YLWD Projects in the amount of
$6,100.
7.5. Amendment No.1 to Professional Services Agreement for Fairmont
Booster Station Upgrade Project
Recommendation: That the Board of Directors approve Amendment No. 1
to the PSA with MWH, in the amount of $59,000, for additional
engineering services for the Fairmont Booster Station Upgrade Project,
increasing the total fee from $549,584 to the new total of $608,584, for
engineering design, bid -phase services, and services during construction.
3
7.6. Amendment No. 2 to the Professional Services Agreement (PSA) with
CDM Smith, Inc. for Hydrogeologic Services for Well No. 21
Recommendation: That the Board of Directors approve Amendment No. 2
to the PSA with CDM Smith, Inc. in the amount of $9,785, which will
increase the contract amount of $128,360 to a total revised contract
amount not to exceed $138,145.
7.7. Authorization to Reject Bids for Richfield Gate Modifications and
Readvertise with Richfield Campus Spoils Project
Recommendation: That the Board of Directors authorize to reject all bids
for the Richfield Gate Modifications Project and readvertise with Richfield
Campus Spoils Project.
7.8. Sole- Source Justification for Vactor Manufacturing
Recommendation: That the Board of Directors reject the claim and refer it
to ACWA/JPIA.
7.11. Claim Filed by Hari Soeharjono
Recommendation: That the Board of Directors reject the claim and refer it
to ACWA/JPIA.
ITEMS REMOVED FROM THE CONSENT CALENDAR FOR SEPARATE ACTION
7.4. Brand Name Requirement for Fairmont Booster Station Upgrade Project
Mr. Conklin explained that staff had determined that several key design
components and manufactured parts were desired from specific suppliers
in order to match products already in the District's water distribution
system. Legal counsel informed staff that a brand -name requirement
cannot be used unless determined by the Board pursuant to Public
Contract Code Section 3400.
Director Hawkins made a motion, seconded by Director Collett to approve
the brand name requirement for the Fairmont Booster Station Upgrade
Project for the items as specified. Motion carried 5 -0.
12
Mr. Manzano left the meeting at this time.
8. ACTION CALENDAR CONTINUED
8.1. Resolution in Support of Proposition 1
Mr. Marcantonio explained that Proposition 1, if approved, would provide
much needed funding for water related projects that would benefit Orange
County. As such, staff is requesting that the Board consider adopting a
Resolution in support of this proposed legislation. The Board then briefly
discussed the matter.
Director Beverage made a motion, seconded by Director Hawkins, to
approve Resolution No. 14 -15 In Support of Proposition 1, the Water
Quality Act, Supply and Infrastructure Improvement Act of 2014. Motion
carried 5 -0 on a Roll Call Vote.
8.2. Amendments to the District's Conflict of Interest Code and Reaffirmation of
the District's Ethics Policy
Mr. Marcantonio explained that the Political Reform Act requires every
local government agency to review its Conflict of Interest Code on a
biennial basis. Staff recently reviewed the District's Code and identified a
few minor revisions including the addition of the position of Senior Fleet
Mechanic and the renaming and reclassification of the Public Information
officer position to Public Information Manager. No amendments are
required for the Public Financing Corporation's Conflict of Interest Code at
this time.
Director Beverage made a motion, seconded by Director Collett, to
approve Resolution No. 14 -16 Adopting a Conflict of Interest Code which
Supersedes all Prior Conflict of Interest Codes and Amendments
Previously Adopted. Motion carried 5 -0 on a Roll Call Vote.
Director Beverage made a motion, seconded by Director Collett, to
reaffirm the policies set forth in Resolution No. 10 -05 Adopting Rules and
Procedures Relative to the Conduct of Board Members and District
Employees. Motion carried 5 -0.
5
9. REPORTS. INFORMATION ITEMS. AND COMMENTS
9.1. President's Report
President Kiley reported that he had attended a function during which Ms.
Almond was introduced as a new partner at Liebert Cassidy Whitmore.
Ms. Almond will be replacing Mr. Richard Kriesler due to his retirement.
■ CASA Funding Opportunities Seminar - October 16, 2014
President Kiley reported on his attendance at this seminar and
Director Barbre left the meeting at this time.
9.3. General Manager's Report
Mr. Marcantonio reported on his activities and meetings with staff. He
noted that he had accepted an award on behalf of the District from
CALAFCO recognizing YLWD's leadership efforts during the annexation
process to OCWD.
Each of the Managers then took turns reporting on activities within their
respective departments.
9.4. General Counsel's Report
Mr. Beltran briefly commented on AB 1728 which was defeated but would
have barred elected water board members throughout the state from
accepting campaign contributions of more than $250 from donors with
business pending before their boards. The bill would also would have
required water board members to abstain from voting if they have
accepted such a donation in the previous year. ACWA opposed this bill
which was then subsequently vetoed by Governor Brown.
Mayor Pro Tern Hernandez left the meeting at this time.
9.5. Future Agenda Items and Staff Tasks
None.
I
10. COMMITTEE REPORTS
10.1. Executive - Administrative - Organizational Committee
(Kiley / Collett)
■ Minutes of the meeting held October 13, 2014 at 4:00 p.m. will be
provided at the next regular Board meeting.
10.3. Personnel -Risk Management Committee
(Hawkins / Melton)
■ Minutes of the meeting held October 14, 2014 at 4:00 p.m. will be
provided at the next regular Board meeting.
■ Next meeting is scheduled to be held November 12, 2014 at 4:00
■ Minutes of the meeting held October 6, 2014 at 4:00 p.m. were
provided in the agenda packet.
■ Next meeting is scheduled to be held November 3, 2014 at 4:00
p.m.
10.6. YLWD -City of Placentia Joint Agency Committee
(Beverage / Melton)
■ Next meeting is scheduled to be held November 10, 2014 at 10:00
a. m.
7
10.7. YLWD -City of Yorba Linda Joint Agency Committee
(Kiley / Collett)
■ Next meeting is scheduled to be held October 28, 2014 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.
10.9. Citizens Advisory Committee
(Kiley)
■ Next meeting is scheduled to be held October 27, 2014 at 8:30 a.m.
11. INTERGOVERNMENTAL MEETINGS
11.1. YL LMCAC -October 9, 2014 (Beverage)
Director Collett attended and commented on a HOA question and answer
session which was held during the meeting.
11.2. MWDOC Board - October 15, 2014 (Melton)
Director Melton attended and noted that MWDOC's Board had voted in
support of Director Larry McKinney's efforts to serve on ACWA's Region
10 Board of Directors.
11.3. OCWD Board - October 15, 2014 (Collett)
Director Collett attended and noted that OCWD's Board had directed its
staff to identify steps for managing groundwater outside its boundaries but
inside DWR's boundary of Basin 8 -1 and reach out to stakeholders within
these areas regarding the requirements of the Sustainable Groundwater
Management Act.
11.4. YL Planning Commission - October 15, 2014 (Beverage)
Director Beverage attended and commented on the requests for
conditional use permits which were considered during the meeting.
12. BOARD OF DIRECTORS ACTIVITY CALENDAR
12.1. Meetings from October 22, 2014 — November 30, 2014
The Board reviewed the activity calendar and made no changes.
13. CONFERENCES, SEMINARS, AND SPECIAL EVENTS
13.1. OCWD Water Supply Series - (Multiple Dates)
CASA Funding Opportunities Seminar - October 16, 2014
MWDOC Elected Officials' Forum - November 6, 2014
Director Hawkins made a motion, seconded by Director Collett, to
authorize and /or ratify Director attendance at these events if desired.
Motion carried 5 -0.
14. CLOSED SESSION CONTINUED
The following Closed Session was not held.
