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HomeMy WebLinkAbout2017-05-23 - Board of Directors Meeting Agenda Packet (B)Yorba Linda Water District AGENDA YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS REGULAR MEETING Tuesday, May 23, 2017, 6:30 PM 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER 2. PLEDGE OF ALLEGIANCE 3. ROLL CALL J. Wayne Miller, President Al Nederhood, Vice President Andrew J. Hall, Director Phil Hawkins, Director Brooke Jones, Director 4. ADDITIONS/DELETIONS TO THE AGENDA 5. INTRODUCTIONS AND PRESENTATIONS 5.1. Elected Official Liaison Reports 6. 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 three minutes. 7. 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. 7.1. Minutes of Board of Directors Special Meeting Held February 23, 2017 Recommendation. That the Board of Directors approve the minutes as presented. 7.2. Minutes of Board of Directors Special Meeting Held March 1, 2017 Recommendation. That the Board of Directors approve the minutes as presented. 7.3. Payments of Bills, Refunds, and Wire Transfers Recommendation. That the Board of Directors ratify and authorize disbursements in the amount of $1,771,792.93. 7.4. Directors and General Manager Fees and Expenses Report for Third Quarter FY 2017 Recommendation. That the Board of Directors receive and file the Directors and General Manager Fees and Expenses Report for Third Quarter FY 2017. 8. ACTION CALENDAR This portion of the agenda is for items where staff presentations and Board discussions are needed prior to formal Board action. 8.1. Proposed Budgeted Positions for Fiscal Year 2018 Recommendation. That the Board of Directors adopt Resolution No. 17-15 approving the budgeted positions for Fiscal Year 2018 and rescinding Resolution No. 16-20. 8.2. District Investments Held with Safe Keeper/Custodial Agent Pershing LLC Recommendation. That the Board of Directors consider (1) retaining the District's non -trustee U.S. Government Sponsored Agency Securities and Certificates of Deposit investments with Pershing LLC as the safe keeper/custodial agent or (2) moving these investments to another safe keeper/custodial agent. 8.3. Draft 2017 Water Quality Report Recommendation. That the Board of Directors approve the 2017 Water Quality Report and authorize staff to make it available on the District's website pursuant to State and Federal law regarding electronic delivery. 8.4. Change Order No. 4 for Richfield Road Water Main Project Recommendation. That the Board of Directors approve Change Order No. 4 for $59,729.98 and 25 additional calendar days to TBU Construction Inc. for construction of the Richfield Road Water Main Project, Job No. 2014-23. 9. DISCUSSION ITEMS This portion of the agenda is for matters that cannot reasonably be expected to be concluded by action of the Board of Directors at the meeting, such as technical presentations, drafts of proposed policies, or similar items for which staff is seeking the advice and counsel of the Board of Directors. Time permitting, it is generally in the District's interest to discuss these more complex matters at one meeting and consider formal action at another meeting. This portion of the agenda may also include items for information only. 9.1. Unaudited Financial Statements for Third Quarter FY 2017 9.2. Budget to Actual Statements for Month Ending April 30, 2017 9.3. Cash and Investment Report for Period Ending April 30, 2017 9.4. Online Accessibility and Format of Periodic Financial Reports 10. REPORTS. INFORMATION ITEMS. AND COMMENTS 10.1. Directors' Reports • Special Briefing: Making Conservation a Way of Life - May 22, 2017 (Jones/Miller/Nederhood) 10.2. General Manager's Report 10.3. General Counsel's Report 10.4. Future Agenda Items and Staff Tasks 11. COMMITTEE REPORTS 11.1. Interagency Committee with MWDOC and OCWD (Miller/Nederhood) • Next meeting scheduled May 25, 2017 at 4:00 p.m. 11.2. Joint Agency Committee with City of Yorba Linda (Miller/Hawkins) Minutes of the meeting held March 13, 2017 at 4:00 p.m. Next meeting scheduled June 12, 2017 at 4:00 p.m. at YL City Hall. 11.3. Joint Agency Committee with City of Placentia (Miller/Nederhood) Next meeting yet to be scheduled. 12. INTERGOVERNMENTAL MEETINGS 12.1. LAFCO - May 10, 2017 (Nederhood - As Needed) 12.2. YL Planning Commission - May 10, 2017 (Hawkins - As Needed) 12.3. YL City Council - May 16, 2017 (Hall) 12.4. MWDOC -May 17, 2017 (Nederhood) 13. BOARD OF DIRECTORS ACTIVITY CALENDAR 13.1. Meetings from May 24, 2017 - July 31, 2017 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. Special Briefing: Making Conservation a Way of Life - May 22, 2017 CSDA Special District Leadership Academy Conference - July 9-12, 2017 UWI Annual Conference - August 16-18, 2017 Recommendation. That the Board of Directors approve and/or ratify Director attendance at these events. 15. ADJOURNMENT 15.1. A Board of Directors Workshop Meeting has been scheduled Thursday, June 8, 2017 at 4:00 p.m. The next Regular Board of Directors Meeting will be held Tuesday, June 13, 2017. Closed Session (if necessary) will begin at 5:30 p.m. and regular business at 6:30 p. 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. AGENDA REPORT Meeting Date: May 23, 2017 ITEM NO. 7.1 Subject: Minutes of Board of Directors Special Meeting Held February 23, 2017 STAFF RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: Description: Type: 2017-02-23 - Minutes - BOD.doc Minutes Minutes 1. 2. MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS SPECIAL MEETING Thursday, February 23, 2017, 6:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 CALL TO ORDER President Miller called the meeting to order at 6:02 p.m. PLEDGE OF ALLEGIANCE 3. ROLL CALL CI 5. DIRECTORS PRESENT J. Wayne Miller, President Al Nederhood, Vice President Phil Hawkins, Director Andrew J. Hall, Director Brooke Jones, Director ALSO PRESENT 2017 -XXX STAFF PRESENT Marc Marcantonio, General Manager Gina Knight, HR/Risk and Safety Manager Annie Alexander, Executive Assistant Cindy Botts, Water Cons Supv/Mgmt Analyst Malissa Muttaraid, Public Affairs Representative Andrew Gagen, Partner, Kidman Law LLP PUBLIC COMMENTS The following individuals spoke regarding their professional background and interest in serving on the Ad Hoc Citizens Advisory Committee (AHCAC): Mr. Dennis Anderson Mr. Michael Weber Mr. Bill Lawrence Mr. Terry Harris Mr. Ken Tam Ms. Judy DesJardin ACTION CALENDAR Mr. Kent Ebinger Mr. Ben Parker Mr. Fred Hebein Ms. Cristy Parker Dr. Jeff Decker 5.1. Formation of Ad Hoc Selection Committee Ms. Malissa Muttaraid asked that the Board consider forming an Ad Hoc Selection Committee to assist with reviewing candidate applications for Minutes of the YLWD Board of Directors Special Meeting Held February 23, 2017 at 6:00 p.m. the newly formed AHCAC and provide direction regarding the assessment process in preparation for appointments to be made at the regular Board meeting on March 1, 2017. Ms. Julia Schultz, resident, commented on the time required to become familiar with District operations and spoke against the formation of an ad hoc selection committee. Ms. Pat Nelson, resident, spoke against the formation of an ad hoc selection committee and commented on the applicant review process. Dr. Jeff Decker, resident, commented on the Directors' professional backgrounds. An unknown resident commented on the applicant review process. Director Jones suggested the Directors review the candidate's applications and submit their rankings for tabulation at the next meeting. The Board discussed the applicant review process and limiting the number of committee members. The Board voted 5-0 to limit the number of AHCAC members to 11 individuals. The Board voted 5-0 to have the Directors review the candidate's applications and submit their rankings for tabulation at the March 1, 2017 regular meeting. The Board then discussed applicant qualifications to consider, the need for candidates from a variety of different backgrounds, posting of meeting agendas and preparation of minutes, engagement of a facilitator, and handling of a tied ranking. An unknown candidate disclosed that he currently owned District bonds and inquired as to a potential conflict of interest. Mr. Andrew Gagen indicated it was not an issue. Mr. Kent Ebinger, resident, asked for clarification as to when the next regular Board meeting was going to be held. President Miller stated it was originally scheduled February 28, 2017 but had been rescheduled to March 1, 2017. Staff will notify the OC Register regarding this change and invite the other candidates to speak at the next Board meeting. Minutes of the YLWD Board of Directors Special Meeting Held February 23, 2017 at 6:00 p.m. 2 6. DISCUSSION ITEMS 6.1. Future Agenda Items and Staff Tasks Ms. Muttaraid stated that staff was in the process of obtaining proposals for meeting facilitation services which would be presented to the Board for consideration at the next meeting. Dr. Decker (resident) commented on the proposed engagement of a meeting facilitator. 7. ADJOURNMENT 7.1. The meeting was adjourned at 6:52 p.m. Annie Alexander Assistant Board Secretary Minutes of the YLWD Board of Directors Special Meeting Held February 23, 2017 at 6:00 p.m. 3 AGENDA REPORT Meeting Date: May 23, 2017 ITEM NO. 7.2 Subject: Minutes of Board of Directors Special Meeting Held March 1, 2017 STAFF RECOMMENDATION: That the Board of Directors approve the minutes as presented. ATTACHMENTS: Description: Type: 2017-03-01 - Minutes - BOD (A).doc Minutes Minutes MINUTES OF THE YORBA LINDA WATER DISTRICT BOARD OF DIRECTORS SPECIAL MEETING Wednesday, March 1, 2017,6:00 p.m. 1717 E Miraloma Ave, Placentia CA 92870 1. CALL TO ORDER President Miller called the meeting to order at 6:02 p.m. 2. ROLL CALL 3. 4. DIRECTORS PRESENT J. Wayne Miller, President Al Nederhood, Vice President Andrew J. Hall, Director Phil Hawkins, Director Brooke Jones, Director 2017 -XXX STAFF PRESENT Marc Marcantonio, General Manager Gina Knight, HR/Risk and Safety Manager Annie Alexander, Executive Assistant ALSO PRESENT Andrew Gagen, Partner, Kidman Law LLP PUBLIC COMMENTS Ms. Julia Schultz, resident, commented on the upcoming budget process, reserve levels, and the Ad Hoc Citizens Advisory Committee (AHCAC). Ms. Pat Nelson, resident, commented on the AHCAC and her experience serving on an advisory committee. CLOSED SESSION The meeting was adjourned to Closed Session at 6:07 p.m. All Directors in attendance were present. Also present were Messrs. Gagen and Marcantonio and Ms. Knight. 4.1. Conference with Legal Counsel — Existing Litigation Pursuant to Paragraph (1) of Subdivision (d) of Section 54956.9 of the California Government Code Name of Case: Brian Wooldridge vs. Yorba Linda Water District (OC Superior Court — Case No. 00886870) Minutes of the YLWD Board of Directors Special Meeting Held March 1, 2017 at 6:00 p.m. The Board reconvened in Open Session at 6:31 p.m. Mr. Gagen reported that no action was taken during Closed Session that was required to be reported under the Brown Act. 5. ADJOURNMENT 5.1. The meeting was adjourned at 6:32 p.m. Annie Alexander Assistant Board Secretary Minutes of the YLWD Board of Directors Special Meeting Held March 1, 2017 at 6:00 p.m. AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Prepared By: Maria Trujillo, Accounting Assistant 11 Budgeted: Cost Estimate: Funding Source: Dept: Subject: Payments of Bills, Refunds, and Wire Transfers SUMMARY: ITEM NO. 7.3 Yes $1,771,792.93 All Funds Finance 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 $1,771,792.93. DISCUSSION: The major items on this disbursement list are as follows: A check of $$492,396.40 to Pacific Hydrotech Corporation for April 2017 Fairmont Booster Pump Station progress payment; a wire of $397,157.36 to MWDOC for March 2017 water purchases; a check of $156,684.97 to TBU, Inc. for April 2017 Richfield Water Main progress payment; a check of $113,812.16 to ACWA/JPIA for May Medical and Dental Premiums; and, a check of $76,486.00 to Best Drilling and Pump Incorporated for Well 15 Pump repairs. The balance of $270,447.13 is routine invoices. The Accounts Payable check register total is $1,506,984.02; Payroll No. 09 total is $264,808.91; and the disbursements of this agenda report are $1,771,792.93. A summary of the checks is attached. 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 PRIOR RELEVANT BOARD ACTION(S): The Board of Directors approves bills, refunds and wire transfers semi-monthly. ATTACHMENTS: Name: Description: Type: 17 -CS 0523.pdf Cap Sheet Backup Material CkRegister052317.pdf Check Register Backup Material 17 CC 0523.pdf Credit Card Register Backup Material CHECK NUMBERS: Computer Checks Void Checks WIRES: W051217 W051517 W051517A May 23, 2017 69640-69771 69645-69646,69651, 69654-69655,69660, 69662-69672,69675, 69678, 69692, 69699, 69710-69716, 69733, and 69743 The Gas Company MWDOC Southern California Edison Co. TOTAL OF CHECKS AND WIRES PAYROLL NO. 09: Direct Deposits Third Party Checks 6671-6685 Void Checks 6680-6684 Payroll Taxes TOTAL OF PAYROLL $ 1,070,213.90 $ 0.00 $ 1,070,213.90 $ 19,149.73 $ 397,157.36 $ 20,463.03 $ 436,770.12 $ 166,972.43 $ 50,313.89 $ 0.00 $ 47, 522.59 $ 264,808.91 $1,506,984.02 $ 264,808.91 DISBURSEMENT TOTAL: $1,771,792.93 ------------------------------------------------------------------ ------------------------------------------------------------------ APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD MEETING OF MAY 23, 2017 ------------------------------------------------------------------ ------------------------------------------------------------------ Yorba Linda Water District Check Register For Checks Dated: 5/10/2017 thru 5/23/2017 Check No. Date Vendor Name Amount Description ($10k or greater) 69753 05/23/2017 ACWA/JPIA 113,812.16 MED/DENTAL PREMIUM JUNE 2017 69754 05/23/2017 Al Nederhood 137.71 MILEAGE REIMBURSEMT-APRIL 17 69659 05/23/2017 ANDREA BENIN 105.91 CUSTOMER REFUND 69755 05/23/2017 Aqua -Metric Sales Co. 21,162.10 WAREHOUSE/METER PARTS 69756 05/23/2017 Aramark 389.00 UNIFORMS 69757 05/23/2017 AT & T - Calnet3 849.69 CALNET3 APRIL 2017 69758 05/23/2017 Autoscribe Corporation 951.75 PAYMENT VISION GATEWAY 69673 05/23/2017 Bee Busters, Inc 150.00 BEE COLONY ABATEMENT 69674 05/23/2017 Best Drilling and Pump, Inc. 76,486.00 PUMP REPAIRS - YL WELL #15 69759 05/23/2017 BHI Management Consulting 8,000.00 AHCAC MEETINGS - APRIL 2017 69652 05/23/2017 BRANDYWINE HOMES 809.35 CONSTRUCTION METER REFUND 69676 05/23/2017 BrightView Tree Care Services Inc. 7,432.84 LANDSCAPE SERVICE 69677 05/23/2017 Brooke Jones 46.22 MILEAGE REIMBURSEMT -APRIL 17 69679 05/23/2017 CalCard US Bank 10,481.59 CREDIT CARD TRANSACTIONS 69680 05/23/2017 California United Bank 25,915.60 J1011B RETENTION-FAIRMONT BPS 69760 05/23/2017 CalPERS 1,206.55 REPL BENEFIT FUND CHGS 2017 69681 05/23/2017 CDW Government, Inc 2,414.50 SOFTWARE LIC. RENEWAL 69643 05/23/2017 CHRIS JAQUES 25.87 CUSTOMER REFUND 69682 05/23/2017 City Of Placentia 4,435.13 SEWER FEES - APRIL 2017 69683 05/23/2017 Coastal Ignition & Controls 4,052.66 ALL GAS ENG/SPARK PLUGS 69750 05/23/2017 COMPLETE PROPERTY SOLUTIONS 392.74 CUSTOMER REFUND 69771 05/23/2017 CORINNE PYSHER 170.52 CUSTOMER REFUND 69684 05/23/2017 Culligan of Santa Ana 1,970.96 WATER SOFTENER SERVICE MAY 69656 05/23/2017 CYNTHIA GILLASPY 148.39 CUSTOMER REFUND 69641 05/23/2017 DANA KNIGHT 25.04 CUSTOMER REFUND 69644 05/23/2017 DEBORAH RANZAN 73.64 CUSTOMER REFUND 69685 05/23/2017 Delta Wye Electric, Inc. 3,239.07 BOX CANYON RTU CABINET 69686 05/23/2017 Eisel Enterprises, Inc. 2,992.23 VALVE BOX -CAST IRON COVER 69752 05/23/2017 EL CAMINO ASPHALT COMPANY 958.40 CONSTRUCTION METER REFUND 69687 05/23/2017 Employee Relations, Inc. 75.10 PRE-EMPLOYMENT BKGRND CK Employment Development 69688 05/23/2017 Department 679.00 UNEMPLOYMT INSURANCE JAN -MAR 2017 69689 05/23/2017 Enthalpy Analytical, Inc. 2,971.04 LAB ANALYSES APRIL 2017 69658 05/23/2017 ERIKA CANTU 24.70 CUSTOMER REFUND 69690 05/23/2017 Espinoza Cosntruction 3,778.00 J1507S SEWER BOND RELEASE 69691 05/23/2017 ESRI 11,992.13 ARC GIS SOFTWARE ANNUAL MAINTENANCE 69693 05/23/2017 EyeMed 1,347.86 VISION PREMIUM MAY 2017 69761 05/23/2017 Fairway Ford Sales, Inc. 250.27 UNIT 179 COIL ASSEMBLY 69741 05/23/2017 FIRST TEAM RE 211.47 HARDWARE SUPPLIES 69694 05/23/2017 Flex Advantage 108.00 FLEX ADV - APRIL 2017 (24) 69740 05/23/2017 FRANKLIN MGMT 71.25 CUSTOMER REFUND 69695 05/23/2017 Graybar Electric Co 307.71 IT PARTS/CONTROLS 69647 05/23/2017 GUOLIANG ZHOU 144.21 CUSTOMER REFUND 69696 05/23/2017 Haaker Equipment Co. 808.58 VEH. MAINTENANCE - #197 & 210 69751 05/23/2017 HAITBRINK ASPHALT PAVING 874.90 CONSTRUCTION METER REFUND 69697 05/23/2017 Harrington Industrial 1,476.75 CL2 REPLACEMENT PARTS 69698 05/23/2017 Hydrex Pest Control 175.00 PEST CONTROL 69762 05/23/2017 Infosend Inc. 6,679.96 MONTHLY BILLING - POSTAGE 69700 05/23/2017 Jackson's Auto Supply - Napa 275.20 UNIT 180 OIL 69661 05/23/2017 JAMES LEWIS 46.72 CUSTOMER REFUND 69650 05/23/2017 JAMIE MCDONALD 34.78 CUSTOMER REFUND 69747 05/23/2017 JENNIFER WU 43.87 CUSTOMER REFUND 69744 05/23/2017 JOHN ERIC EIDE 82.11 CUSTOMER REFUND 69742 05/23/2017 JUDITH PRENESTI 191.94 CUSTOMER REFUND 69640 05/23/2017 KAREN OAKES 104.35 CUSTOMER REFUND 69701 05/23/2017 Kidman Law 35,278.53 LEGAL SERVICES APRIL 2017 69702 05/23/2017 Konica Minolta Business 781.75 BIZHUB COPIERS' LEASE 69748 05/23/2017 KRISANN APA 127.81 CUSTOMER REFUND 69703 05/23/2017 Lawson Products Inc 425.17 MECH SHOP SUPPLIES 69704 05/23/2017 Liebert Cassidy Whitmore 4,809.00 LEGAL SERVICES 69706 05/23/2017 Marc Marcantonio 106.52 MILEAGE REIMBURSEMT -APRIL 17 69707 05/23/2017 Mc Fadden -Dale Hardware 649.25 TOOLS & EQUIPMENT 69708 05/23/2017 Mc Master -Carr Supply Co. 1,043.78 MECHANIC SHOP STEEL SHEET 69709 05/23/2017 Mobile Industrial Supply 66.19 WELDING SUPPLIES W051517 05/15/2017 Municipal Water District 397,157.36 WATER DELIVERIES - MARCH 17 69763 05/23/2017 Nickey Kard Lock Inc 4,191.21 FUEL - 4/15/17 - 4/30/17 69764 05/23/2017 Occu-Med, Ltd. 170.50 OUT OF AREA EXAM -MR 1 69765 05/23/2017 Office Solutions 1,631.06 TONER 69769 05/23/2017 P.T.I. Sand & Gravel, Inc. 737.59 MATERIAL +30 FILL SAND 69766 05/23/2017 Pacific Hydrotech Corporation 492,396.40 J101 1B PROG PY#5 FAIRMONT BPS 69767 05/23/2017 Parts Source Anaheim 27.48 WELL 7 PARTS 69642 05/23/2017 PETE R AGUILERA 94.01 CUSTOMER REFUND 69768 05/23/2017 Progistics Distribution, Inc. 31.69 FREIGHT/SH IPMENT-MCMASTER CARR 69717 05/23/2017 Public Retirement Journal 195.00 PUB.RETIREMT JRNL SUBS 1YR 69718 05/23/2017 Quinn Company 12,906.65 WELL 18 MAINTENANCE 69720 05/23/2017 Red Wing Shoe Store 542.22 BOOT ALLOWANCE 69719 05/23/2017 Red Wing Shoe Store - Orange 200.00 SAFETY BOOTS BRAUNDAHL 69721 05/23/2017 RKI Engineering, LLC 1,400.00 SCADA CONTROL SUPPORT 69745 05/23/2017 ROBERT SMITH 38.91 CUSTOMER REFUND 69722 05/23/2017 Roberto Cuellar 332.00 CERT COLLECTION GR I AND APPLICATN FEE 69657 05/23/2017 ROY ALLAN SLURRY SEAL INC 147.50 CUSTOMER REFUND 69653 05/23/2017 SHAUN SALAS 195.69 CUSTOMER REFUND 69723 05/23/2017 South Coast AQMD 125.47 RCHFLD#16239 AQMD FEE FY1617 W051517A 05/15/2017 Southern Calif Edison Co. 20,463.03 VARIOUS SITES/APRIL 2017 W051217 05/12/2017 Southern Calif Gas Co. 19,149.73 FAIRMONT BLVD - APRIL 2017 69725 05/23/2017 St.Jude Hospital Yorba Linda 285.00 PHYS EXAM/PRE-EMPLOYMENT 69724 05/23/2017 Step Saver Inc 401.88 COARSE SALT 69726 05/23/2017 Sunrise Medical Group 70.00 HEP B SURFACE VACCINE -EMPLOYEE 69727 05/23/2017 Sunstate Equipment Co 99.13 PROPANE 69728 05/23/2017 TBU Inc 156,684.97 J1423 PRG PY6 APR -RICHFIELD WTR MN 69729 05/23/2017 TDC Group Inc 1,500.00 FREEANCE SOFTWARE 69705 05/23/2017 The Lighthouse Inc. 1,360.28 FLOOD LIGHT - #174 69730 05/23/2017 The Shredders 22.00 SHRED ONSITE SERVICE 69731 05/23/2017 Time Warner Cable 175.13 MIRALOMA BASIC CABLE 69732 05/23/2017 TMobile 0.10 T -MOBILE - APRIL 2017 69770 05/23/2017 Townsend Public Affairs, Inc. 5,000.00 CONSULTING APRIL SVCS 69736 05/23/2017 U S Postal Service(Hasler) 2,500.00 REPLENISH POSTAGE METER 69734 05/23/2017 Underground Service Alert 333.00 USA NEW TICKET CHGS APRIL 2017 69735 05/23/2017 United Industries 269.58 CLEANING/PAINTING SUPPLIES 69737 05/23/2017 United Water Works, Inc. 19,531.91 WAREHOUSE STOCK 69746 05/23/2017 VIVIENNE SHI WANG 45.57 CUSTOMER REFUND 69645 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69646 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69648 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69649 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69651 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69654 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69655 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69660 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69662 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69663 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69664 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69665 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69666 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69667 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69668 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69669 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69670 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69671 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69672 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69675 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69678 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69692 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69699 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69710 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69711 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69712 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69713 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69714 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69715 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69716 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69733 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69743 05/23/2017 VOID CHECK 0.00 VOID CHK -PRINTER ALIGNMT ERROR 69738 05/23/2017 Walters Wholesale Electric Co. 758.64 SWING DOOR FOR RTC CABINET 69749 05/23/2017 YANAN ZOU 299.81 CUSTOMER REFUND 69739 05/23/2017 Yorba Linda Chamber 635.00 YL CHAMBER OF COMM DUES Total $1,506,984.02 Total $50,313.89 CALIFORNIA PUBLIC EMPLOYEES' 6685 05/04/2017 RETIREMENT SYSTEM 35,260.42 6676 05/04/2017 CALIFORNIA STATE DISBURSEMENT UNIT 366.92 6677 05/04/2017 CALIFORNIA STATE DISBURSEMENT UNIT 339.69 6678 05/04/2017 CALIFORNIA STATE DISBURSEMENT UNIT 670.96 6671 05/04/2017 COLONIAL LIFE & ACCIDENT 128.30 6672 05/04/2017 FLEX ADVANTAGE 1,652.41 6675 05/04/2017 GARNISHMENT 231.00 6679 05/04/2017 GARNISHMENT 231.00 6673 05/04/2017 LINCOLN FINANCIAL GROUP 3,379.35 6674 05/04/2017 NATIONWIDE RETIREMENT SOLUTIONS 8,053.84 6680-6684 05/04/2017 VOID CHECKS 0.00 Total $50,313.89 Cal Card Credit Card U S Bank Vendor Name Amount Description AMAZON.COM $51.68 CELL PHONE CHARGES AMERICAN AIRLINE $413.59 TRAVEL EXPENSE - AWWA CONFERENCE AMAZON.COM $64.60 USB CAR CHARGERS AMAZON.COM $21.58 CISCO FAN AND ROUTER REPLACEMENT ANSWER ONE COMMUNICATIONS $444.90 AFTER HOURS SERVICE - APRIL 2017 AMERICAN WTR WORKS ASSOC (AWWA) $249.00 RECRUITMENT ADVERTISEMENT FOR ASSOCIATE ENGINEER AMERICAN WTR WORKS ASSOC (AWWA) $910.00 TRAVEL EXPENSE - AWWA CONFERENCE BROWN AND CALDWELL $200.00 RECRUITMENT ADVERTISEMENT FOR ASSOCIATE ENGINEER CALOLYMPIC GLOVE & SAFETY INC $557.92 SERVICE ON GAS DETECTORS MCMASTER-CARR $210.38 PROPANE TANK - FORKLIFT DICK'S LOCK AND SAFE $204.24 DOOR HANDLES FOR ADMINSTRATION BLDG DAN COPP CRUSHING $450.00 OLD ROAD MATERIAL DISPOSAL DOOR HARDWARE CENTER $143.36 DOOR HANDLES EVERGREEN RURAL WATER $331.21 WARNING SIGNS FULLERTON PAINT $400.06 PAINT FOR VALUES & ALERT SIGNS FTP TODAY $110.00 YLWD.FTPTODAY.COM - STORAGE HOME DEPOT $206.79 REPAIR PARTS FOR DOORS HOME DEPOT $51.32 PROPANE CYL HOME DEPOT $115.67 PARTS - CL2 SYSTEM CONDUIT INLAND KENWORTH $146.36 VEHICLE UNIT 197 SENSOR INLAND KENWORTH $25.71 VEHICLE UNIT 197 GASKET JD SQUARED $222.68 SQUARE DIE SET MOBILE INDUSTRIAL SUPPLY $103.43 MECHANIC SHOP SUPPLIES - VISE ONLINE INFORMATION SERVICES $103.28 UTILITY EXCHANGE REPORTS ORCHARD SUPPLY HARDWARE $12.15 HARDWARE SUPPLIES PLUMBING & INDUSTRIAL SUPPLY $90.36 PLUMBING REPAIR PARTS PRAXAIR $212.61 WELDING GASES REFILL PRAXAIR $135.64 WELDING GASES REFILL SCHORR METALS $103.77 MECHANIC SHOP SUPPLIES - METAL SO CAL INLAND EMPIRE ARMA $150.00 TRAVEL EXPENSE - RISK MANAGEMENT CONFERENCE SITEONE $110.89 OPERATIONS SUPPLIES - PVC CUTTERS SNAP-ON TOOLS $118.69 MECHANIC SHOP - TOOLS & EQUIPMENT SNAP-ON TOOLS $115.82 MECHANIC SHOP - TOOLS & EQUIPMENT TARGET $7.53 USB STICK FOR SEWER PHOTOS VERIZON WIRELESS $3,686.37 VERIZON WIRELESS SERVICES APRIL 2017 $10,481.59 AGENDA REPORT Meeting Date: May 23, 2017 ITEM NO. 7.4 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Prepared By: Richard Cabadas, Accounting Assistant I Subject: Directors and General Manager Fees and Expenses Report for Third Quarter FY 2017 �w.. IWO SUMMARY: Presented are the Third Quarter Directors and General Manager Fees and Expenses Report for FY 2017. STAFF RECOMMENDATION: That the Board of Directors receive and file the Directors and General Manager Fees and Expenses Report for Third Quarter FY 2017. ATTACHMENTS: Name Description: Type: BOD GM YTD FY 2016-17.pdf Backup Material Backup Material BOD GM Qtr Summary.pdf Backup Material Backup Material Travel Expense Report.pdf Backup Material Backup Material YORBA LINDA WATER DISTRICT DIRECTORS AND GENERAL MANAGER FEES AND EXPENSES YEAR-TO-DATE REPORT FROM 07-01-2016 TO 03-31-2017 FISCAL YEAR 2016-2017 BEVERAGE COLLETT HAWKINS KILEY MELTON MILLER HALL NEDERHOOD JONES SUB -TOTAL MARCANTONIO TOTAL DIRECTORS: 34 28 43 36 32 21 13 REGULAR MEETINGS ATTENDED 9 10 16 9 9 8 6 7 8 82 COMMITTEE MEETINGS ATTENDED 8 6 1 2 3 2 0 1 0 23 OFF SITE MEETINGS ATTENDED 13 7 11 10 13 1 1 7 10 73 SPECIAL MEETINGS ATTENDED 4 4 9 4 4 5 5 7 6 48 OTHER MEETINGS ATTENDED 0 1 6 11 3 5 1 8 7 42 TOTAL MEETINGS ATTENDED YTD 34 28 43 36 32 21 13 30 31 268 DIRECTOR FEES YTD $5,100 $4,200 $6,450 $5,400 $4,800 $3,150 $1,950 $4,500 $4,650 $40,200 MEETING FEES BUDGET YTD $7,500 $7,500 $13,500 $7,500 $7,500 $6,000 $6,000 $6,000 $6,000 $67,500 TRAVEL & CONFERENCES EXPENSES YTD $122 $0 $205 $3,907 $0 $627 $0 $1,743 $1,784 $8,389 TRAVEL& CONFERENCE BUDGET YTD $2,296 $2,296 $4,133 $2,296 $2,296 $1,837 $1,837 $1,837 $1,837 $20,663 TOTAL DIRECTORS FEES & EXPENSES YTD $5,222 $4,200 $6,655 $9,307 $4,800 $3,777 $1,950 $6,243 $6,434 $48,589 TOTAL FEES & EXPENSES BUDGET YTD $9,796 $9,796 $17,633 $9,796 $9,796 $7,837 $7,837 $7,837 $7,837 $88,163 GENERAL MANAGER EXPENSES YTD GENERAL MANAGER TRAVEL & CONFERENCE BUDGET YTD 268 $40,200 $67,500 $8,389 $20,663 $48,589 $88,163 $3,329 $3,329 $18,330 $18,330 TOTAL FEES & EXPENSES YTD $5,222 $4,200 $6,655 $9,307 $4,800 $3,777 $1,950 $6,243 $6,434 $48,589 $3,329 $51,918 TOTAL FEES & EXPENSES BUDGET YTD $9,796 $9,796 $17,633 $9,796 $9,796 $7,837 $7,837 $7,837 $7,837 $88,163 $18,330 $106,493 YORBA LINDA WATER DISTRICT DIRECTORS AND GENERAL MANAGER FEES AND EXPENSES 3RD QUARTER REPORT FROM 01-01-2017 TO 03-31-2017 FISCAL YEAR 2016-2017 HAWKINS MILLER HALL NEDERHOOD JONES SUB -TOTAL MARCANTON TOTAL