14.2. Conference with Legal Counsel - Antici
Significant Exposure to Litigation Pur
(d) of Section 54956.9 of the Califor
Related to written communic , ' ° .`eceived by
Number of Potential Cases: Orrb
15. ADJOURNMENT
Annie
Assis-
15.1
Jtigation
Paragraph (2) of Subdivision
.iment Code
strict.
The meeting was adjourned at 10:18 a.m. The next Regular Board of
Directors Meeting will be held Thursday, November 13, 2014 at 8:30 a.m.
E
AGENDA REPORT
Meeting Date: November 26, 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
$1,447,699.06
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 $1,447,699.06.
DISCUSSION:
The major items and wires on this disbursement list are as follows: A check of $102,142.94 to
ACWA/JPIA for December 2014 medical & dental premium; a check of $80,954.00 to Coastline
Equipment for a 310EK Backhoe loader; a wire of $761.73 to Southern California Edison for
October 2014 electrical charges at various sites; a wire of $23,760.25 to Southern California Gas
Company for October 2014 gas charges at various sites; a wire of $802,892.95 to MWDOC for
September 2014 water purchases; and a wire of $59,446.03 to Southern California Edison for
October 2014 electrical charges at various sites. The balance of $117,992.02 is routine invoices.
The Accounts Payable check register total is $1,187,949.92; Payroll No. 23 total is $259,749.14;
and the disbursements of this agenda report are $1,447,699.06. 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:
Description: Type:
14 -CS 1126.pdf CAP SHEET Backup Material
CkReg112614.pdf CHECK REGISTER Backup Material
14 CC 1126.pdf CREDIT CARD SUMMARY Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
11/26/2014
RC /PH 5 -0
November 26, 2014
CHECK NUMBERS:
Void Checks
64543 -64627
$
0.00
Computer Checks
64628 -64712
$
301,088.96
$
301,088.96
WIRES:
W1 11214
So. Cal Edison
$
761.73
W1 11314
So. Cal Gas Co.
$
23,760.25
W111414
MWDOC
$
802,892.95
W1 11914
So. Cal Edison
$
59,446.03
TOTAL OF CHECKS & WIRES $1,187,949.92
PAYROLL NO. 23:
Direct Deposits $ 166,078.40
Third Party Checks 6004 -6011 $ 49,301.57
Payroll Taxes $ 44,369.17
$ 259,749.14
TOTAL OF PAYROLL $259,749.14
----------------------------------------------------------------------------------------------------------------------
DISBURSEMENT TOTAL: $1,447,699.06
------------------------------------------------------------------
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APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD
MEETING OF November 26, 2014
------------------------------------------------------------------
------------------------------------------------------------------
Yorba Linda Water District
Check Register
For Checks Dated: 11/14/2014 thru 11/26/2014
Check No.
Date Vendor Name
Amount
Description
64635
11/26/2014 ACWA /JPIA
102,142.94
MEDICAL & DENTAL - DEC 2014
64630
11/26/2014 ALAN PELLEGRINI
38.60
CUSTOMER REFUND
64636
11/26/2014 Albert A. Webb Associates
998.00
PROF. SVCS - 10/25/14 - J12 -13
64637
11/26/2014 Alhambra Foundry Company
3,299.89
REPAIR PARTS
64638
11/26/2014 American Legal Publishing Corporation
2,200.00
FIRST 40% OF BILLING
64639
11/26/2014 Anaheim Wheel & Tire
45.00
MOUNT BACK HOE TIRES
64640
11/26/2014 Apollo Technologies Inc.
430.00
WATER TREATMENT SVC LOOPS
64641
11/26/2014 Aqua- Metric Sales Co.
2,436.80
WAREHOUSE STOCK
64642
11/26/2014 Aramark
388.71
UNIFORM SERVICE
64652
11/26/2014 ARC
20.00
PLANWELL DATA NETWORK
64643
11/26/2014 AT & T
46.82
CIRCUIT #78KS315PT
64644
11/26/2014 Autoscribe Corporation
487.25
TRANSACTIONS RECEIVED PAYMENT GATEWAY
64645
11/26/2014 Bee Busters, Inc
150.00
BEE /SWARM ABATEMENT
64654
11/26/2014 C. Wells Pipeline
1,652.40
WAREHOUSE STOCK
64646
11/26/2014 Cal Society - Municipal Finance Officers
150.00
CSMFO CONFERENCE - ACCT DEPT
64647
11/26/2014 CalCard US Bank
5,142.25
CREDIT CARD TRANSACTIONS FOR OCT & NOV 2014
64648
11/26/2014 CDW Government, Inc
1,613.52
HP COLOR LJ PRO
64631
11/26/2014 CINDY QUIROZ
20.45
CUSTOMER REFUND
64649
11/26/2014 City Of Placentia
9,991.45
SEWER FEES - SEPTEMBER & OCTOBER 2014
64650
11/26/2014 Coastal Ignition & Controls
248.28
CHAMPTION SPARK PLUGS
64651
11/26/2014 Coastline Equipment
80,954.00
310 EK BACKHOE LOADER
64653
11/26/2014 CPR1
661.20
ANNUAL AED TOTAL SOLUTION
64655
11/26/2014 Delta Wye Electric, Inc.
2,744.00
YL BOOSTER PROJECT - J08 -17B
64657
11/26/2014 Dion & Sons, Inc.
4,863.51
MYSELLA 40 - ALL ENGINES
64658
11/26/2014 Donut Designs
500.00
YLWD.COM WEBSITE ADMIN
64659
11/26/2014 Edgar Araujo
80.00
D -2 CERTIFICATION
64660
11/26/2014 Eisel Enterprises, Inc.
104.22
MTR BOX, LID & COVER - J13 -10B
64661
11/26/2014 Elite Equipment Inc
306.72
HARDWARE SUPPLIES
64662
11/26/2014 Employee Relations, Inc.
71.75
PRE - EMPLOYMENT BACKGROUND
64663
11/26/2014 Employment Development Department
821.00
UNEMPLOYMENT INSURANCE
64664
11/26/2014 Equarius Waterworks
1,655.25
WAREHOUSE STOCK
64666
11/26/2014 EyeMed
1,325.28
EYEMED - NOVEMBER 2014
64665
11/26/2014 Facility Solutions Group Inc
1,712.17
INSTALL 208V 40A OUTLETS
64667
11/26/2014 Fleet Services, Inc
78.72
VALVES - UNIT 168
64668
11/26/2014 Flex Advantage
99.00
FLEX - OCTOBER 2014
64669
11/26/2014 Fry's Electronics
2,756.19
IT HARDWARE
64632
11/26/2014 GRACE KHAN
4.63
CUSTOMER REFUND
64670
11/26/2014 Graybar Electric Co
1,819.63
IT HARDWARE
64671
11/26/2014 Greenshades Software
449.00
GREENSHADES CENTER BASIC PACK
64672
11/26/2014 Haaker Equipment Co.
233.81
SWIVEL JOINT 1/2" & METAL PLATE
64673
11/26/2014 Hall & Foreman, Inc
270.00
PROF SERVICES - J2014 -09S
64674
11/26/2014 Hushmand Associates Inc
5,888.00
PROF. SERVICES - J2011 -20
64675
11/26/2014 Infosend Inc.
6,507.25
PRINTING & POSTAGE BILLS
64676
11/26/2014 Jackson's Auto Supply - Napa
632.51
AUTO MAINTENANCE - PARTS
64633
11/26/2014 JAKE JONES
32.97
CUSTOMER REFUND
64628
11/26/2014 KENNETH ROCKWELL
48.61
CUSTOMER REFUND
64677
11/26/2014 Kidman Law
4,292.50
LEGAL SERVICES
64678
11/26/2014 Kimco Staffing Services Inc
1,887.05
CUSTOMER SVC - MORENO, P
64679
11/26/2014 Konica Minolta Business
619.51
BIZHUB C552 & BIZHUB 181
64680
11/26/2014 Lancab, Inc.