REGULAR MEETINGS ATTENDED 5 6 4 6 6 27 COMMITTEE MEETINGS ATTENDED 1 2 0 1 0 4 OFF SITE MEETINGS ATTENDED 4 1 1 7 10 23 SPECIAL MEETINGS ATTENDED 4 4 4 6 5 23 OTHER MEETINGS ATTENDED 3 5 1 8 7 24 TOTAL MEETINGS ATTENDED QTD 17 18 10 28 28 101 101 DIRECTOR FEES QTD $2,550 $2,700 $1,500 $4,200 $4,200 $15,150 $15,150 MEETING FEES BUDGET QTD $4,500 $4,500 $4,500 $4,500 $4,500 $22,500 $22,500 TRAVEL & CONF. EXPENSES QTD $106 $627 $0 $1,743 $1,784 $4,261 $4,261 TRAVEL & CONF. BUDGET QTD $1,378 $1,378 $1,378 $1,378 $1,378 $6,888 $6,888 DIR.FEES AND EXPENSES QTD $2,656 $3,327 $1,500 $5,943 $5,984 $19,411 $19,411 FEES AND EXPENSES BUDGET QTD $5,878 $5,878 $5,878 $5,878 $5,878 $29,388 $29,388 GEN MGR EXPENSES QTD $456 $456 GEN MGR TRAVEL/CONF. BUDGET QTD $6,110 $6,110 TOTAL FEES & EXPENSES QTD $2,656 $3,327 $1,500 $5,943 $5,984 $19,411 $456 $19,867 TOTAL FEES & EXPENSES BUDGET QTD $5,878 $5,878 $5,878 $5,878 $5,878 $29,388 $6,110 $35,498 DIRECTOR'S & GENERAL MANAGER'S RECAP OF TRAVEL/CONFERENCE EXPENSES THIRD QUARTER OF FY 2016-17 JANUARY - MARCH 2017 GL Trip Trip Director Date Date Name Trip Location Meals Lodging Travel Event/ Conf. Fee Misc. Total trip Total Hawkins 3/15/17 2/1/17 WACO Meeting Fountain Valley, CA $ $ $ 26 $ $ - $ 26 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 80 $ - $ 80 $ - $ 17 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 80 $ - $ 80 3/31/17 2/26/17 CSDA - Special Leadership Academy La Jolla, CA $ $ 106 Miller 2/7/17 1/26/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ $ 17 $ - $ 17 3/20/17 3/30/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ $ 17 $ - $ 17 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 80 $ - $ 80 3/31/17 2/26/17 CSDA - Special Leadership Academy La Jolla, CA $ $ 179 $ 109 $ 225 $ - $ 513 $ - $ 627 Hall $ $ - $ - $ - $ - $ Nederhood 1/31/17 1/01-31/17 MWDOC & LAFCO Multiple locations $ $ $ 65 $ - $ - $ 65 3/6/17 4/10-13/17 AWWA CA/NV Conference Anaheim, CA $ $ $ $ 445 $ - $ 445 3/15/17 2/8/17 LAFCO Meeting Fountain Valley, CA $ $ $ 13 $ - $ - $ 13 3/20/17 3/30/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ $ 17 $ - $ 17 3/30/17 5/25/17 Santa Ana Watershed Conference Ontario, CA $ $ $ $ 158 $ - $ 158 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 80 $ - $ 80 3/31/17 02/26-2/28/17 CSDA - Special Leadership Academy La Jolla, CA $ 27 $ 538 $ $ 400 $ - $ 965 $ - $ 1,743 Jones 1/31/17 1/01-31/17 OCWD, MWDOC, WACO & OCWD Multiple locations $ $ - $ 94 $ - $ - $ 94 2/7/17 1/26/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ $ 17 $ - $ 17 3/15/17 02/1-28/17 OCWD, OCSD, & MWDOC Multiple locations $ $ $ 92 $ - $ - $ 92 3/30/17 3/30/17 ISDOC Quarterly Meeting Fountain Valey, CA $ $ $ $ 17 $ - $ 17 3/30/17 5/25/17 Santa Ana Watershed Conference Ontario, CA $ $ $ $ 158 $ - $ 158 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 90 $ - $ 90 3/31/17 02/26-28/17 CSDA - Special Leadership Academy La Jolla, CA $ 39 $ 538 $ 139 $ 600 $ - $ 1,315 $ - $ 1,784 Total Director's $ 66 $ 1,255 $ 538 $ 2,402 $ - $ 4,261 $ 4,261 General Manager Marcantonio 1/31/17 1/1-31/17 MWDOC & Townsend meeting Multiple locations $ $ - $ 44 $ - $ - $ 44 2/7/17 1/26/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ - $ 17 $ - $ 17 3/15/17 2/1-28/17 MWDOC, MWDSC & PFOA Meet Multiple locations $ $ $ 78 $ $ - $ 78 3/20/17 3/9/17 LCW Public Sector Employment Anaheim, CA $ $ $ $ 12 $ - $ 12 3/30/17 3/30/17 ISDOC Quarterly Meeting Fountain Valley, CA $ $ $ $ 17 $ - $ 17 3/30/17 3/30/17 MWDOC Policy Forum Garden Grove, CA $ $ $ $ 80 $ - $ 80 3/30/17 11/29-12/01/16 ACWA Conference Anaheim, CA $ $ $ 45 $ $ - $ 45 12/14/17 3/30/17 CRWUA Annual Conference Las Vegas, NV $ 56 $ $ 107 $ $ - $ 163 Total GM $ 56 $ $ 274 $ 126 $ - $ 456 $ 456 Total Director's & GM $ 122 $ 1,255 $ 812 $ 2,528 $ - $ 4,716 $ 4,716 AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors ITEM NO. 8.1 From: Marc Marcantonio, General Manager Presented By: Gina Knight, HR/Risk and Safety Dept: Human Manager Resources/Risk Management Reviewed by Legal: N/A Prepared By: Gina Knight, HR/Risk and Safety Manager Subject: Proposed Budgeted Positions for Fiscal Year 2018 ,1�11 SUMMARY: The District's Board of Directors on an annual basis adopts a Budget. In addition, the Board also considers and approves the funding for the proposed positions for that given fiscal year. STAFF RECOMMENDATION: That the Board of Directors adopt Resolution No. 17-15 approving the budgeted positions for Fiscal Year 2018 and rescinding Resolution No. 16-20. DISCUSSION: The District's Board of Directors will consider adopting a Budget that will fund eighty (80) regular, full-time positions. The following new positions have been added to this year's Budgeted Positions List: one (1) regular full-time Assistant General Manager and one (1) regular full-time Accountant. The following positions have been removed from this year's Budgeted Positions List: one (1) limited - term full-time Water Conservation Supervisor, one (1) temporary part-time Water Conservation Representative, one (1) limited -term full-time Office Clerk, and one (1) limited -term full-time Water Conservation Representative. In addition, the following position will not be funded during Fiscal Year 2018: one (1) regular full-time Communications Manager. PRIOR RELEVANT BOARD ACTION(S): The Board annually considers adopting a resolution authorizing budgeted positions, in accordance with both the District's adopted Personnel Rules and CaIPERS' statutory and regulatory requirements for publicly available pay schedules clarified under California Codes of Regulations (CCR) Section 570.5. The Board adopted Resolution No. 16-20 approving Budgeted Positions for Fiscal Year 2017 on November 21, 2016. ATTACHMENTS: Name Description: Type: Resolution No. 17-15.doc Resolution Resolution Resolution No. 17-15 Exhibit A.xlsx Exhibit Exhibit RESOLUTION NO. 17-15 RESOLUTION OF THE BOARD OF DIRECTORS OF THE YORBA LINDA WATER DISTRICT ADOPTING THE BUDGETED POSITIONS FOR FISCAL YEAR 2018 AND RESCINDING RESOLUTION NO. 16-20 WHEREAS, the Board of Directors adopted Resolution No. 13-01 on January 24, 2013, the "Yorba Linda Water District Personnel Rules"; and WHEREAS, the "Personnel Rules" direct that the number of Authorized Positions and Salary Ranges are subject to approval by the Board of Directors; and WHEREAS, the Board of Directors adopted Resolution No. 16-20 on November 21, 2016, approving the budgeted positions for the remainder of Fiscal Year 2016/17; and WHEREAS, it is the desire of the Board of Directors to adopt Budgeted Positions for Fiscal Year 2018 as set forth in Exhibit "A" attached hereto, and to rescind Resolution No. 16-20. NOW THEREFORE BE IT RESOLVED by the Board of Directors of the Yorba Linda Water District as follows: Section 1. The number of Budgeted Positions as set forth in Exhibit "A" attached hereto is approved and adopted for Fiscal Year 2018 effective July 1, 2017. Section 2. The General Manager is hereby authorized to employ up to the number of employees budgeted and funded in each fiscal year without further approval of the Board of Directors. Section 3. The General Manager is hereby authorized while this Resolution is active to fill a budgeted position that is vacated with a new employee at a lower or equal classification. The General Manager is further authorized to fill a budgeted position with a part time employee or contract staff. Section 4. That Resolution No. 16-20 is hereby rescinded effective July 1, 2017. Resolution No. 17-15 Approving Budgeted Positions for Fiscal Year 2018 and Rescinding Resolution No. 16-20 PASSED AND ADOPTED this 23rd day of May 2017 by the following called vote: AYES: NOES: ABSTAIN: ABSENT: J. Wayne Miller, Ph.D., President Yorba Linda Water District ATTEST: Marc Marcantonio, Board Secretary Yorba Linda Water District Reviewed as to form by General Counsel: Andrew B. Gagen, Esq. Kidman Law LLP Resolution No. 17-15 Approving Budgeted Positions for Fiscal Year 2018 and Rescinding Resolution No. 16-20 Exhibit "A" Resolution No. 17-15 Budgeted Positions for Fiscal Year 2018 Effective July 1, 2017 Salary Budgeted Proposed Budgeted Range position Classification as of Change as of 11/21/2016 7/1/2017 12 Office Clerk 1 1 15 Customer Service Rep 1 0 0 Public Affairs Representative 1 1 16 Meter Reader 1 1 1 17 Accounting Assistant 1 1 1 Customer Service Rep 11 2 2 Maintenance Worker 1 9 9 Mechanic 1 0 0 18 Meter Reader 11 2 2 19 Customer Service Rep 111 2 2 Operations/Warehouse Assistant 1 1 Records Management Specialist 1 1 20 Engineering Technician 1 0 0 Maintenance Dist. Operator 11 7 7 Water Quality Technician 1 0 0 21 Accounting Assistant 11 1 1 Facilities Maintenance 1 1 Mechanic 11 1 1 22 Information Systems Tech 1 1 1 Water Quality Technician 11 1 1 23 Human Resources Technician 0 0 Maintenance Dist. Operator 111 5 5 Mechanic 111 1 1 Meter Services Lead 1 1 Plant Operator 11 3 3 24 Construction Inspector 1 1 Engineering Technician 11 2 2 25 Human Resources Analyst 2 2 Accountant 0 Instrumentation Technician 1 1 26 GIS Analyst 1 1 Sr. Construction Inspector 1 1 Sr. Fleet Mechanic 1 1 Sr. Maintenance Dist. Operator 4 4 Sr. Plant Operator 1 1 27 Associate Engineer 1 1 Customer Service Supervisor 1 1 Safety and Training Analyst 1 1 28 Construction Project Supervisor 1 1 Management Analyst 1 1 Programmer Analyst 1 1 29 Chief Water System Operator 1 1 Water Conservation Supervisor 1 Page 1 of 2 Exhibit "A" Resolution No. 17-15 Budgeted Positions for Fiscal Year 2018 Effective July 1, 2017 30 IS Administrator 1 80 Records Management Administrator 1 Salary Sr. Accountant 1 Water Maint. Superintendent 1 31 Water Production Superintendent 1 Water Quality Engineer 1 32 Executive Assistant 1 34 Sr. Project Manager 1 37 Communications Manager 1 0.5 Engineering Manager 1 12 Finance Manager 1 1 Human Resources/Risk and Safety Manager 1 IT Manager 1 1 Operations Manager 1 40 Assistant General Manager Salary Set General Manager 1 by Board Page 2 of 2 1 1 1 1 1 1 1 1 1 1 1 1 1 1 80 0 0 0 0 Total 80 0 Salary Position Classification Range 10 Water Conservation Representative 0.5 -0.5 12 Office Clerk 1 -1 Water Conservation Representative 1 -1 Total 2.5 -2.5 Page 2 of 2 1 1 1 1 1 1 1 1 1 1 1 1 1 1 80 0 0 0 0 ITEM NO. 8.2 AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Prepared By: Kelly McCann, Senior Accountant Subject: District Investments Held with Safe Keeper/Custodial Agent Pershing LLC STAFF RECOMMENDATION: That the Board of Directors consider (1) retaining the District's non -trustee U.S. Government Sponsored Agency Securities and Certificates of Deposit investments with Pershing LLC as the safe keeper/custodial agent or (2) moving these investments to another safe keeper/custodial agent. DISCUSSION: Once again we are bringing to the Boards attention the safe keeper/custodial relationship that exists with the Districts Investments held at Pershing LLC. The District's Non -Trustee U.S. Government Sponsored Agency Securities and Certificates of Deposit are currently being held by Pershing and are in the District's name. However, the safe keeper/custodial agreement is between First Empire Securities (an authorized broker) and Pershing. The District could retain these investments with Pershing and the safe keeper/custodial agreement would remain between First Empire and Pershing. However, our auditors would report a significant deficiency of internal control by the District. Another option would be to transfer these investments from Pershing LLC to another safe keeper/custodial agent. Attached is a list of potential safe keeper/custodial agents. 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 Safekeeping Backup.pdf Description: Safe Keeper - Custodial Agents Type: Backup Material List of Safe Keepers• In Compliance Cost of Safekeeping Bank of the West $5,800 one-time fee Yes + $200 per new investment transferred in U.S. Bank $1,000 one-time fee Yes + $1,500 annually (up to 50 investments) + $50/year per investment above 50 Wells Fargo $10,000 annually Yes Comerica Bank $10,000 annually Yes List of Safe Keepers- NOT in Compliance First Empire/Pershing LLC Bank of California Cantella/NSF East West Bank Union Bank OneWest Bank Bank of Southern California Bank of New York Mellon Pacific Western Bank In Compliance with Cost of Safekeeping Auditing Requirement? $0 $11,500 annually $5.65/transaction Service Not Available Service Not Available Service Not Available Service Not Available Service Not Available Service Not Available No No No N/A N/A N/A N/A N/A N/A AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Steve Conklin, Engineering Manager Prepared By: Bryan Hong, Water Quality Engineer Subject: Draft 2017 Water Quality Report SUMMARY: Budgeted: Total Budget: Cost Estimate: Funding Source: Dept: Reviewed by Legal: CEQA Compliance: ITEM NO. 8.3 Yes $1400 $1400 All Water Funds Engineering N/A N/A Since 1990, California public water utilities have been required to provide annual water quality reports to their customers. This report is also known as the Consumer Confidence Report (CCR) which covers water quality testing and analysis from January to December of the previous calendar year. State and Federal laws require that this annual water quality report be provided to every customer by July 1 to ensure that customers are informed of the quality of their drinking water. STAFF RECOMMENDATION: That the Board of Directors approve the 2017 Water Quality Report and authorize staff to make it available on the District's website pursuant to State and Federal law regarding electronic delivery. DISCUSSION: State and Federal laws require that the District prepare an annual water quality report and make it available to its customers by July 1 of each year. This annual water quality report covers water quality monitoring, testing and analysis conducted from January to December of the previous calendar year. The purpose of this report is to inform customers of the quality of the water they are receiving. Since 2013, State and Federal laws allow electronic delivery of the annual water quality report. As a result, the District will save cost in printing and distribution and will make the report available via the District's website. Hard copies of the report will be available upon request. The District plans to provide information to their customers regarding the availability of the report on the customer water bills for the billing cycles of June and July. In 2016, over 23,000 analyses were conducted to ensure that the water that the District provides met all State and Federal drinking water regulations. In some cases, the District went beyond what is required by State and Federal laws, by providing additional monitoring for contaminants of concern. Staff is pleased to report that the District has never violated any drinking water regulation from both the State and Federal standards. To be provided at the meeting is a draft copy of the District's 2017 Water Quality Report for review and consideration by the Board. PRIOR RELEVANT BOARD ACTION(S): On May 26, 2016, the Board of Directors approved the 2016 Water Quality Report and its distribution. ATTACHMENTS: Name: Draft 2017 Water Quality Report.pdf Description: Draft 2017 Water Quality Report Type: Backup Material 2017 WATER QUALITY REPORT Yorba Linda Water District YL W �b T' Yorba Linda Water District " will provide reliable, high quality water and sewer services in an environmentally responsible manner, while maintaining an economical cost and unparalleled customer service to our community. � �, r } � ^v_. � �.4 '. �� � � • � �� �� � �1 � 1 � 1�1 ^: � ;i Y - ..ti 4� � � 1 a P ,d� y DATA FOR 2016 -y�..p� � """.i ::.s.,m.y��;" • , Y i. � � � � , '� 1� `ry ry ' � ►`: e,'R" �t �'Y�� S • p � r •i r � r �d., *_ � i `FOIE .� i � i ,•, �, � � 1� 'Y •. �M 1� � 'i iy¢,'y,- '�,;�'',. + A .. �� � ♦ ��c e 9 �`� ✓ 'n � 1� � pry '� ' �� � \� 't1 R 11' J '' r � 4! iL i � �, r } � ^v_. � �.4 '. �� � � • � �� �� � �1 � 1 � 1�1 ^: � ;i Y - ..ti 4� � � 1 a P ,d� y DATA FOR 2016 -y�..p� � """.i ::.s.,m.y��;" • , Y i. � � � � , '� 1� `ry ry ' � ►`: e,'R" �t �'Y�� S • p � r •i r � r �d., *_ � i `FOIE .� i � i ,•, �, � � 1� 'Y •. �M 1� � 'i iy¢,'y,- '�,;�'',. + A .. �� � ♦ ��c e 9 �`� ✓ 'n � 1� � pry '� ' �� � \� 't1 R 11' J '' r � 4! iL R i; Your 2017 Water Quality Report Since 1990, California public water utilities have been providing annual Water Quality Reports to their customers. This year's report, also known as the "Consumer Confidence Report;' covers water quality testing from January to December 2016, unless otherwise specified. The Yorba Linda Water District's (District) annual Water Quality Report is prepared in compliance with the regulations called for in the 1996 reauthorization of the Safe Drinking Water Act (SDWA). The reauthorization charged the United States Environmental Protection Agency (USEPA) with updating and strengthening the tap water regulatory program. USEPA and the State Water Resources Control Board, Division of Drinking Water (DDW) are the agencies responsible for establishing water quality standards. To ensure that your tap water is safe to drink, USEPA and DDW prescribe regulations that limit the amount of certain contaminants in water provided by water systems. The U.S. Food and Drug Administration regulations and California Law also establish limits for contaminants in bottled water that provide the same protection for public health. The State and Federal governments require that this annual Water Quality Report be provided to every customer to insure you are informed of the quality of your water. The District is committed to safeguarding its water supply and, as in years past, the water delivered to your home meets the standards required by the state and federal regulatory agencies. In 2016, we conducted over 23,000 analyses to ensure that your water is clean and safe to drink. We are proud to report that our water system has never violated any water quality standard from both the State and Federal drinking water regulations. In some cases, the District goes beyond what is required by providing additional monitoring for contaminants that may have health risks. We encourage you to read this report and to contact us with any questions you may have. This report contains important information about your drinking water. Translate it, or speak with someone who understands it. Este informe contiene informaci6n importante sobre su agua potable. Para mas informaci6n o traducci6n, favor contactar a nuestro representantes de servicio. fS #R A T 1h L,-17101 Tq,1„ i#Pj-�T T �b �7IJx`iJIKa0Mr 6n Questions about your water? Contact us for answers. Yorba Linda Water District is an independent special district that provides water and sewer service to most of the City of Yorba Linda and to portions of Anaheim, Brea, Placentia and unincorporated Orange County. For more information about the District or your water service, please visit our website at www.ylwd.com or call (714) 701-3000. The Yorba Linda Water District Board of Directors' regularly scheduled meetings are held on the second and fourth Tuesday of each month at 6:30 p.m. in the District boardroom located at 1717 E. Miraloma Avenue, Placentia, California 92870. The Quality of Your Water is Our Primary Concern Sources of Supply The District's water supply is a blend of groundwater from our own wells and water imported from Northern California and the Colorado River by the Metropolitan Water District of Southern California (MWD). The source water for our wells is a natural aquifer that is replenished with water from the Santa Ana River, local rainfall, imported water, and through the Groundwater Replenishment System (GWRS). The GWRS is a three step process where the Orange County Water District takes highly treated wastewater from the Orange County Sanitation District and purifies the water through a state-of-the-art purification process consisting of micro- filtration, reverse osmosis, and ultraviolet light with hydrogen peroxide. This near -distilled -quality water is then transported to percolation basins where the GWRS water naturally filters through sand and gravel to the groundwater basin managed by the Orange County Water District. The groundwater basin is approximately 350 square miles in area and lies beneath most of northern and central Orange County. The Yorba Linda Water District and more than 20 cities Your Water: Always Available, Always Assured THE DIEMER WATER TREATMENT PLANT, located in the hills above Yorba Linda, processes up to 520 million gallons of clean water per day — enough to fill the Rose Bowl every 4 hours. The water is a blend from both the Colorado River Aqueduct and the State Water Project. At 212 -acres, it's one of the largest water treatment plants in the U.S. It provides nearly half of Orange County's total water supply. Water flowing from Diemer meets — or exceeds — all state and federal regulations. And it is kept safe from the treatment plant to your tap by constant testing throughout the distribution network. Every day, the Yorba Linda Water District monitors the water quality at all sources, reservoirs, and various points on the distribution system. In addition, the Orange County Water District performs testing on the District's groundwater wells by analyzing for hundreds of compounds, many more than are required by state and federal laws and regulations. This constant surveillance ensures your drinking water stays within the requirements mandated #CAL" by the federal Safe Drinking Water Act. JW 711 and retail water districts r pump from the ground- water basin to provide water to homes and businesses. Your water source depends on where you live or work within the boundaries of our community. L Having multiple sources of water is beneficial for the District's customers. Local groundwater is both high in quality and lower in cost than imported water, which must travel hundreds of miles through aqueduct systems. Having more than one source also improves the overall reliability of our water supply. To find out which water source is provided to your home or business, please call the District's main line. Local Groundwater (Chlorine Disinfection) The District obtains approximately 70% of its water supplies from wells located within the District. The District's groundwater sources include: Well No. 1, Well No. 5, Well No. 7, Well No. 10, Well No. 12, Well No. 18 and Well No. 19, which are located within Placentia city limits; and Well No. 11, Well No. 15, Well No. 20 and Well No. 21, which are located within Anaheim city limits. The District uses chlorine to disinfect the well water as it enters the distribution system. Imported Water (Chloramine Disinfection) The District obtains the remainder of the water from local whole- saler Municipal Water District of Orange County (MWDOC). MWDOC obtains water from regional supplier Metropolitan Water District of Southern California (MWD). MWD obtains water from Northern California via the California Aqueduct, and from the Colorado River via the Colorado River Aqueduct. MWD owns and operates the Robert B. Diemer water treatment plant located just north of western Yorba Linda where the water is treated to meet drinking water standards. MWD disinfects the water with chloramines, a combination of chlorine and ammonia. The Source of Your Water Can Change Throughout the Year In order to maximize the delivery of groundwater, the District may change their operating dynamics which would result in a source water change from import water to groundwater at different times throughout the year. Because your water sources may vary or may be a blend of these two supplies, you may notice a difference in the taste or hardness (mineral content) of the water. None of these factors affect the quality and safety of your water. -3- Federal and State Water Quality Regulations — Water Quality Issues that Could Affect Your Health — Basic Information About Drinking Water Contaminants The sources of drinking water (both public tap water and bottled water) include rivers, lakes, streams, ponds, reservoirs, springs, and groundwater. As water travels over the surface of the land or through the ground, it dissolves naturally occurring minerals and, in some cases, radioactive material. Water also picks up substances resulting from the presence of animals or from human activity. Drinking water, including bottled water, may reasonably be expected to contain at least small amounts of some contaminants. The presence of contaminants does not necessarily indicate that water poses a health risk. More information about contaminants and potential health effects can be obtained by calling the USEPA's Safe Drinking Water Hotline (1-800-426-4791). Contaminants that may be present in source water include: • Microbial contaminants, such as viruses and bacteria, which may come from sewage treatment plants, septic systems, agricultural livestock operations, and wildlife. Cryptosporidium is a microscopic organism that, when ingested, can cause diarrhea, fever, and other gastrointestinal maladies. The organism comes from animal and/or human waste and may be found in surface (imported) water. A standard treatment process that includes sedimentation, filtration, and disinfection can eliminate Cryptosporidium contamination. • Pesticides and herbicides that may come from a variety of sources such as agriculture, urban storm water runoff, and residential uses. • Inorganic contaminants, such as salts and metals that can be naturally occurring or result from urban storm water runoff, industrial or domestic wastewater discharges, oil and gas production, mining or farming. • Organic chemical contaminants, including synthetic and volatile organic chemicals that are by-products of industrial processes and petroleum production, and can also come from gas stations, urban storm water runoff, agricultural application and septic systems. • Radioactive contaminants that can be naturally occurring or be the result of oil and gas production and mining activities. -4- Fluoride The District does not add fluoride to its groundwater supplies. Naturally occurring fluoride is present in the aquifer. In 1995, the California Legislature passed a bill mandating that all large water agencies fluoridate their supplies, but only if the state or "somebody" provided the agencies with the funds to do so. To date, the state has not come up with the funds to implement fluoridation. MWD commenced fluoridation of the drinking water it supplies to Southern California in November of 2007. The District purchases approximately 30% of its water from MWD. Because of MWD's decision and the District's dual sources of water (groundwater and import), the District is faced with a situation where some of its customers will receive water fluoridated by MWD, some will receive non -fluoridated water, and some will receive a blend of fluoridated and non -fluoridated water. If you wish to know the approximate level of fluoride in your tap water, or specific water service area, please call the Water Quality Engineer, at (714) 701-3000. Additional information about the fluoridation of drinking water can be found through the following sources: U.S. Centers for Disease Control and Prevention: www.cdc.gov/fluoridation/ • 1 -888 -CDC -INFO (1-888-232-4636) State Water Resources Control Board, Division of Drinking Water www.waterboards.ca.gov/drinking water/ certlic/drinkingwater/Fluoridation.shtml