1,401.07
PARTS & INSTALLATION
64681
11/26/2014 Mc Fadden -Dale Hardware
661.59
HARDWARE SUPPLIES
64682
11/26/2014 Mc Master -Carr Supply Co.
738.11
HARDWARE SUPPLIES
64629
11/26/2014 MICHAEL MATSUDA
78.97
CUSTOMER REFUND
W111414
11/14/2014 Municipal Water District
802,892.95
WATER PURCHASES - SEPTEMBER 14
64683
11/26/2014 NatPay Online Business Solutions
23.10
DOCULIVERY FEES
64684
11/26/2014 Nickey Kard Lock Inc
5,807.19
FUEL
64685
11/26/2014 Nickey Petroleum Co Inc
123.90
DIESEL EXHAUST FLUID
64634
11/26/2014 OC / LA PROPERTIES LLC
318.94
CUSTOMER REFUND
64686
11/26/2014 Occu -Med, Ltd.
61.50
LAB WORK
64687
11/26/2014 Office Solutions
765.63
OFFICE SUPPLIES
64688
11/26/2014 One Source Distributors, LLC
486.82
RESTOCKING FEE
64689
11/26/2014
Orange County - Tax Collector
64690
11/26/2014
Pacific Communications Tech
64691
11/26/2014
Phil Hawkins
64692
11/26/2014
Powerstride Battery
64693
11/26/2014
Quinn Power Systems Associates
64694
11/26/2014
R.F.MacDonald Co
64700
11/26/2014
Rachel Padilla /Petty Cash
64695
11/26/2014
Sanders Paving, Inc.
64696
11/26/2014
SC Prime Source Inc.
64697
11/26/2014
Security Solutions
64698
11/26/2014
Severn Trent Services
64699
11/26/2014
Shred -It USA Inc
W111214
11/12/2014
Southern Calif Edison Co.
W111914
11/19/2014
Southern Calif Edison Co.
W111314
11/13/2014
Southern Calif Gas Co.
64703
11/26/2014
St.Jude Hospital Yorba Linda
64701
11/26/2014
Step Saver Inc
64702
11/26/2014
Steven James Morse
64704
11/26/2014
TDI Refrigeration Air Conditioning Inc.
64705
11/26/2014
Time Warner Cable
64706
11/26/2014
Townsend Public Affairs, Inc.
64707
11/26/2014
Toxguard Fluid Technologies
64710
11/26/2014
U S Bank
64708
11/26/2014
Underground Service Alert
64709
11/26/2014
United Industries
64711
11/26/2014
West Coast Safety Supply Co
64712
11/26/2014
Westside Building Material
64656
11/26/2014
White Nelson Diehl Evans LLP
35.00 ENCROACHMENT PERMIT #2010 -00713
6,892.56 SPRINGVIEW RESERVOIR - REAPEAT
42.00 MILEAGE REIMBURSEMENT - HAWKIN
339.08 4D BATTERY - HIGHLAND
2,076.05 GASKETS, O -RINGS & SCREWS
10.27 TAXES ON INVOICE 202384
438.70 PETTY CASH - OFFICE & YARD
4,600.00 ASPHALT REPAIR - YORBA LINDA
4,800.00 JANITORIAL SERVICE - NOV 2014
790.00 LABOR - PROG AND TEST SYSTEM
2,900.00 LABOR FOR PROWORK32
92.72 SHREDDING SERVICE
761.73 6115 AND 6354 - OCTOBER 2014
59,446.03 VARIOUS SITES ELECTRICAL CHARGES - OCTOBER 2014
23,760.25 VARIOUS SITES GAS CHARGES - OCTOBER 2014
70.00 DMV PHYSICAL EXAMS (2)
407.58 COARSE SALT
550.00 VIDEOGRAPHY - OCT 2014
955.00 SEPTEMBER AC MAINTENANCE
196.62 BASIC TIER CABLE AND DIG ADAPT
5,000.00 CONSULTING SVCS - NOV 2014
332.96 COOLANT HEAVY DUTY AND WASTE
2,750.00 2012A ADMIN FE- 10/1- 9/30/2014
288.00 YLWDIST NEW TIX - OCTOBER 2014
595.97 PPE EQUIPMENT
2,813.88 TRUCK MOUNT SYSTEM
134.91 #1 PADLOCKS 2 -1/2 SHACKLE KEY
590.00 GOVT TAX SEMINAR - WNDE 2014
1,125 /,y4y. yL
Date Vendor Name
10/9/2014 Lomeli Photography
10/14/2014 Amazon.com
10/27/2014 FTP Today
10/29/2014 AWWA
10/29/2014 Amazon.com
10/29/2014 Southwest.com
11/3/2014 Dan Copp Crushing
11/3/2014 Praxair
11/4/2014 Village Nurseries
11/4/2014 CUWCC
11/5/2014 Orchard Supply
11/5/2014 CUWCC
11/6/2014 Monoprice.com
11/6/2014 Kenny's
11/10/2014 Lomeli Photography
11/10/2014 Amazon.com
11/12/2014 Rose Florist
11/13/2014 MGM Grand Hotel
11/14/2014 AWWA
Cal Card Credit Card
U S Bank
10/09/14- 11/14/14
Amount
Description
500.00
Board & Management Headshots
27.52
Galaxy S5 case & Micro USB cable
49.95
ylwd.ftptoday.com
2,724.75
Utility membership - AWWA
122.12
Office Supplies
237.20
Flight for CRWUA Conference
300.00
(2) Trips for road material
139.86
Welding supplies for valve crews
75.55
SOD for repair work
40.00
Water loss control workshop - Vargas & Mendun
18.85
Hardware supplies - studs for concrete work
20.00
Water loss control workshop - Tomas
150.64
TV wall mounts and mouse pads
17.00
IS Dept. Staff meeting supplies
135.00
Touch up prints for Directors and Staff headshots
31.92
Swivel monitor stand for HR
79.24
Flowers for Funeral for former board member
403.20
Lodging for DEV Intersect conference
69.45
Book - Communicating Water Valves
5,142.25
AGENDA REPORT
Meeting Date: November 26, 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. 8.3
Finance
Subject: Unaudited Financial Statements for Period Ending September 30, 2014.
SUMMARY:
Presented are the District's Unaudited Financial Statements for the Period Ending September 30,
2014.
STAFF RECOMMENDATION:
That the Board of Directors receive and file the Unaudited Financial Statements for the Period
Ending September 30, 2014.
COMMITTEE RECOMMENDATION:
The Finance - Accounting Committee discussed this item at its meeting held November 17, 2014 and
supports staff recommendation.
DISCUSSION:
For the period ending September 30, 2014, staff is presenting unaudited statements in the CAFR
format. We have included the traditional budget to actual statements for the District as a whole, as
well as the individual water and sewer funds, and the debt service coverage calculation.
Water Operating Revenue, as presented, is 30.37% of annual budget, which is 3.23% lower than
the historical trend for this point of the year. Due to implementing the District's Water Conservation
Ordinance as of September 2, 2014, as well as the effect of media coverage of the State's drought
conditions, water consumption per capita has decreased by 23.67 GCPD for the month of
September as compared to last year. This reflects a 10% reduction in water use.
Other Operating Revenue is 35.16% of annual budget. Sewer Other Operating Revenue, as
presented, is 43.09% of annual budget.