American Dental Association http://www.ada.org/en/public-programs/advocating-for-the- public/fluoride-and-fluoridation/ada-fluoridation-resources American Water Works Association: www.awwa.org Special Risk Populations Some individuals may be more vulnerable to the effects of possible contaminants in drinking water than the general population. Immuno -compromised persons such as persons with cancer undergoing chemo- therapy, persons who have undergone organ transplants, some elderly persons, infants, persons infected with HIV/AIDS, or persons with other immune system disorders can be particularly at risk from infections These persons should seek advice from their health care providers about drinking water The USEPA/Center for Disease Control guidelines on appropriate means to lessen the risks of infection by Cryptosporidium or other microbial contaminants are available from the Safe Drinking Water Hotline (1-800-426-4791). About Lead in Tap Water If present, elevated levels of lead can cause serious health purpose, such as watering plants. problems, especially for pregnant women and young children. If you are concerned about lead in your water, you Lead in drinking water is primarily from materials and may wish to have your water tested. Information on components associated with service lines and home plumbing. lead in drinking water, testing methods, and steps you The District is responsible for providing high quality drinking water, but cannot control the variety of materials used in plumbing components. When your water has been sitting for several hours, you can minimize the potential for lead exposure by flushing your tap for 30 seconds to 2 minutes before using water for drinking or cooking. If you do so, you may wish to collect the flushed water and reuse it for another beneficial can take to minimize exposure is available from the Safe Drinking Water Hotline or on the web at: www.epa.gov/safewater/lead. There are no known lead service lines for potable water in the District. Please see chart titled "Lead and Copper Action Levels for Residential Taps" on page 7 for more District -specific information. Alpha Radiation (pCi/L) 15 (0) ND ND -4 No Erosion of Natural Deposits Beta Radiation (pCi/L) 50 (0) 5 4-6 No Decay of Man-made or Natural Deposits Uranium (il 20 0.43 3 2 — 3 No Erosion of Natural Deposits 2016 Aluminum (ppm) 1 0.6 0.168 0.12-0.24 No Treatment Process Residue, Natural Deposits Barium (ppm) 1 2 0.138 0.138 No Refinery Discharge, Erosion of Natural Deposits Fluoride (ppm) treatment-related Control Range 0.6 — 1.2 ppm Optimal Level 0.7 ppm 0.7 0.6-0.9 No Water Additive for Dental Health Secondary Standards* — Tested in 2016 — 262 No Runoff or Leaching from Natural Deposits Total Dissolved Solids (ppm) 1,000* Aluminum (ppb) 200* 600 168 120-240 No Treatment Process Residue, Natural Deposits Chloride (ppm) 500* n/a 103 101 —103 No Runoff or Leachinq from Natural Deposits Odor (threshold odor number) 3* n/a 3 3 No Naturally -occurring Organic Materials Specific Conductance (pmho/cm) 1,600* n/a 1,040 1,030— 1,050 No Substances that Form Ions in Water Sulfate (ppm) 500* n/a 260 257 — 262 No Runoff or Leaching from Natural Deposits Total Dissolved Solids (ppm) 1,000* n/a 654 650-658 No Runoff or Leaching from Natural Deposits Unregulated Chemicals — Tested in 2016 Alkalinity, total as CaCO3 (ppm) Not Regulated n/a 120 115— 124 n/a Runoff or Leaching from Natural Deposits Boron (ppm) NL=1 n/a 0.15 0.15 n/a Runoff or Leaching from Natural Deposits Calcium (ppm) Not Regulated n/a 76 75-76 n/a Runoff or Leaching from Natural Deposits Hardness, total as CaCO3 (ppm) Not Regulated n/a 296 292— 300 n/a Runoff or Leaching from Natural Deposits Hardness, total (grains/gallon) Not Regulated n/a 17 17— 18 n/a Runoff or Leaching from Natural Deposits Magnesium (ppm) Not Regulated n/a 27 26-27 n/a Runoff or Leaching from Natural Deposits pH (pH units) Not Regulated n/a 8.1 8.1 n/a Hydrogen Ion Concentration Potassium (ppm) Not Regulated n/a 5.1 5-5.1 n/a Runoff or Leaching from Natural Deposits Sodium (ppm) Not Regulated n/a 103 99— 107 n/a Runoff or Leaching from Natural Deposits Total Organic Carbon (ppm) TT n/a 2.5 2.1 —2.6 n/a Various Natural and Man-made Sources ppb = parts -per -billion; ppm = parts -per -million; pCi/L = plcoCuries per liter, pmho/cm = mlcromhos per centimeter, ND = not detected, MCL= Maximum Contaminant Level, (MCLG) = federal MCL Goal, PHG = California Public Health Goal, NIL otiflcationLevel, n/a = not applicable, TT= treatment technique *Chemical lsregulated byasecondary standard . 1) Highest single turbidity measurement 0.3 NTU 0.07 No Soil Runoff 2) Percentage of samples less than 0.3 NTU 95% 100% No Soil Runoff Turbidity is a measure of the cloudiness of thewater, an indication of particulate matter, some ofwhlch might include harmful microorganisms. NTU = nephelometric turbidity units Lowturbidity in Metropolitan's treated water is a good indicator of effective filtration. Filtration is called a "treatment technique" (TT). A treatment technique Is a required process Intended to reduce the level of chemicals In drinking water that are difficult and sometimes Impossible to measure directly. Chromium, Hexavalent (ppb)** MCL=10 0.02 0.07 0.03-0.11 2013 Chromium, Total (ppb)*** MCL= 50 MCLG = 100 <0.2 ND -0.5 2074 -- Molybdenum, Total (ppb) 014Molybdenum,Total(ppb) n/a n/a 4.7 4.5-5 2014 Strontium,Total (ppb) n/a n/a 931 854-1,070 2014 Vanadium, Total (ppb) 50 n/a 2.8 2.3-3 2014 **Hexavalent chromium Is regulated with an MCL of 10 ppb but was not detected, based on the detection limit for purposes of reporting of 1 ppb. Hexavalentchromlum was Included as part of the unregulated chemicals requiring monitoring. ***Total chromium Is regulated with an MCL of 50 ppb but was not detected, based on the detection limit for purposes of reporting of 10 ppb. Total chromium was Included as part of the unregulated chemicals requiring monitoring. -5- Gross Alpha (pCi/L) 15 (0) <3 ND - 4.22 No 2014 Erosion of Natural_Deposits_______________ Uranium (pCi/L) 20 0.43 5.85 4.49 - 8.6 No 2014 Erosion of Natural Deposits Inorganic Chemicals Arsenic (ppb) 10 0.004 2.5 ND - 4.3 No 2016 Erosion of Natural Deposits Barium (ppm) 1 2 <O.1 ND - 0.11 No 2016 Erosion of Natural Deposits Fluoride (ppm) 2 1 0.48 0.41 -0.53 No 2016 Erosion of Natural Deposits Nitrate (ppm as N) 10 10 1.77 1.02-2.62 No 2016 Fertilizers, Septic Tanks Nitrate+Nitrite (ppm as N) 10 10 1.77 1.03-2.63 No 2016 Fertilizers, Septic Tanks Secondary Standards* Chloride (ppm) 500* n/a 122 109-140 No 2016 Erosion of Natural Deposits Color (color units) 15* n/a 0.33 ND -3 No 2016 Naturally-occuring organic materials Iron (ppb) 300* n/a 4.4 ND -158 No 2016 Erosion of Natural Deposits Specific Conductance (pmho/cm) 1,600* n/a 1,070 1,010 - 1,180 No 2016 Erosion of Natural Deposits Sulfate (ppm) 500* n/a 147 118-176 No 2016 Erosion of Natural Deposits Total Dissolved Solids (ppm) 1,000* n/a 674 592-730 No 2016 Erosion of Natural Deposits Turbidity (NTU) 5* n/a <0.1 ND - 0.7 No 2016 Erosion of Natural Deposits Unregulated Chemicals 1.05 0.8-1.79 Alkalinity, total (ppm as CaCO3) Not Regulatedn/a 226 214-245 n/a 2016 Erosion of Natural Deposits Bicarbonate (ppm as HCO3) Not Regulated n/a 275 261 -298.7 n/a 2016 Erosion of Natural Deposits Boron (Dom) NL = 1 _ n/a 0.26 0.24-0.28 n/a 2016 Erosion of Natural Deposits n/a n/a n/a n/a n/a n/a n/a 0.025 0.018-0.031 n/a 2016 Man-made Sources pH (pH units) Not Regulated n/a 7.7 7.5-7.8 0.15-0.18 n/a 2016 Acidity, hydrogen ions Potassium (ppm) Not Regulated n/a 5.6 4.6-8.7 - 12 n/a 2016 Erosion of Natural Deposits Sodium (ppm) Not Regulated n/a 94.5 82.4-107 2013 n/a 2016 Erosion of Natural Deposits Total Organic Carbon (ppm) Not Regulated n/a 1.05 0.8-1.79 n/a n/a 2016 Various Natural and Man-made Sources Van NL n/a adium (ppb) - 4.6 3.3 - 8.4 n/a 2016 Erosion of Natural Deposits; Industrial Discharge p e g ppb = parts -per -billion; ppm = parts -per -million, pCi/L= plcoCuries per liter, NTU = nephelometric turbidity units, ND -not detected, n/a -not applicable, <=average is less than the detection limit for reporting purposes, MCL -Maximum Contaminant Level, (MCLG) -federal MCL Goal, PHG -California Public Health Goal, pmho/cm= mlcromho per centimeter *Contaminant Is regulated by a secondary standard to maintain aesthetic qualities (taste, odor, color). Chromium, Hf Molybdenum, Perfluorooctai n/a 0.57 0.55-0.59 2013 2013 L=10 0.02 0.17 0.15-0.18 2013 n/a n/a 11.6 11.1 - 12 2013 n/a n/a 0.0472 0.047 - 0.0474 2013 n/a n/a 0.025 0.0241 -0.0259 2013 n/a n/a 860 832-888 2013 n/a 4.3 4.2-4.3 2013 **Hexavalent chromium Is regulated with an MCL of 10 ppb butwas not detected, based on the detection limit for purposes of reporting of 1 ppb. Hexavalent chromium was Included as part of the unregulated chemicals requiring monitoring. Table Legend What is a Water Quality Goal? In addition to mandatory water quality standards, USEPA and the DDW have set voluntary water quality goals for some contaminants. Water quality goals are often set at such low levels that they are not achievable in practice and are not directly measurable. Nevertheless, these goals provide useful guidance and directions for water management practices. The chart in this report includes three types of water quality goals: t Maximum Contaminant Level Goal (MCLG): The level of a contaminant in drinking water below which there is no known or expected risk to health. MCLGs are set by the USEPA. t Maximum Residual Disinfectant Level Goal (MRDLG): The level of a disinfectant added for water treatment below which there is no known or expected risk to health. MRDLGs are set by USEPA. t Public Health Goals (PHG): The level of a contaminant in drinking water below which there is no known or expected risk to health. PHGs are set by the California Environmental Protection Agency - Office of Environmental Health Hazard Assessment. What are Water Quality Standards? Measurement Information Drinking water standards established by the USEPA and DDW In order to ensure that tap water is safe to drink, USEPA and DDW prescribe regulations that set limits for substances that may affect consumer health or limit the amount of certain contaminants in water provided by public water systems. aesthetic qualities of drinking water. The chart in this report shows the following types of water quality standards: t Maximum Contaminant Level (MCL): The highest level of a contaminant that is allowed in drinking water. Primary MCLS are set as close to the PHGs (or MCLGs) as is economically and technologically feasible. t Maximum Residual Disinfectant Level (MRDL): The level of a disinfectant added for water treatment that may not be exceeded at the consumer's tap. t Secondary MCLs are set to protect the odor, taste, and appearance of drinking water. t Primary Drinking Water Standard: MCLS for contaminants that affect health along with their monitoring and reporting requirements and water treatment requirements. t Regulatory Action Level (AL): The concentration of a contaminant, which, if exceeded, triggers treatment or other requirements that a water system must follow. -6- The tables list all the drinking water contaminants that the District detected above the reporting limits during the 2016 calendar year. The presence of these contaminants in the water does not necessarily indicate that the water poses a health risk. Unless otherwise noted, the data presented in this table is from testing done for the period January 1 through December 31, 2016. The DDW requires monitoring for certain contaminants less often than every year because the concentrations of these contaminants are not expected to vary significantly from year to year. Thus, some of the data, though representative of current water quality, is more than one year old. The District contracts with state certified, independent laboratories to perform most of the District's water quality testing. How are Contaminants Measured? t Parts per million (ppm) or t Parts per billion (ppb) or t Parts per trillion (ppt) or milligrams per liter (ni micrograms per liter (pg/L) nanograms per liter (ng/L) What Do the Abbreviations Represent? t pCi/L - picoCuries per liter t NO - not detected t NTU - nephelometric turbidity units t n/a - not applicable t TON - Threshold Odor Number t NL - Notification Level t pmho/cm - micromhos per centimeter Disinfectant Residual and Disinfection By -Products Chlorine Residual (ppm) (4/4) 1.2 0.04-2.35 No Disinfectant Added for Treatment Total Trihalomethanes (ppb) 80 53 13.9-78.2 No Byproducts of Chlorine Disinfection Haloacetic Acids (ppb) 60 13 1.5-16.9 No Byproducts of Chlorine Disinfection Aesthetic Quality Color (color units) 15" ND ND No Naturally-occuring organic materials Odor (threshold odor number) 3" ND ND No Naturally-occuring organic materials Turbidity (NTU) 5" <0.1 ND— 1 No Erosion of natural deposits Eight locations in the distribution system are tested quarterly for total trihalomethanes and haloacetic acids. Thirty-seven locations are tested monthly for color, odor and turbidity. MRDL= Maximum Residual Disinfectant Level, MRDLG = Maximum Residual Disinfectant Level Goal, <=detected but average Is less than the reporting limit, NTU = nephelometric turbidity unit, ND = not detected "Chemical is regulated by a secondary standard to maintain aesthetic qualities (color, odor, and taste). Lead and Copper Action Levels at Residential Taps Action Level Public 90tl Percentile Sites Exceeding AL I AL Typical Source (AL) Health Goal Value Number of Sites Violation? of Chemical Lead (ppb) 15 0.2 ND 0/47 No Internal corrosion of household water plumbing systems; discharges from industrial manufacturers; erosion