As reported through September 30, 2014, Variable Water Costs are 31.44% of budget. These costs
reflect an overall decrease of 4% when compared to those of the previous Fiscal Year. An additional
factor to take into consideration this year are the costs associated with meeting the CUP obligation
from OCWD, which total $851,951 through September 30, 2014.
With the issuance of the 2008 Certificates of Participation (COP's) and the Refunding Revenue
Bonds, Series 2012A the District covenanted "to fix, prescribe and collect rates and charges for
Water Service which will be at least sufficient to yield during each Fiscal Year, Net Revenues equal
to 110% of the Debit Service for such Fiscal Year ". To confirm the covenant is upheld, a calculation
is made quarterly and presented to the Finance - Accounting Committee and received and filed by
the Board of Directors. Accordingly, the unaudited debt service ratio through September 2014 is
shown in the calculation as 234 %. This shows strong financial health for the District as it pertains to
the debt service ratio.
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:
Name:
Description:
FY 2015 1st Qtr Consolidated Balance Sheet.xlsx FY2015 1st Qtr Consolidated Balance Sheet
1st Qtr 2015 Debt Svc Ratio Calc.xlsx
1st Qtr 2015 Consolidated Stmt.xlsx
1st Qtr 2015 Water Stmt.xlsx
1st Qtr 2015 Sewer Stmt.xlsx
Approved by the Board of Directors of the
Yorba Linda Water District
11/26/2014
RC /PH 5 -0
1 st Qtr 2015 Debt Service Ratio Calculation
1 st Qtr 2015 Consolidated Statement
1 st Qtr 2015 Water Statement
1st Qtr 2015 Sewer Statement
Type:
Backup Material
Backup Material
Backup Material
Backup Material
Backup Material
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF NET ASSETS
September 30, 2014
(With September 30, 2013 for comparison only)
ASSETS
September 2014
September 2013
CURRENT ASSETS:
855,663
760,291
Cash and cash equivalents
$ 21,100,913
$ 11,324,489
Investment
9,249,075
9,173,107
Accounts receivable - water and sewer services
3,825,724
3,926,776
Accrued interest receivable
18,488
18,319
Prepaid expenses & other deposits
503,326
253,942
Inventory
265,946
253,823
TOTAL CURRENT ASSETS
34,963,472
24,950,456
NONCURRENT ASSETS:
Bond issuance costs
469,002
491,972
Other post - employment benefit (OPEB) asset
138,944
131,790
Capital assets:
Non - depreciable
7,211,423
6,918,300
Depreciable, net of accumulated depreciation
190,938,770
193,483,596
TOTAL NONCURRENT ASSETS
198,758,139
201,025,658
TOTAL ASSETS
233,721,611
225,976,114
LIABILITIES
CURRENT LIABILITIES:
Accounts payable
3,301,218
3,119,720
Accrued expenses
1,110,683
1,249,653
Accrued interest payable
865,480
882,173
Certificates of Participation - current portion
735,000
705,000
Accrued OPEB
3,790
-
Refunding Revenue Bond - current portion
275,000
260,000
Compensated absences
300,638
240,092
Customer and construction deposits
334,798
315,203
Deferred revenue
380,796
397,522
TOTAL CURRENT LIABILITIES
7,307,403
7,169,363
LONG -TERM LIABILITIES (LESS CURRENT PORTION)
Deferred annexation revenue
13,364,806
13,786,685
Compensated absences
855,663
760,291
Refunding Revenue Bond
8,070,000
8,330,000
LOC
4,970,754
1,986,653
Certificate of Participation
31,872,068
32,699,770
TOTAL LONG TERM LIABILITIES (LESS
CURRENT PORTION)
59,133,291
57,563,399
TOTAL LIABILITIES
66,440,694
64,732,762
NET ASSETS:
$ 167,280,917
$ 161,243,352
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES
AND CHANGES IN NET ASSETS
For the period ended September 30, 2014
(With fiscal year ended September 2013 for comparison only)
OPERATING REVENUES:
Water sales
Sewer revenues
Other operating revenues
TOTAL OPERATING REVENUES
OPERATING EXPENSES
Variable water costs
Personnel services
Supplies and services
Depreciation and amortization
TOTAL OPERATING EXPENSES
OPERATING INCOME /(LOSS)
NONOPERATING REVENUES (EXPENSES):
Property taxes
Investment income
Interest expense
Other nonoperating revenues
Other nonoperating expenses
TOTAL NONOPERATING REVENUES /EXPENSES
NET INCOME /(LOSS) BEFORE CAPITAL
CONTRIBUTIONS & EXTRAORDINARY ITEM(S)
EXTRAORDINARY ITEM(S)
CAPITAL CONTRIBUTIONS
CHANGES IN NET ASSETS
NET ASSETS - BEGINNING OF YEAR
NET ASSETS - FOR PERIOD END SEPTEMBER 30, 2014
September 2014 September 2013
$ 8,622,077 $ 8,418,598
408,388 400,141
257,003 308,941
9,287,468 9,127,680
4,693,449
1,969,673
1,057,731
1,840,117
4,890,773
1,951,032
959,047
1,816,903
9,560,970 9,617,755
(273,502) (490,075)
49,121
42,193
31,736
27,002
(434,464)
(426,132)
100,204
182,650
(39,030)
(6,714)
(292,433)
(181,001)
(565,935)
69,983
(495,952)
167,776,869
(671,076)
198,071
(473,005)
161,716,357
$ 167,280,917 $ 161,243,352
Yorba Linda Water District
Unaudited Debt Service Ratio Calculation
For Period Ending September 30, 2014
Revenue (Operating):
Water Sales
Other Operating Revenue
Total Operating Revenue:
Revenue (Non- Operating):
Interest
Property Tax
Other Non - Operating Revenue
Total Non - Operating Revenue:
Total Revenue
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
Salary Related Expenses
Supplies & Services
Depreciation
Total Operating Expenses
Expenses (Non- Operating):
Interest on Long Term Debt
Other Expense
Total Non - Operating Expenses:
Total Expenses
Net Income (Loss) Before Capital Contributions
Capital Contributions
Net Change in Assest
DEBT SERVICE RATIO CALCULATION:
Net Revenues
Debt Service
YTD
Debt
Actual
Service
FY 2015
Calculation
$ 8,622,077
$ 8,622,077
235,554
235,554
8,857,631
8,857,631
29,305
29,305
49,121
49,121
104,199
104,199
182,625
182,625
9,040,256
9,040,256
4,693,449
4,693,449
1,739,262
1,739,262
973,211
973,211
1,504,718
-
8,910,640
7,405,922
434,464
-
39,030
39,030
473,494
39,030
9,384,134
7,444,952
(343,878)
1,595,304
50,806
-
$ (293,072)
$ 1,595,304
$ 1,595,304
$ 682,371
234%
Yorba Linda Water District
Summary Financial Report
Water & Sewer Funds
For Period Ending September 30, 2014
Revenue (Non- Operating)
Interest
Annual
YTD
YTD
YTD
28.33%
Property Tax
Budget
Budget
Actual
Under(Over)
Zudj
Other Non - Operating Revenue
FY 2015
FY 2015
FY 2015
Budget
B
Revenue (Operating):
1,929,167
482,292
181,060
1,748,107
9.39%
Water Revenue (Residential)
$17,154,552
$4,288,638
$5,262,514
$11,892,038
30.68%
Water Revenue (Commercial & Fire Det.)
2,074,097
518,524
568,714
1,505,383
27.42%
Water Revenue (Landscape /Irrigation)
4,792,995
1,198,249
1,579,645
3,213,350
32.96%
Water Revenue (Service Charge)
4,478,000
1,119,500
1,211,204
3,266,796
27.05%
Sewer Charge Revenue
1,605,292
401,323
408,051
1,197,241
25.42%
Locke Ranch Assessments
201,000
50,250
337
200,663
0.17%
Other Operating Revenue
719,777
179,944
257,003
462,774
35.71%
Total Operating Revenue:
31,025,713
7,756,428
9,287,468
21,738,245
29.93%
Revenue (Non- Operating)
Interest
112,000
28,000
31,735
80,265
28.33%
Property Tax
1,283,642
320,911
49,121
1,234,521
3.83%
Other Non - Operating Revenue
533,525
133,381
100,204
433,321
18.78%
Total Non - Operating Revenue:
1,929,167
482,292
181,060
1,748,107
9.39%
Total Revenue
32,954,880
8,238,720
9,468,528
23,486,352
28.73%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
14,928,972
3,732,243
4,693,449
10,235,523
31.44%
Salary Related Expenses
8,224,812
2,056,203
1,969,673
6,255,139
23.95%
Supplies & Services
4,389,840
1,097,460
1,057,732
3,332,108
24.10%
Total Operating Expenses
27,543,624
6,885,906
7,720,854
19,822,770
28.03%
Expenses (Non- Operating):
Interest on Long Term Debt
1,780,793
445,198
434,464
1,346,329
24.40%
Other Expense
72,000
18,000
39,030
32,970
54.21%
Total Non - Operating Expenses:
1,852,793
463,198
473,494
1,379,299
25.56%
Total Expenses
29,396,416
7,349,104
8,194,348
21,202,068
27.88%
Net Income (Loss) Before Capital Contributions
3,558,464
889,616
1,274,180
2,284,284
35.81%
Capital Contributions
-
-
69,983
69,983
0.00%
Net Income (Loss) Before Depreciation
3,558,464
889,616
1,344,163
2,214,301
37.77%
Depreciation & Amortization 7,337,500 1,834,375 1,840,117 5,497,383 25.08%
Total Net Income (Loss) ($3,779,036) ($944,759) ($495,954) ($3,283,082) 13.12%
Capital - Direct Labor (82,674)
Yorba Linda Water District
Water Fund
For Period Ending September 30, 2014
Annual YTD Sept YTD YTD YTD
Budget Budget Actual Actual Under(Over) % of Annua
FY 2015 FY 2015 FY 2015 FY 2015 FY Budget Budget
Revenue (Operating)
Water Revenue (Residential)
$17,154,552
$4,288,638 $1,618,805
$5,262,514
$11,892,038
30.68%
Water Revenue (Commercial & Fire Det.)
2,074,097
518,524
176,131
568,714
1,505,383
27.42%
Water Revenue (Landscape /Irrigation)
4,792,995
1,198,249
483,713
1,579,645
3,213,350
32.96%
Water Revenue (Service Charge)
4,478,000
1,119,500
421,182
1,211,204
3,266,796
27.05%
Other Operating Revenue
670,003
167,501
74,816
235,554
434,449
35.16%
Total Operating Revenue:
29,169,647
7,292,412
2,774,647
8,857,631
20,312,016
30.37%
Revenue (Non- Operating):
Interest
100,000
25,000
11,830
29,305
70,695
29.31%
Property Tax
1,283,642
320,911
41,095
49,121
1,234,521
3.83%
Other Non - Operating Revenue
521,600
130,400
11,272
104,199
417,401
19.98%
Total Non - Operating Revenue:
1,905,242
476,311
64,197
182,625
1,722,617
9.59%
Total Revenue
31,074,889
7,768,722
2,838,844
9,040,256
22,034,633
29.09%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
14,928,972
3,732,243
1,460,020
4,693,449
10,235,523
31.44%
Salary Related Expenses
7,363,472
1,840,868
639,355
1,739,262
5,624,210
24.67%
Supplies & Services:
Communications
273,786
68,447
38,512
68,504
205,282
25.02%
Contractual Services
521,451
130,363
49,600
121,818
399,633
23.36%
Data Processing
173,752
43,438
31,519
36,643
137,109
21.09%
Dues & Memberships
72,321
18,080
331
23,744
48,577
32.83%
Fees & Permits
169,437
42,359
40,192
50,939
118,498
30.06%
Board Election
69,750
17,438
-
-
69,750
0.00%
Insurance
291,406
72,852
54,902
54,993
236,413
18.87%
Materials
579,369
144,842
63,474
186,804
392,565
32.24%
District Activities, Emp Recognition
22,980
5,745
629
1,036
21,944
4.51%
Maintenance
394,416
98,604
64,762
175,453
218,963
44.48%
Non - Capital Equipment
132,525
33,131
2,578
33,757
98,768
25.47%
Office Expense
37,642
9,411
2,641
7,394
30,248
19.64%
Professional Services
672,197
168,049
32,571
80,108
592,089
11.92%
Training
58,571
14,643
2,362
9,867
48,704
16.85%
Travel & Conferences
42,129
10,532
1,554
3,974
38,155
9.43%
Uncollectible Accounts
37,200
9,300
(165)
(243)
37,443
-0.65%
Utilities
83,700
20,925
14,200
24,873
58,827
29.72%
Vehicle Equipment
281,139
70,285
31,419
93,547
187,592
33.27%
Supplies & Services Sub -Total
3,913,772
978,443
431,081
973,211
2,940,561
24.87%
Total Operating Expenses
26,206,216
6,551,554
2,530,456
7,405,922
18,800,294
28.26%
Expenses (Non- Operating):
Interest on Long Term Debt
1,780,793
445,198
150,882
434,464
1,346,329
24.40%
Other Expense
72,000
18,000
47,382
39,030
32,970
54.21%
Total Non - Operating Expenses:
1,852,793
463,198
198,264
473,494
1,379,299
25.56%
Total Expenses
28,059,009
7,014,752
2,728,720
7,879,416
20,179,593
28.08%
Net Income (Loss) Before Capital Contributions
3,015,880
753,970
110,124
1,160,840
1,855,040
38.49%
Capital Contributions
-
-
50,805
50,806
50,806
0.00%
Net Income (Loss) Before Depreciation
3,015,880
753,970
160,929
1,211,646
1,905,846
40.18%
Depreciation & Amortization 5,992,500 1,498,125 501,672 1,504,718 4,487,782 25.11%
Total Net Income (Loss) ($2,976,620) ($744,155) ($340,743) ($293,072) ($2,683,548) 9.85%
Capital - Direct Labor (20,111) (77,295)
Revenue (Operating):
Sewer Charge Revenue
Locke Ranch Assessments
Other Operating Revenue
Total Operating Revenue:
Revenue (Non- Operating):
Interest
Other Non - Operating Revenue
Total Non - Operating Revenue:
Total Revenue
Expenses (Operating):
Salary Related Expenses
Supplies & Services:
Communications
Contractual Services
Data Processing
Dues & Memberships
Fees & Permits
Board Election
Insurance
Materials
District Activities, Emp Recognition
Maintenance
Non - Capital Equipment
Office Expense
Professional Services
Training
Travel & Conferences
Uncollectible Accounts
Utilities
Vehicle Equipment
Supplies & Services Sub -Total
Total Operating Expenses
Expenses (Non- Operating):
Interest Expense
Other Expense
Total Non - Operating Expenses:
Yorba Linda Water District
Sewer Fund
For Period Ending September 30, 2014
Annual YTD Sept YTD YTD YTD
Budget Budget Actual Actual Under(Over) % of Annual
FY 2015 FY 2015 FY 2015 FY 2015 Budget Budget
$1,605,292
201,000
49,774
$401,323
50,250
12,444
$137,992
221
1,226
$408,051
337
21,449
$1,197,241
200,663
28,325
25.42%
0.17%
43.09%
1,856,066
464,017
139,439
429,837
1,426,229
23.16%
12,000
3,000
1,216
2,431
9,569
20.26%
11,925
2,981
(1,999)
(3,995)
15,920
- 33.50%
23,925
5,981
(783)
(1,564)
25,489
-6.54%
1,879,991 469,998 138,656 428,273 1,451,718 22.78%
861,340
215,335
87,347
230,411
630,929
27.37%
21,108
5,277
1,535
3,792
17,316
17.96%
39,249
9,812
4,273
9,709
29,540
24.74%
13,078
3,270
1,640
2,026
11,052
15.49%
5,744
1,436
25
1,787
3,957
31.11%
16,753
4,188
1,108
1,832