of natural deposits Copper (ppm) 1.3 0.3 0.5 0/47 No Internal corrosion of household water plumbing systems; discharges from industrial manufacturers; erosion of natural deposits Every three years, at least 37 residences are tested for lead and copper at -the -tap. The most recent set of samples were collected In October 2015. Lead was detected in 3 homes, none exceeded the Action Level. Copper was detected in 41 homes, none exceeded theAction Level. The regulatoryAction Level is the concentration at which, if exceeded in more than ten percent of the homes tested, triggers treatment or other requirements that a water system must follow The Yorba Linda Water District coma Ired with the lead and copper Action Levels. Chlorate (ppb) 800 n/a 151 56.2-239 2013 Chromium, Hexavalent (ppb)** MCL =10 0.02 0.12 0.04-0.18 2013 Molybdenum, Total (ppb) n/a n/a 8.6 4.8-13 2013 Strontium, Total (ppb) n/a n/a 926 763-1,070 2013 Vanadium,Total (ppb) 50 n/a 3.7 2.7-4.6 2013 **Hexavalent chromium Is regulated with an MCL of 10 ppb but was not detected, based on the detection Ilmltfor purposes of reporting of 1 ppb. Hexavalent chromium was included as part of the unregulated chemicals requiring monitoring. Source Water Assessments Imported (MWD) Water Assessment Every five years, MWD is required by DDW to examine possible sources of drinking water contamination in its State Water Project and Colorado River source waters. The most recent watershed sanitary surveys for MWD's source waters are the Colorado River �t\ZpNTF,p Watershed Sanitary Survey — £h ° AN&°��� 2015 Update, and the State Water Project Watershed r w Sanitary Survey -2011 Update. Water from the Colorado River is considered to be most vulnerable to contamination from recreation, urban/stormwater runoff, increasing urbanization in the watershed, and wastewater. Water supplies from Northern California's State Water Project are most vulnerable to contamination from urban/stormwater runoff, wildlife, agriculture, recreation, and wastewater. USEPA also requires MWD to complete one Source Water Assessment (SWA) that utilizes information collected in the watershed sanitary surveys. MWD completed its SWA in December 2002. The SWA is used to evaluate the vulnerability of water sources to contamination and helps determine whether more protective measures are needed. A copy of the most recent summary of either Watershed Sanitary Survey or the SWA can be obtained by calling MWD at (800) CALL -MWD (225-5693). Groundwater Assessment Vulnerability assessments of potential sources of contamination for Wells 20 and 21 were conducted in June 2011 and June 2014, respectively. The groundwater sources are considered most vulnerable to the following activities not associated with detected contaminants: chemical/petroleum processing/storage facilities; historic gas stations; metal plating/finishing/ fabricating plants; automobile repair shops; furniture repair and manufacturing; junk/scrap/salvage yards; machine shops; NPDES/WDR permitted discharges; photo processing/printing; recreational area surface water use; sewer collection systems; oil wells; gas stations; plastic/synthetic producers; above ground storage tanks; artificial recharge projects using non -potable water; car washes; construction/demolition staging areas; dredging; hardware/lumber/part stores; parking lots; transportation corridors; water supply wells; body shops, automobile repair shops; electrical/electronic manufacturing; fleet/truck/bus terminals; dry cleaners; appliance/electronic repair; medical/dental offices/clinics; office buildings; surface water; decommissioned inactive underground storage tanks; upgraded and/or registered underground storage tanks; monitoring wells; hospitals, and parks. Vulnerability assessments of potential sources of contamination for Wells 19 and 18 were completed in May 2004 and September 2005, respectively. The groundwater sources are considered most vulnerable to the following activities not associated with detected contaminants: gas stations; dry cleaners; metal plating/ finishing/fabricating plants; plastic/synthetic producers; underground injection of commercial/industrial discharges; underground storage tanks; agricultural drainage; fertilization, pesticide and herbicide application; automobile -body and repair shops; sewer collection systems; food processing, and chemical/petroleum processing/storage. Vulnerability assessments of potential sources of contamination for Wells 11 and 15 were completed in April 2003. These groundwater sources are considered most vulnerable to the following activities not associated with detected contaminants: chemical/petroleum processing/storage; metal plating/finishing/fabricating; and plastics/synthetics production. The District completed an assessment of its Wells 1, 5, 7, 10, and 12 in January 1999. The wells are considered most vulnerable to contaminants produced by the following activities: gas stations; dry cleaners; metal plating/finishing/ fabricating plants; plastic/synthetic producers; underground injection of commercial/industrial discharges; underground storage tanks; agricultural drainage; fertilization, pesticide and herbicide application; automobile -body and repair shops; and chemical/petroleum processing/storage. A copy of the complete assessment is available at State Water Resources Control Board, Division of Drinking Water at 605 West Santa Ana Boulevard, Building 28, Room 325, Santa Ana, California 92701. —7— Water from State Water Project �. Reservoir Mountains, the Santa Ana River is fed by a watershed Colorado River Aqueduct wetlands A'Alld,J1l 11 01111 b - Water `-..Santa .. Ana Water _ Treatment Metropolitan Disinfection River Facility Plant Water District —_ of Sou them California Well (fa0rangeCountyWaterDistriRGroundwaterBasinJ rangeCationPond (via MWD of Orange County) j 1K L F' � y �- 1 Storage Tank .� s ( Commercial Building I How Does Our Water Get to Us? Importing water from hundreds of miles away is only the start to providing you clean, fresh water. Once the water is in the southland, the Municipal Water District of Orange County, in partnership with the Metropolitan Water District of Southern California, pumps the water to individual cities throughout Orange County. The Orange County Water District, which manages the groundwater basin beneath the county, ensures the quality and supply of groundwater throughout its service area. Yorba Linda Water District sits atop the county aquifer and draws water from this local source, then blends it with the imported surface water. Big Bear San Bernardino Reservoir Cascading from its source high in the San Bernardino - • Mountains Mountains, the Santa Ana River is fed by a watershed �• Yover ZS00 square miles in area. River water is captured behind Prado Dam and slowly released even to help replenish the Orange County groundwater oa wetlands A'Alld,J1l 11 01111 b Dam basin. Percolation ponds in Anaheim and Orange hold this water so it can seep into the basin. The Yorba Linda Water District .; vigorously works to ensure the safety of your drinking water and, in conjunction with MWD and OCWD, continuously monitors the water to verify AmiL A& adherence with drinking water regulations. 1K L This winter's wet weather, while welcome, has not alleviated the State's water situation. One good season can't overcome the effects of five dry years. Southern California has an and climate and the need for wise water use must remain a part of everyone's daily lives. Simple water saving acts like the ones listed here can save countless gallons of water every day. Soak pots and pans instead of letting water run while you scrub them clean. This both saves water and makes the job easier. p Keep a pitcher of drinking water in the refrigerator. Thiscansave l gallons of water every day and it's always cold! Plug the sink instead of running water to rinse your razor or wet your toothbrush. This can save upwards of 300 gallons of water a month. g Use a broom instead of a hose to clean off sidewalks and driveways It takes very little time to sweep and the water savings quickly adds up. Check your sprinkler system for leaks, overspray, and broken sprinkler heads and repair promptly. This cansave countless gallons each time you water. Water plants in the early morning. It reduces evaporation and ensures deeper watering. 1E Drinking Watersj011 „ ocean —� Santa Ana River Supply Well �. 7 Orange County rrs' Groundwater Basin (Aquifer) Where Do We Use Water the Most? Outdoor watering of lawns and gardens makes up approximately 60% of home water use. By reducing your outdoor water use — by either cutting back on irrigation or planting more drought tolerant landscaping — you can dramatically reduce your overall water use. Save the most where you use the most: Make your outdoor use efficient. Q Showers & Baths: 8% * Toilets: 11 Landscaping: 58% Q Clothes Washers: 9% Q Leaks: 7 Q Dishwashers: 1 % 4D Faucets: 6 Data is representative of average consumption; your water usage may vary. Where Can You learn More? There's a wealth of information on the internet about Drinking Water Quality and water issues in general. Some good sites to begin your own research are: Metropolitan Water District of So. California: www.mwdh2o.com California Department of Water Resources: www.water.ca.gov The Water Education Foundation: www.watereducation.org To learn more about Water Conservation & Rebate Information: www.bewaterwise.com • www.ocwatersmart.com And to see the Aqueducts in action, checkout these two videos: Wings Over the State Water Project: youtu.be/8A1v1Rr2neU Wings Over the Colorado Aqueduct: youtu.be/KipMQh5tOf4 Yorba Linda Water District 1717 E Miraloma Avenue • Placentia, California 92870 (714) 701-3000 • www.ylwd.com Meeting Date: To: From: Presented By: Prepared By: Subject: SUMMARY: AGENDA REPORT May 23, 2017 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. 8.4 Yes $1.3 M $1,115,000 All Water Funds 101-2700 2014-23 Engineering No MND Change Order No. 4 for Richfield Road Water Main Project 11]�H H I]] H Work is proceeding on construction of the Richfield Road Water Main Project. Submitted for consideration is Change Order No. 4. STAFF RECOMMENDATION: That the Board of Directors approve Change Order No. 4 for $59,729.98 and 25 additional calendar days to TBU Construction Inc. for construction of the Richfield Road Water Main Project, Job No. 2014-23. DISCUSSION: In accordance with the contract documents, TBU Construction, Inc. has submitted Change Order No. 4 due to differing site conditions and unknown utilities. A copy of Change Order No. 4 is attached for your review. Specifically, TBU has requested an increase of $59,729.98 and 25 calendar day extension for the project, as described in more detail below. While excavating the trench for the installation of the new pipeline in Richfield Road, the contractor discovered the existing sand backfill to be very fine and flowed easily, making it difficult to retain in place while installing the shoring. This caused extensive amounts of trench wall collapse and subsequently more slurry backfill to be used than anticipated for the project. The extra slurry used was necessary to install the new pipeline and maintain the integrity of Richfield Road. The cost of the total additional slurry used for the complete project is $46,165.55 and twenty three (23) additional calendar days. . During work along Richfield Road, the contractor discovered an existing abandoned water pipeline and reinforced concrete encasement that was unknown. This obstruction had to be removed as it was in the alignment for the new pipeline. The cost of this work is $13,564.43 and two (2) additional calendar days. The status of the construction contract with TBU Construction Inc. is as follows: . The current contract is $1,160,737.08 and 369 calendar days. . If approved, Change Order No. 4 adds 25 calendar days to the project. . If approved, Change Order No. 4 adds $59,729.98 to the project. . If approved, the revised construction contract is $1,220,467.06 and 394 calendar days. District staff reviewed this change order request and recommend approval. 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): The Board authorized the President and Secretary to execute a construction agreement with TBU Inc. in the amount of $1,114,746.00 for the Richfield Road Water Main Project, Job No. 2014-23. The Board of Directors approved Change Order No. 1 on 10/27/16 for a 60 day no -cost time extension due to pipe manufacturing delays. The Board of Directors approved Change Order No. 2 on 3/1/17 for a 45 day no -cost time extension due to rain. The Board of Directors approved Change Order No. 3 on 4/11/17 for an additional $45,991.08 and 24 calendar days. ATTACHMENTS: Name: Description: Type: TBU CO 4 signed.pdf TBU Change Order No. 4 Richfield Road Project Backup Material YORBA LINDA WATER DISTRICT CHANGE ORDER NO. 4 DATE 5/11117 Page 1 of 1 CONTRACT NAME: Richfield Road Pipeline CONTRACT AMT.: $1,160,737.08 DAYS: 369 CONTRACTOR: TBU Inc. PROJECT NUMBER: 2014-23 THIS CHANGE: $59,729.98 DAYS: 25 (5.1%) — OWNER: Yorba Linda Water District REVISED CONTRACT AMT: $1,220,467.06 DAYS: 394 This Change Order covers changes to the subject contract as described herein. The Contractor shall construct, furnish equipment and materials, and perform all work as necessary or required to complete the Change Order items for a lump sum price agreed upon between the Contractor and Yorba Linda Water District otherwise referred to as Owner. DESCRIPTION OF CHANGES +INCREASE CONTRACT ! OR TIME +EXTENSION — DECREASE IN / OR - CONTRACT REDUCTION AMOUNT ($) (DAYS) PCO # 5 – Additional slurry used for pipeline construction Final Project Total). $46,165.55 23 PCO # 9, 10 – Removal of an unknown abandoned waterline and reinforced concrete encasement which interfered with the new pipeline alignment. $13,564.43 2 NET CHANGE $59,729.98 25 REVISED CONTRACT AMOUNT AND TIME $1,220,467.06 394 The amount of the contract will be increased decreased by the sum of $59,729.98 and the contract time shall be increasec desfeased by 25 calendar days. The undersigned Contractor approves the foregoing Change Order as to the changes, if any, in the contract price specified for each item including any and all supervision costs and other miscellaneous costs relating to the change it work, and as to the extension of time allowed, if any, for completion of the entire work on account of said Change Order. The Contractor agrees to furnish all labor and materials and perform all other necessary work, inclusive of that directly or indirectly related to the approved time extension, required to complete the Change Order items. This document will become a supplement of the contract and all provisions will apply hereto. It is understood that the Change Order shall be effective when approved by the Owner. This Change Order constitutes full, final, and complete compensation to the Contractor for all costs, expenses, overhead profit, and any damages of every kind that the Contractor may incur in connection with the above referenced changes in the work. including any impact on the referenced work of any other work under the contract, any changes in the sequences of any work, any delay to any work, any disruption of any work, any rescheduling of any work, and any other effect on any of the work under WE contract. By the execution of the Change Order, the Contractor accepts the contract price change and the contract completion date change, if any, and expressly waives any claims for any additional compensation, damages or time extensions, in connection with the above -referenced changes. RECOMMENDED:- /ENGINEER OR DATE: 44� L_ - rQNS"LTANT-15' )Z Joe Polimino Construction Supervisor, Y1,WD ACCEPTED: APPROVED: irton TBU Engineering Manager, YLWD /CONTRACTOR DATE: Or5h57/9. o ! ER DATE: ���/ ITEM NO. 9.1 AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Dept: Finance Prepared By: Kelly McCann, Senior Accountant Subject: Unaudited Financial Statements for Third Quarter FY 2017 DISCUSSION: For the period ending March 31, 2017, staff is presenting "unaudited" statements in the CAFR format. We have included a Statement of Net Position, a Consolidated Budget to Actual Statement, as well as the individual Water and Sewer Budget to Actual Statements, and the Debt Service Ratio Calculation. For Fiscal Year 2017 the District was approved by the SWRCB to "self -certify" at a 0% conservation mandate. Under this guise, and in all efforts to be revenue neutral, the District's annual Operating Budget reflects an anticipated 12% annual rebound in volumetric Water Sales (customer consumption) from reported water sales of the same reporting period for the prior fiscal year, which are expected to be offset by a reduction in total annual Service Charge Revenue due to the Board of Directors approving the reduction of the monthly service charge rates billed to our customers based on the meter size of their service address. As reported in the Balance Sheet of the Unaudited Combining Schedule of Net Assets, the District's Net Position reflects a more positive result when compared to that of the same reporting period of the prior fiscal year by approximately $3.3 million. This is prominently due to the District paying down debt, the Line of Credit in particular, to Wells Fargo Bank. Cumulative Volumetric Water Revenue, as reported through the Period Ending March 31, 2017, reflects an average rebound of 9.19% as compared to prior year for the same reporting period. Landscape/Irrigation classified customer connections have had the largest rebound in consumption for this reporting period. Due to the fact that it is typical for outdoor irrigation usage to decrease as the weather becomes cooler, it is anticipated that the annual rebound percentage will move closer to the 12%, as projected in the budget. Other Operating Revenue as reported for this fiscal year is significantly lower than that of the prior year due the District suspending the assessment of administrative penalties. Total Variable Water Costs results reflect 18% increase when compared to prior year for the same reporting period. The increase in costs is reflective of an increase in demand as well as a higher cost per acre foot. The cumulative demand recovery from July through March is approximately 11 %. 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, staff calculates the Debt Service Ratio quarterly and is received and filed by the Board of Directors. Accordingly, the "unaudited" Debt Service Ratio Calculation for the Period Ending March 31, 2017 is being reported at 237%. This demonstrates the District's strong financial health. 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 FY 2017 3rd Qtr Consolidated Balance Sheet.xlsx 3rd Qtr 2017 Debt Svc Calc.xlsx 3rd QTR 2017 Consolidated Statement.xlsx 3rd QTR 2017 Water Statement.xlsx 3rd QTR 2017 Sewer Statement.xlsx Monthly Recovery as of March 2017.pdf Monthlv Bounce Back as of March 2017.xlsx.odf Consumption by Class as of March 2017.pdf Description: Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material Type: Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material Backup Material YORBA LINDA WATER DISTRICT UNAUDITED COMBINING SCHEDULE OF NET ASSETS March 31, 2017 (With March 31, 2016 for comparison only) ASSETS CURRENT ASSETS: Cash and cash equivalents Investment Accounts receivable - water and sewer services Accrued interest receivable Prepaid expenses & other deposits Inventory TOTAL CURRENT ASSETS NONCURRENT ASSETS: Bond issuance costs Other post -employment benefit (OPEB) asset Deferred Pension Plans Notes Receivable Capital assets: Non -depreciable Depreciable, net of accumulated depreciation TOTAL NONCURRENT ASSETS TOTALASSETS LIABILITIES CURRENT LIABILITIES: Accounts payable Accrued expenses Accrued interest payable Certificates of Participation - current portion Accrued OPEB Refunding Revenue Bond - current portion Compensated absences Customer and construction deposits Deferred revenue TOTAL CURRENT LIABILITIES LONG-TERM LIABILITIES (LESS CURRENT PORTION): Deferred annexation revenue Compensated absences Net Pension Liability Deferred Pension Plan Line of Credit (Wells Fargo) Refunding Revenue Bond Certificate of Participation TOTAL LONG TERM LIABILITIES (LESS CURRENT PORTION) TOTAL LIABILITIES NET NET POSITION: March 2017 March 2016 $ 26,109, 769 $ 29, 369,113 9,532,587 8,942,587 2,808,758 3,382,684 24,948 36,092 341,090 357,439 262,532 256,267 39, 079, 684 42, 344,182 672,452 406,597 431,428 276,289 142,701 712,574 587,176 154,107 226,741 7,036,366 3,845,351 181,310,641 185,948, 734 189, 896, 574 191,182,131 228,976,258 233,526,313 1,277, 080 1,227, 841 756,863 637,554 808,354 828,529 825,000 795,000 4,527 1,224 295,000 285,000 377,270 330,840 672,452 472,154 328,415 345,460 5,344,961 4,923,602 14,226, 783 14, 721, 828 1,194, 688 1,047,660 5,289,322 5,092,626 1,331,326 1,810,965 - 6,458,297 7,714,142 8,056,842 28,797,620 29,649,042 58, 553, 881 66, 837, 260 63, 898, 842 71, 760, 862 $ 165,077,416 $ 161,765,451 YORBA LINDA WATER DISTRICT UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES AND CHANGES IN NET ASSETS March 31, 2017 (With March 31, 2016 for comparison only) NET INCOME/(LOSS) BEFORE CAPITAL CONTRIBUTIONS & EXTRAORDINARY ITEM(S) EXTRAORDINARY ITEM(S) CAPITAL CONTRIBUTIONS CHANGES IN NET POSITION NET POSITION - BEGINNING OF YEAR NET POSITION - FOR PERIOD END MARCH 31, 2017 (702,068) 960,316 1,403, 382 182,472 701,314 1,142,788 164, 376,102 160,622,663 $ 165, 077,416 $ 161, 765,451 March 2017 March 2016 OPERATING REVENUES: Water sales $ 21,000,952 $ 19,922,336 Sewer revenues 1,535,176 1,346,193 Other operating revenues 638,265 2,155,981 TOTAL OPERATING REVENUES 23,174,393 23,424,510 OPERATING EXPENSES Variable water costs 9,112,497 7,705,766 Personnel services 6,591,271 6,388,345 Supplies and services 3,283,292 3,161,167 Depreciation and amortization 5,349,175 5,682,524 TOTAL OPERATING EXPENSES 24,336,235 22,937,802 OPERATING INCOME/(LOSS) (1,161,842) 486,708 NONOPERATING REVENUES (EXPENSES): Property taxes 1,063,649 1,015,622 Investment income 235,757 173,879 Interest expense (1,207,588) (1,271,090) Other nonoperating revenues 332,586 576,557 Other nonoperating expenses 35,370 (21,360) TOTAL NONOPERATING REVENUES/EXPENSES 459,774 473,608 NET INCOME/(LOSS) BEFORE CAPITAL CONTRIBUTIONS & EXTRAORDINARY ITEM(S) EXTRAORDINARY ITEM(S) CAPITAL CONTRIBUTIONS CHANGES IN NET POSITION NET POSITION - BEGINNING OF YEAR NET POSITION - FOR PERIOD END MARCH 31, 2017 (702,068) 960,316 1,403, 382 182,472 701,314 1,142,788 164, 376,102 160,622,663 $ 165, 077,416 $ 161, 765,451 Yorba Linda Water District Unaudited Debt Service Ratio Calculation For Period Ending March 31, 2017 (With March 31, 2016 for comparison purposes) Revenue (Operating): Water Revenue (Residential) Water Revenue (Commercial & Fire Det.) Water Revenue (Landscape/Irrigation) Water Revenue (Service Charge) 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 Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position DEBT SERVICE RATIO CALCULATION: Net Revenues Debt Service YTD Debt Prior YTD PY Debt Actual Service Actual Service FY 2017 Calculation FY 2016 Calculation $9,687,058 $9,687,058 $9,267,898 $9,267,898 1,329,102 $1,329,102 1,284,280 $1,284,280 2,358,928 $2,358,928 1,972,995 $1,972,995 7,625,864 $7,625,864 7,397,163 $7,397,163 559,322 559,322 2,089,887 2,089,887 21,560,274 21,560,274 22,012,223 22,012,223 212,778 212,778 160,846 160,846 1,063,649 1,063,649 1,015,622 1,015,622 260,096 (111,188) 529,887 167,614 1,536,523 1,165, 239 1,706,355 1,344,082 22,725,513 23,096,797 23,718,578 23,356,305 9,112, 497 9,112, 497 7,705,766 7,705,766 5,876,468 5,876,468 5,729,181 5,729,181 2,956,840 2,956,840 2,891,647 2,891,647 4,348,388 - 4,656,714 - 22, 294,193 17, 945, 805 20, 983, 308 16, 326, 594 1,207,588 - 1,271,090 - (42,677) (42,677) 39,386 39,386 11164,911 (42,677) 1,310,476 39,386 17,903,128 23,459,104 22,293,784 16,365,980 4,822,385 (362,307) 1,424,794 6,990,325 833,012 - 104,605 - $ 4,822,385 $ 470,705 $ 1,529,399 $ 6,990,325 $ 4,822,385 $ 6,990,325 $ 2,037,663 $ 2,041,169 237% 342% Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending March 31, 2017 (With March 31, 2016 for comparison purposes) Revenue (Non -Operating): YTD March YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual Budget Actual Actual (Under) Over Mar. Actual Actual (thru vs vs 35.59% FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Mar. 2016) PY Actual $ PY Actual Revenue (Operating): 4.73% Other Non -Operating Revenue 462,394 21,264 332,586 (129,807) 119,142 576,556 Water Revenue (Residential) $10,166,314 $900,826 $9,687,058 (479,255) $1,010,510 $9,267,898 $419,160 4.52% Water Revenue (Commercial & Fire Det.) 1,370,492 102,257 1,329,102 (41,390) 140,769 1,284,280 44,822 3.49% Water Revenue(Landscape/Irrigation) 2,192,106 59,805 2,358,928 166,822 176,283 1,972,995 385,933 19.56% Water Revenue (Service Charge) 7,527,692 829,244 7,625,864 98,172 1,054,222 7,397,163 228,701 3.09% Sewer Charge Revenue 1,389,628 151,628 1,400,658 11,031 143,825 1,240,413 160,246 12.92% Locke Ranch Assessments 124,198 11,097 134,518 10,320 9,681 105,780 28,738 27.17% Other Operating Revenue 491,119 50,757 638,265 147,147 177,723 2,155,981 (1,517,716) -70.40% Total Operating Revenue: 231261,549 2,105,614 23,174,393 (87,156) 2,713,013 23,424,510 (250,117) -1.07% Revenue (Non -Operating): Interest 86,250 24,676 235,757 149,507 20,016 173,879 61,877 35.59% Property Tax 907,700 101,908 1,063,649 155,949 94,255 1,015,622 48,027 4.73% Other Non -Operating Revenue 462,394 21,264 332,586 (129,807) 119,142 576,556 (243,970) -42.31 Total Non -Operating Revenue: 1,456,344 147,848 1,631,992 175,648 233,413 1,766,057 (134,065) -7.59% Total Revenue 24,717,893 2,253,462 24,806,385 88,493 2,946,426 25,190,567 (384,182) -1.53% Expenses (Operating): 405,413 1,403,383 1,403,383 3,363 182,472 1,220,911 669.09% GASB 34 Compliant) Variable Water Costs (G.W., Import & Power) 9,793,059 863,624 9,112,497 (680,563) 470,436 7,705,766 1,406,731 18.26% Salary Related Expenses 6,888,705 646,018 6,591,271 (297,434) 673,119 6,388,345 202,926 3.18% Supplies & Services 3,720,218 409,531 3,283,292 (436,926) 397,438 3,161,167 122,124 3.86% Total Operating Expenses 20,401,982 1,919,173 18,987,059 (1,414,923) 1,540,993 17,255,278 1,731,781 10.04% Expenses (Non -Operating): Interest on Long Term Debt 1,291,413 130,618 1,207,588 (83,824.80) 153,636 1,271,090 (63,502) -5.00% Other Expense 17,250 (56,371) (35,369) (52,619) (3,034) 21,360 (56,729) -265.58% Total Non -Operating Expenses: 1,308,663 74,247 1,172,219 (136,444) 150,602 1,292,450 (120,231) -9.30% Total Expenses 21,710,645 1,993,420 20,159,278 (1,551,367) 1,691,595 18,547,728 1,611,550 8.69% Net Position Before Capital Contributions 3,007,248 260,042 4,647,107 1,639,859 1,254,831 6,642,839 (1,995,732) -30.04% Capital Contributions (Non -Cash Transaction - - 405,413 1,403,383 1,403,383 3,363 182,472 1,220,911 669.09% GASB 34 Compliant) Net Position Before Depreciation 3,007,248 665,455 6,050,490 3,043,242 1,258,194 6,825,311 (774,821) -11.35% Depreciation & Amortization 5,670,954 596,242 5,349,176 (321,779) 628,857 5,682,524 (333,348) -5.87% Total Net Position ($2,663,706) $69,213 $701,314 $3,365,021 $629,337 $1,142,788 ($441,473) -38.63% (17,572) (172,003) (16,420) (153,342) (18,662) 12.17% Revenue (Operating): Water