14,921
10.94%
5,250
1,313
-
-
5,250
0.00%
21,934
5,484
14,492
14,499
7,435
66.10%
78,756
19,689
1,738
8,923
69,833
11.33%
1,730
433
47
71
1,659
4.10%
112,605
28,151
1,893
3,863
108,742
3.43%
19,475
4,869
8,944
15,357
4,118
78.86%
2,833
708
190
548
2,285
19.35%
39,413
9,853
2,395
5,962
33,451
15.13%
6,609
1,652
72
1,493
5,116
22.59%
4,371
1,093
170
352
4,019
8.05%
2,800
700
(12)
(24)
2,824
- 0.86%
7,100
1,775
1,140
2,074
5,026
29.21%
77,261
19,315
2,479
12,256
65,005
15.86%
476,066
119,017
42,129
84,520
391,546
17.75%
1,337,406
334,352
129,476
314,931
1,022,475
23.55%
0.00%
- - - 0.00%
- 0.00%
Total Expenses 1,337,406 334,352 129,476 314,931 1,022,475 23.55%
Net Income (Loss) Before Capital Contributions 542,585 135,646 9,180 113,342 429,243 20.89%
Capital Contributions
- 18,001 19,177 19,177 0.00%
Net Income (Loss) Before Depreciation 542,585 135,646 27,181 132,519 448,420 24.42%
Depreciation & Amortization 1,345,000 336,250 111,813 335,399 1,009,601 24.94%
Total Net Income (Loss) ($802,415) ($200,604) ($84,632) ($202,880) ($599,535) 25.28%
Capital - Direct Labor (546) (5,379)
AGENDA REPORT
Meeting Date: November 26, 2014
To: Board of Directors
ITEM NO. 9.1
From: Marc Marcantonio, General
Manager
Presented By: Delia Lugo, Finance Manager Dept: Finance
Prepared By: Delia Lugo, Finance Manager
Subject: Proposed Revisions to Policy Pertaining to Disposition of Refunds from Outside
Agencies
STAFF RECOMMENDATION:
That the Board of Directors approve Resolution No. 14 -17 Adopting a Policy on the Disposition of
Refunds from Outside Agencies and Rescinding Resolution No. 08 -01.
COMMITTEE RECOMMENDATION:
The Finance - Accounting Committee discussed this matter at its meeting held November 17, 2014
and supports staff's recommendation.
DISCUSSION:
From time to time the District will receive a refund from Outside Agencies. With the adoption of
Resolution No. 08 -01, any refund received from an Outside Agency needs to be passed on equally
to all active customers within the District's service boundaries. Currently, the District has 24,598
active customers. Depending on the amount of the refund received and the credit process required
in Resolution No. 08 -01, there can be an inefficient use of labor hours to fulfill the District's
obligation in applying a credit of equal amount to each active customer account.
In order to promote efficiencies in processes, Staff is recommending the procedures as established
in Resolution No. 08 -01 still occur when a refund in an amount that is equal to or greater than
$75,000 is received. Any refund received which is less than $75,000 will be applied to offset current
year operating expenses at the discretion of the General Manager.
ATTACHMENTS:
Name:
Resolution No. 14 -17 - Disposition of Refunds.doc
Approved by the Board of Directors of the
Yorba Linda Water District
11126/2014
PH /MB 5 -0 Roll Call
Description:
Resolution
Type:
Resolution
RESOLUTION NO. 14 -17
RESOLUTION OF THE BOARD OF DIRECTORS
OF THE YORBA LINDA WATER DISTRICT
ADOPTING A POLICY ON THE DISPOSITION OF REFUNDS FROM OUTSIDE
AGENCIES AND RESCINDING RESOLUTION NO. 08 -01
WHEREAS, the Board of Directors of the Yorba Linda Water District has, from time to
time, received refunds from water agencies such as the Metropolitan
Water District of Southern California and the Municipal Water District of
Orange County; and
WHEREAS, the Board of Directors has considered many options on the disposition of
these refunds including: (1) an immediate return to District customers in
the form of a refund; (2) a one -time refund to each currently active
account; (3) a reduction in the water rate for the next twelve months; (4) a
reduction in the water rate for just the summer months; (5) a return of the
funds to the issuing agency with a request that those funds be applied to
offset future invoices; and (6) deposit of the funds directly into the water
operating fund account; and
WHEREAS, the Board of Directors has decided in the past that the fairest, quickest
and least expensive method was to issue a one -time refund credit to each
active account excluding fire detector check accounts at the time of the
refund; and
WHEREAS, the Board of Directors desires to further clarify the method used to pass
through these types of refunds to District customers.
NOW THEREFORE BE IT RESOLVED by the Board of Directors of the Yorba Linda
Water District that when the District receives a refund from the Metropolitan Water
District of Southern California, the Municipal Water District of Orange County, the
Orange County Water District, Southern California Edison Company or The Gas
Company, the refund shall be handled as follows:
Section 1. If the refund is in excess of $75,000, then the refund shall be passed
through to the District's customers by taking the total amount of the refund
divided by the total number of active water accounts, excluding the fire
detector check accounts, and applying the refund as a one -time credit on
a date to be determined by the General Manager.
Section 2. If the refund is less than or equal to $75,000, then the refund shall be
credited against the appropriate operating general ledger expense
account as determined by the General Manager.
Section 3. That Resolution No. 08 -01 is hereby rescinded.
Resolution No. 14 -17 Adopting a Policy on the Disposition of Refunds from Outside Agencies
Section 4. That Resolution No. 14 -17 becomes effective immediately upon adoption
by the Board of Directors.
PASSED AND ADOPTED this 26th day of November 2014, by the following called vote:
AYES:
NOES:
ABSTAIN:
ABSENT:
Robert R. Kiley, President
Yorba Linda Water District
ATTEST:
Marc Marcantonio, Board Secretary
Yorba Linda Water District
Reviewed as to form by Legal Counsel:
Arthur G. Kidman, Esq.
Kidman Law LLP
Resolution No. 14 -17 Adopting a Policy on the Disposition of Refunds from Outside Agencies 2
AGENDA REPORT
Meeting Date: November 26, 2014
To: Board of Directors
From: Marc Marcantonio, General
Manager
Presented By: John DeCriscio, Operations
Manager
Prepared By: John DeCriscio, Operations
Manager
Subject: Vactor Truck Purchase
SUMMARY:
Budgeted:
Total Budget:
Cost Estimate:
Funding Source
Account No:
Dept:
Reviewed by Legal
CEQA Compliance:
ITEM NO. 9.2
Yes
$400,000
$391,604
Sewer Capital
Reserves
2- 0010 - 2200 -00
Operations
N/A
N/A
Under the District purchasing policy staff is required to submit vehicle and major equipment
purchases to the Board of Directors for approval. The policy also dictates the means and methods
for procurement of vehicles and equipment. The District's procedures have been followed in
obtaining proposals for the subject vehicle.
STAFF RECOMMENDATION:
That the Board of Directors approve the purchase of a Sewer /Jetter Truck from Haaker Equipment
Company in the amount of $391,604.00.
COMMITTEE RECOMMENDATION:
The General Manager notified the Planning- Engineering- Operations Committee and approved
submitting this item directly to the Board of Directors.
DISCUSSION:
In the 2014 -15 budget, funding has been approved for the purchase of a Combination Sewer /Jetter
Vacuum Truck to replace Unit #154 a 2003 Combination Sewer /Jetter Vacuum Truck.
On October 21, 2014 the Operation department requested and the Board of Directors approved the
sole sourcing for this vehicle as a Vactor Brand vehicle.
The Operations department developed a set of specifications. Request for Proposals (RFP) were
sent to four Vactor dealers, three in California and one in Utah; all four responded with their
proposals:
1. Haaker Equipment Company, Pomona, CA - $391,604.00
2. Inland Kenworth, Montebello, CA - $412,023.22
3. Owen Equipment, Fairfield, CA - $415,800.00
4. Legacy Equipment Company Salt Lake City, UT - $425,086.92
Staff reviewed each of these proposals to ensure the established specification where met. Staff
recommends accepting the proposal from Haaker Equipment Company in the amount of
$391,604.00 for a Combination Sewer /Jetter Truck.
Haaker Equipment Company has the equipment and resources needed to meet the districts need
for the purchase and maintenance of the vehicle and associated equipment.
Copies of the Specification and RFP are available to review.
PRIOR RELEVANT BOARD ACTION(S):
The Board approved the 2014 -2015 budget which included $400,000.00 in the Vehicle & Capital
Outlay section. The Board also approved on October 21, 2014 the sole purchase through Vactor
Brand for this vehicle.
Approved by the Board of Directors of the
Yorba Linda Water District
11/26/2014
RC /GM 5 -0
Meeting Date
Subject:
ATTACHMENTS:
ITEM NO. 11.2
AGENDA REPORT
November 26, 2014
Finance - Accounting Committee
(Hawkins / Beverage)
Minutes of the meeting held November 17, 2014 at 4:00 p.m.
Next meeting is scheduled to be held December 22, 2014 at 4:00 p.m.
Name: Description: Type:
111714 FA - Minutes.doc Minutes Minutes
MINUTES OF THE
YORBA LINDA WATER DISTRICT
FINANCE - ACCOUNTING COMMITTEE MEETING
Monday, November 17, 2014, 4:00 p.m.
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
The November 17, 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.
Director Phil Hawkins, Chair
Director Michael J. Beverage
PUBLIC COMMENTS
None.
ACTION CALENDAR
STAFF
Marc Marcantonio, General Manager
Delia Lugo, Finance Manager
4.1. Proposed Revisions to Procurement and Purchasing Policy
Mrs. Lugo presented the Proposed Revision to the Procurement and
Purchasing Policy currently active as Resolution No. 13 -03. Mrs. Lugo
explained that the revision is needed, which is identified as Section 7 in
the revised policy, in order to ensure that all proposed purchases of the
District are listed in an active, approved policy. Upon providing answers to
questions of the Committee, the Committee supports the suggested
revision and recommends that the Board of Directors adopt Resolution
No. 14 -XX.
4.2. Proposed Revisions to Policy Pertaining to Disposition of Refunds from
Outside Agencies
Mrs. Lugo presented the recommended revisions to Resolution No, 08 -01
in reference to the Policy Pertaining to Disposition of Refunds from
Outside Agencies. In order to promote efficiencies of Staff time and labor,
staff is recommending the procedures as established in Resolution No.
08 -01 still occur when a refund in an amount that is equal to or greater
than $75,000 is received, but when a refund that is less than $75,000 is
received that the refund is applied to offset a current year operating
expense at the discretion of the General Manager. The Committee
supports staff's recommendation of adopting the revision that establishes
some guidelines as reflected in Resolution No. 14 -XX.
1
4.3. Unaudited Financial Statements for the Period Ending September 30,
2014 for the District
Mrs. Lugo presented the Unaudited Financial Statements for the Period
Ending September 30, 2014 for the Committee's review. With the
Committee's approval these statements will be included in the Consent
Calendar section for the November 26, 2014 Regular Board Meeting
Agenda. The Unaudited Debt Service Ratio Calculation for the period
ending September 30, 2014 was calculated to be 234 %, which is well
above the required coverage ratio of 1.10 %. After some discussion on
key items reported in the financial statements, the Committee supported
staff recommendation.
5. DISCUSSION ITEMS
5.1. Budget to Actual Results for October 2014
Mrs. Lugo presented the Budget to Actual Reports for the Month Ending
October 31, 2014. Mrs. Lugo reported that the District's reported water
revenue is 41.09% of annual budget, which is 1.1% 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 Insurance, Materials, Maintenance, Vehicle Equipment,
and other expenses due to the previous month reported reasons. In
addition, data processing is at 56.91 % of annual budget due to the timing
recorded Cogsdale, Azteca, and CDW annual software charges.
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 106.86% due to the acquisition of
replacement equipment.
5.2. Investment Report for the Period Ending October 31, 2014
Mrs. Lugo presented the Investment Report for the Period Ending October
31, 2014. She reported that the average yield for October 2014 was
0.61%. Mrs. Lugo also reported that the overall decrease in the
investment balance from the previous month is approximately $801,000.
This is primarily due to the biannual Debt Service principal and interest
payment of $1,871,479 due October 1, 2014.
5.3. Future Bond Requirements and Recent Media Coverage
This discussion item was presented by Director Beverage. The discussion
brings to light that upon a public agency, such as the City of Stockton,
filing for bankruptcy and gets the approval to do so, that the pensions of
the filing agency are the first to be met. The taxpayers are ones left
holding the bag. This practice will make it more costly to service bonds in
the future.
2
5.4. Future Agenda Items and Staff Tasks
Update the Financial Model with November actuals and projecting forward
for the remainder of the fiscal year. Analyze electrical costs as associated
with the District's Variable Costs. Review and update policies and
resolutions that pertain to the Finance Department.
6. ADJOURNMENT
6.1. The meeting was adjourned at 5:15 p.m. The next Finance - Accounting
Committee meeting is scheduled to be held Wednesday, December 17,
2014 at 10:00 a.m.
DL
K
Meeting Date
Subject:
ATTACHMENTS:
AGENDA REPORT
November 26, 2014
ITEM NO. 13.1
Meetings from November 27, 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
District Offices Closed
Thu, Nov 27
7:OOAM
December 2014
Pub Affairs - Communications -Tech Committee Meeting
Mon, Dec 1
4:OOPM
Collett/Kiley
Planning- Engineering- Operations Committee Meeting
Tue, Dec 2
4:OOPM
Melton /Beverage
Yorba Linda City Council
Tue, Dec 2
6:30PM
Collett
MWDOC
Wed, Dec 3
8:30AM
Melton
OCWD
Wed, Dec 3
5:30PM
Collett
Yorba Linda LMCAC
Wed, Dec 3
6:30PM
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
Hawkins
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
Public Financing Corporation Regular Meeting
Tue, Dec 23
8:30AM
District Offices Closed
Wed, Dec 24
7:OOAM
District Offices Closed
Thu, Dec 25
7:OOAM
11/20/20143:04:41 PM
ITEM NO. 14.1
AGENDA REPORT
Meeting Date: November 26, 2014
Subject: CASA Winter Conference - January 21 -23, 2015
CSDA Special District Leadership Academy Conference - January 25 -28, 2015
STAFF RECOMMENDATION:
That the Board of Directors approve Director attendance at these events if desired.
ATTACHMENTS:
Name: Description: Type:
CASA Conf.pdf Backup Material Backup Material
SDLA Conf.pdf Backup Material Backup Material
Approved by the Board of Directors of the
Yorba Linda Water District
11/26/2014
GM /PH 5 -0
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Wednesday. January
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CASA Board Meeting
Pre - Conference Sessions - Dual Tracks
Utility Leadership Committee
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Federal Legislative Committee
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Accreditation for the Special District Leadership Foundation's District of Distinction Designation.
FOR DIRECTORS AND TRUSTEES Completion of all four modules of the Special District Leadership Academy form
Recognition in Special the basis for the Recognition in Special District Governance, after an additional 10
Diskict Governance hours of continuing education are completed.
If you have not completed alIf our modules of the Special District Leadership Academy, this
is the place to start! During the course of this conference, you will complete the entire Academy.
5:30 — 7:00 p.m.
REGISTRATION AND
NETWORKING RECEPTION
Take a moment to network with
your peers from throughout the
state at this informal networking
reception. Reception includes
light appetizers.
L
8:30 a.m. —12:30 p.m. (Break for all attendees from 10:00 - 10.30 a.m.)
BUILDING A FOUNDATION FOR GOOD GOVERNANCE
David Aranda
In this informational session, the instructor will lay the groundwork for
good governance in your district. Attendees will discover:
• Why good governance is so important to the overall well -being
of the district.
• The traits of an effective director.
• How to move your board from "I" to "we," including how to become an
effective team, establish team standards, and the essential conditions for
team building.
This session covers Module 1 of the Special District Leadership Academy: Governance Foundations.
"Helped clarify my role as a new director."
— D. Albright, Director, Greater Vallejo Recreation District
12:30 —1:30 p.m.
LUNCH PROVIDED (all attendees)
1:45 — 4:30 p.m. (Break for all attendees from 3:00 - 3:30 p.m.)
FULFILLING YOUR DISTRICT'S MISSION - CHARTING THE COURSE
Brent Ives, BHI Management Consulting
' — This conference session will highlight the importance of setting the direction
for your district. Learn the basics of direction - setting along with how to avoid
planning pitfalls. Attendees will walk through the following steps:
• Establishing your district's mission, vision, values.
• Identifying strategic goals and objectives.
• How to communicate those objectives to your constituents.
This session covers Module 2 of the Special District Leadership Academy:
Setting Direction /Community Leadership.
5:30 — 7:00 p.m
SIP AND SAVOR THE NAPA VALLEY EVENING RECEPTION
Join us for a reception inspired by the culinary influences of the Napa Valley.
A^
Sponsored by SDR V IA
You must attend all education sessions to earn your graduation certificate at the
conclusion of the conference.
8:00 —10:00 a.m.
GET THE WORD OUT! BEST PRACTICES FOR
COMMUNICATION AND OUTREACH
Brent Ives, BHI Management Consulting
This session looks at common communication breakdowns and areas
for improvement in public agency communications. We will discuss:
• Identifying audiences.
• Responding to public input.
• Media relations.
• Legislative outreach and advocacy.
This session covers Module 2 of the Special District Leadership
Academy.- Setting Direction /Community Leadership.
10:00 —10:30 a.m.
BREAK (all attendees)
10:30 a.m. —12:00 p.m.
DEFINING BOARD & STAFF ROLES AND RELATIONSHIPS PART 1
Pete Kampa, Kampa Community Solutions
This conference session will teach participants how to determine the
human resources health of their district through:
• Identifying the board's role in human resources.
• Recognizing human resources red flags and positive indicators.
• Determining essential human resources policies.
• Covering confidentiality and legal liabilities.
• Evaluating the general manager.
This session covers Module 4 of the Special District Leadership
Academy: Board's Role in Human Resources.
"Another enjoyable CSDA experience."
— P. Corey, Director, Vista Irrigation Districtt
12:00 —1:00 p.m.
LUNCH PROVIDED (all attendees)
1:15 — 4:00 p.m. (Break for all attendees from 2:45 - 3.-00 p.m.)
DEFINING BOARD & STAFF ROLES AND RELATIONSHIPS PART 2
Pete Kampa, Kampa Community Solutions
OPEN EVENING
8:30 a.m. —12:00 p.m. (Break for all attendees from 10:00 - 10:30 a.m.)
SHOW ME THE MONEY! WHAT DO BOARD MEMBERS NEED TO
KNOW ABOUT DISTRICT FINANCES?
David Becker, James Marta & Company, Certified Public Accountants
This session will provide an overview of financial concepts, reports and
policies. Attendees will learn:
• How to ask the right questions.
• How to link the finance process to the district mission.
• What's a budget: budget process, budget assessment,
communicating budget information to the public.
• How to develop and analyze capital improvement plans and reserve
guidelines.
This session covers Module 3 of the Special District Leadership
Academy.- Board's Role in Finance and Fiscal Accountability.
12:00 —12:30 p.m.
GRADUATION - CERTIFICATE DISTRIBUTION
"Great workshop, phenomenal
instructor!"
— J. Cousino, General Manager, Newberry
Community Services District
Enjoy Napa Valley.
(Use one form per registrant)
SDLARegistration Form
January 25 -28, 2015 • Embassy Suites Napa Valley
Three Ways to Register
• Register online by visiting the Special District Leadership Academy Conference website at sdla.csda.net.
• Fax number: 916 - 520 -2465. All faxed registration forms must include credit card payment.
• Mail: CSDA, 1112 1 Street, Suite 200, Sacramento, CA 95814. Please include registration form and payment.
Checks should be made payable to: California Special Districts Association.
Not sure if you are a member?
Contact the CSDA office at 877 - 924 -2732 to find out if your agency or company is already a member. To learn more about the many
benefits of CSDA membership, contact Member Services Director Cathrine Lemaire at cathrinel @csda.net, or call
toll -free at 877 - 924 -2732.
Registration fees include:
• 2.5 days of education and materials • 2 luncheons • 2 receptions
Certificate of Completion
At the completion of the conference, first -time attendees will be awarded a certificate of completion for the Special District Leadership
Academy. Attendees must attend all education sessions to receive credit.
Name/Title:
District:
Address:
City:
State:
ZIP:
Phone:
Fax:
❑ Member ❑ Non - member
Email:
Emergency Contact - Name & Phone:
Registration Fees
EARLY BIRD (ON OR BEFORE DECEMBER 23, 2014)
❑ CSDA Member $600
❑ Non - Member $725
REGULAR (AFTER DECEMBER 23, 2014)
❑ CSDA Member $650
❑ Non- Member $775
. . . . . .•
ADDITIONAL ATTENDEE FROM THE SAME DISTRICT
(ON OR BEFORE DECEMBER 23, 2014)
❑ CSDA Member $400
❑ Non - Member $525
ADDITIONAL ATTENDEE FROM THE SAME DISTRICT
(AFTER DECEMBER 23, 2014)
❑ CSDA Member $450
❑ Non - Member $575
❑ Check ❑ Visa ❑ MasterCard ❑ Discover
❑ American Express
Acct. name:
Acct. Number:
Expiration date:
Authorized Signature:
Special needs
❑ Vegetarian ❑ Other:
CANCELLATIONS /SUBSTITUTION POLICY: Cancellations must be in writing and received by CSDA no later than January 12 at 5:00 p.m. All cancellations
received bythis date will be refunded less a $75 cancellation fee. There will be no refunds for cancellations made after January 12. Substitutions are acceptable
and must be done in writing no later than January 20 at 5:00 p.m. Please submit any cancellation notice or substitution requests to meganh @csda.net or fax
to 916 -520 -2465.