Revenue (Residential) Water Revenue (Commercial & Fire Det.) Water Revenue (Landscape/Irrigation) Water Revenue (Service Charge) 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: 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 on Long Term Debt Other Expense Total Non -Operating Expenses: Total Expenses Net Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position Before Depreciation Depreciation & Amortization Yorba Linda Water District Water Fund For Period Ending March 31, 2017 (With March 31, 2016 for comparison purposes) YTD March YTD YTD Actual Prior Year Prior YTD YTD Actual YTD -CUR Budget Actual Actual (Under)Over Mar. Actual Actual (thru vs vs FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Mar. 2016) PY Actual $ PY Actual % $10,166,314 $900,826 $9,687,058 (479,255) $1,010,510 $9,267,898 $419,160 4.52% 1,370,492 102,257 1,329,102 (41,390) 140,769 1,284,280 44,822 3.49% 2,192,106 59,805 2,358,928 166,822 176,283 1,972,995 385,933 19.56% 7,527,692 829,244 7,625,864 98,172 1,054,222 7,397,163 228,701 3.09% 463,241 40,014 559,322 96,081 172,814 2,089,887 (1,530,565) -73.24% 21,719,844 1,932,146 21,560,274 (159,570) 2,554,598 22,012,223 (451,949) -2.05% 75,000 22,683 212,778 137,778 18,433 160,846 $51,932 32.29% 907,700 101,908 1,063,649 155,949 94,255 1,015,622 $48,027 4.73% 453,450 3,164 260,096 193,354 101,684 529,887 269,791 -50.91% 1,436,150 127,755 1,536,523 100,373 214,372 1,706,355 (169,832) -9.95% 23,155,994 2,059,901 23,096,797 59,197 2,768,970 23,718,578 621,780 -2.62% 9,793,059 863,624 9,112,497 (680,562) 470,436 7,705,766 1,406,731 18.26% 6,167,656 572,951 5,876,468 (291,188) 595,799 5,729,181 147,287 2.57% 160,380 8,984 122,704 (37,676) 11,582 159,657 (36,953) -23.15% 359,670 26,180 308,740 (50,930) 45,074 369,338 (60,598) -16.41% 184,013 21,964 181,056 (2,957) 17,523 167,197 13,859 8.29% 80,722 3,030 77,650 (3,072) 237 70,977 6,673 9.40% 175,973 26,231 145,471 (30,502) 36,432 155,613 (10,142) -6.52% 171,585 - 120,873 (50,712) - - 120,873 199,722 19,766 179,611 (20,111) 19,912 178,105 1,506 0.85% 543,609 68,955 652,851 109,242 53,367 574,651 78,200 13.61% 20,263 99 5,951 (14,312) 421 7,108 (1,158) -16.29% 294,934 36,807 262,497 (32,437) 25,205 217,975 44,522 20.43% 118,773 25,644 108,732 (10,041) 24,978 89,933 18,799 20.90% 30,162 3,182 25,312 (4,850) 4,745 28,241 (2,930) -10.37% 422,040 89,232 394,915 (27,125) 67,767 458,171 (63,256) -13.81% 51,975 82 31,499 (20,475) 1,686 16,623 14,876 89.49% 83,447 9,294 32,987 (50,460) 5,168 36,314 (3,327) -9.16% 24,412 392 7,586 (16,826) 23,719 57,715 (50,129) -86.86% 87,187 11,009 97,601 10,414 7,256 83,737 13,864 16.56% 242,187 21,718 200,803 41,384 26,732 220,292 19,489 -8.85% 3,251,053 372,569 2,956,840 (294,213) 371,804 2,891,647 65,193 2.25% 19,211,768 1,809,144 17,945,804 (1,265,963) 1,438,039 16,326,594 1,619,210 9.92% 1,291,413 130,618 1,207,588 (83,825) 153,636 1,271,090 (63,502) -5.00% 17,250 66,421 42,677 59,927 321 39,386 82,063 -208.36% 1,308,663 64,197 1,164,911 (143,752) 153,315 1,310,476 (145,565) -11.11% 20,520,431 1,873,341 19,110,715 1,409,716 1,591,354 17,637,070 1,473,645 8.36% 2,635,563 186,560 3,986,082 1,350,518 1,177,616 6,081,508 (2,095,426) -34.46% - 270,313 833,012 833,012 - 104,605 728,407 696.34% 2,635,563 456,873 4,819,094 2,183,530 1,177,616 6,186,112 (1,367,019) -22.10% 4,648,824 484,646 4,348,388 (300,436) 515,286 4,656,714 (308,325) -6.62% Total Net Position (2,013,261) (27,773) 470,705 2,483,966 662,330 1,529,399 (1,058,693) -69.22% Capital - Direct Labor (15,734) (158,722) (14,825) (136,952) (21,770) 15.90% 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: Total Expenses Net Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position Before Depreciation Depreciation & Amortization Total Net Position Capital - Direct Labor Yorba Linda Water District Sewer Fund For Period Ending March 31, 2017 (With March 31, 2016 for comparison purposes) YTD Mar YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Actual Actual (Under)Over Mar Actual Actual (thru vs vs FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Mar 2016) PY Actual $ PY Actual % $1,389,628 $151,628 $1,400,658 $11,031 $143,825 $1,240,413 $160,245 12.92% 124,198 11,097 134,518 10,320 9,681 105,780 28,738 27.17% 27,878 10,742 78,943 51,064 4,909 66,094 12,849 19.44% 1,541,704 173,467 1,614,119 72,415 158,415 1,412,287 201,832 14.29% 11,250 1,992 22,979 11,729 1,583 13,033 9,946 76.31% 8,944 18,100 72,490 63,546 17,458 46,669 25,821 55.33% 20,194 20,092 95,469 75,275 19,041 59,702 35,767 59.91% 1,561,898 193,559 1,709,588 147,690 177,456 1,471,989 237,599 16.14% 721,049 73,067 714,803 (6,246) 77,320 659,164 55,639 8.44% 12,064 676 6,771 (5,293)% 872 9,914 (3,144) -31.71% 59,029 1,571 22,076 (36,953); 2,961 26,890 (4,814) -17.90% 13,769 1,511 13,613 (156) 652 11,817 1,796 15.20% 6,162 228 5,845 (317); 18 5,520 325 5.88% 12,596 492 9,076 (3,520) 477 7,653 1,423 18.59% 12,915 - 9,098 (3,817); - - 9,098 - 15,033 1,208 13,239 (1,794) 1,499 13,406 (167) -1.24% 78,516 469 21,541 (56,975)'% 5,480 26,937 (5,396) -20.03% 1,526 7 448 (1,078); 32 533 (86) -16.04% 128,689 20,126 127,562 (1,127) 4,139 68,798 58,764 85.42% 27,515 1,951 12,691 (14,824) 1,579 21,154 (8,462) -40.00% 2,163 240 1,906 (257); 318 1,839 67 3.63% 26,460 2,077 15,943 (10,517) 830 16,631 (688) -4.13% 5,840 687 3,870 (1,969) 269 2,244 1,626 72.48% 10,277 434 2,083 (8,194) 286 2,567 (485) -18.88% 1,838 28 1,276 (562) 1,517 7,117 (5,841) -82.07% 7,162 885 7,725 563 602 6,059 1,666 27.49% 47,613 4,371 51,690 4,077 '%, 4,102 40,444 11,246 27.81% 469,165 36,961 326,452 (142,713)'', 25,633 269,523 56,929 21.12% 1,190,214 110,028 1,041,255 (148,958) 102,953 928,688 112,568 12.12% 10,050 7,308 7,308 (2,713) (18,026) 25,334 -140.54% 10,050 7,308 7,308 (2,713) (18,026) 25,334 -140.54% 1,190,214 120,078 1,048,563 (141,650)''% 100,240 910,662 137,901 15.14% - 135,100 570,370 570,370 1 3,363 77,867 492,503 632.49% 1,022,130 111,596 1,000,787 (21,343); 113,570 1,025,810 (25,023) -2.44% (1,837) (13,282) (1,596) (16,390) 3,108 -18.97% 25.00 20.94 21.00 20.00 19.63 .03 18.42 16.1 16.4 15.1 15.00 10.00 5.00 AW Monthly Recovery (MG) (based on average daily demand) "Bounce Back" from July 1, 2016- March 31, 2017: 11% 16.93 .14 15.21 14.4 14.78 13.5 1 12.65 1 i1.29 0.53 1 8.7 9.77 B.92 .89 0.17 18.01 17.23 15.38 15.11 13.07 1 .49 April May June July August September October November December January February March � Prior Year � Current Year f 12% Bounce Back Target Monthly Recovery (based on average daily demand, FY 16/17 vs. FY 15/16) 40% 30% 30% 30% 28% -06 20% 17% 9% 10% 0% July August September October November -10% -20% -30% -40% -50% 26% Average Consumption by Month - All Customers by Class (Prior Year-FY16 vs. Current Year-FY17), in Billing Units 215 199.13 165 154.73 000 137.88 115 70 65 67.59 15 -35 21.27 21.42 July 49.63 18 .21 21.58 16.18 1 16.38 � i X31 1 17.24 23.76 25.6 21.53 20.3 14.32 August September October November December 10.88 10.58 January 10.40 February --@--Res Prior Year tResCurrent Year fCom Prior Year tComCurrent Year --@--Irr Prior Year --@--Irr Current Year 70.89 1-0 52.65 38.46 e0b 14.50 10.84 March ITEM NO. 9.2 AGENDA REPORT Meeting Date: May 23, 2017 To: Board of Directors From: Marc Marcantonio, General Manager Presented By: Delia Lugo, Finance Manager Dept: Finance Prepared By: Kelly McCann, Senior Accountant Subject: Budget to Actual Statements for Month Ending April 30, 2017 DISCUSSION: Cumulative Volumetric Water Revenue, as reported through the month ending April 30, 2017, reflects an average rebound of 11 % as compared to prior year for the same reporting period. Landscape/Irrigation classified customer connections have experienced the largest rebound in monthly consumption for this reporting period (See included Average Consumption by Month by Customer Class graph). As expected, when the weather cools and the rainy season is upon us customer consumption decreases. This is very evident for the past two reporting months. Total Variable Costs results reflect at 19% increase when compared to prior year for the same reporting period. The increase in costs is reflective of an increase in demand as well as a higher cost per acre foot. The cumulative demand recovery from July through April is 13.7% which is 1.7% above the projection. 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: Type: Consolidated Budget to Actual Statement April 2017.xlsx Backup Material Backup Material Water Budget to Actual Statement April 2017.xlsx Backup Material Backup Material Sewer Budget to Actual Statement April 2017.xlsx Backup Material Backup Material Consumption by Class as of April 2017.pdf Backup Material Backup Material Monthly Bounce Back as of April 2017.pdf Backup Material Backup Material Monthly Recovery as of April 2017.pdf Backup Material Backup Material Yorba Linda Water District Summary Financial Report Water & Sewer Funds For Period Ending April 30, 2017 (With April 30, 2016 for comparison purposes) Revenue (Non -Operating): YTD April YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual $568,547 Budget Actual Actual (Under) Over Apr. Actual Actual (thru vs vs 36.69% FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Apr. 2016) PY Actual $ PY Actual % Revenue (Operating): 4.56% Other Non -Operating Revenue 513,771 48,190 380,776 (132,994) 45,127 621,682 Water Revenue (Residential) $11,248,310 $1,018,426 $10,705,484 (542,826) $813,272 $10,081,170 $624,314 6.19% Water Revenue (Commercial & Fire Det.) 1,516,353 139,744 1,468,845 (47,508) 119,467 1,403,747 65,098 4.64% Water Revenue (Landscape/Irrigation) 2,425,411 244,534 2,603,462 178,051 156,287 2,129,282 474,180 22.27% Water Revenue (Service Charge) 8,364,103 831,179 8,457,043 92,941 1,052,636 8,449,799 7,244 0.09% Sewer Charge Revenue 1,544,031 155,874 1,556,532 12,502 141,491 1,381,904 174,629 12.64% Locke Ranch Assessments 189,551 73,143 207,661 18,110 70,438 176,217 31,444 17.84% Other Operating Revenue 545,688 67,138 705,403 159,716 170,449 2,326,429 (1,621,026) -69.68% Total Operating Revenue: 25,833,446 2,530,038 25,704,430 (129,015) 2,524,040 25,948,548 (244,117) -0.94% Revenue (Non -Operating): 5,947,516 (353,544) 629,002 6,311,526 (364,010) -5.77% Total Net Position ($2,390,511) $349,189 $1,050,504 $3,441,015 $568,547 Interest 95,833 43,533 279,289 183,455 30,443 204,323 74,966 36.69% Property Tax 1,385,330 526,096 1,589,745 204,415 504,757 1,520,380 69,365 4.56% Other Non -Operating Revenue 513,771 48,190 380,776 (132,994) 45,127 621,682 (240,906) -38.75% Total Non -Operating Revenue: 1,994,934 617,819 2,249,810 254,876 580,327 2,346,385 (96,575) -4.12% Total Revenue 27,828,380 3,147,857 27,954,240 125,860 3,104,367 28,294,933 (340,692) -1.20% Expenses (Operating): Variable Water Costs (G.W., Import & Power) 10,772,477 1,057,830 10,170,326 (602,151) 822,104 8,527,870 1,642,456 19.26% Salary Related Expenses 7,564,396 649,366 7,240,636 (323,759) 613,921 7,002,266 238,371 3.40% Supplies & Services 4,126,888 362,744 3,646,035 (480,853) 324,080 3,485,251 160,784 4.61% Total Operating Expenses 22,463,760 2,069,940 21,056,997 (1,406,763) 1,760,105 19,015,387 2,041,611 10.74% Expenses (Non -Operating): Interest on Long Term Debt 1,434,903 130,618 1,338,206 (96,698) 133,980 1,405,071 (66,865) -4.76% Other Expense 19,167 1,421 (33,948) (53,115) 12,733 34,094 (68,042) -199.57% Total Non -Operating Expenses: 1,454,070 132,039 1,304,258 (149,812) 146,713 1,439,165 (134,907) -9.37% Total Expenses 23,917,830 2,201,979 22,361,255 (1,556,575) 1,906,818 20,454,552 1,906,703 9.32% Net Position Before Capital Contributions 3,910,549 945,878 5,592,985 1,682,436 1,197,549 7,840,381 (2,247,396) -28.66% Capital Contributions (Non -Cash Transaction - - 1,652 1,405,035 1,405,035 - 182,472 1,222,563 670.00% GASB 34 Compliant) Net Position Before Depreciation 3,910,549 947,530 6,998,020 3,087,471 1,197,549 8,022,853 (1,024,833) -12.77% Depreciation & Amortization 6,301,060 598,341 5,947,516 (353,544) 629,002 6,311,526 (364,010) -5.77% Total Net Position ($2,390,511) $349,189 $1,050,504 $3,441,015 $568,547 $1,711,327 ($660,823) -38.61% (9,692) (181,696) (19,276) (172,618) (9,078) 5.26% Revenue (Operating): Water Revenue (Residential) Water Revenue (Commercial & Fire Det.) Water Revenue (Landscape/Irrigation) Water Revenue (Service Charge) 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: 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 on Long Term Debt Other Expense Total Non -Operating Expenses: Total Expenses Net Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position Before Depreciation Depreciation & Amortization Total Net Position Capital - Direct Labor Yorba Linda Water District Water Fund For Period Ending April 30, 2017 (With April 30, 2016 for comparison purposes) YTD April YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR Budget Actual Actual (Under)Over Apr. Actual Actual (thru vs vs FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Apr. 2016) PY Actual $ PY Actual % $11,248,310 $1,018,426 $10,705,484 (542,826) $813,272 $10,081,170 $624,314 6.19% 1,516,353 139,744 1,468,845 (47,507) 119,467 1,403,747 65,098 4.64% 2,425,411 244,534 2,603,462 178,051 156,287 2,129,282 474,180 22.27% 8,364,103 831,179 8,457,043 92,941 1,052,636 8,449,799 7,244 0.09% 514,712 58,059 617,381 102,669 169,928 2,259,815 (1,642,434) -72.68% 24,068,888 2,291,942 23,852,215 (216,672) 2,311,590 24,323,813 (471,598) -1.94% 83,333 36,231 249,009 165,675 26,910 187,757 $61,252 32.62% 1,385,330 526,096 1,589,745 204,415 504,757 1,520,380 $69,365 4.56% 503,833 48,190 308,287 (195,547) 45,127 575,013 (266,726) -46.39% 1,972,497 610,517 2,147,041 174,544 576,794 2,283,150 (136,110) -5.96% 26,041,384 2,902,459 25,999,256 (42,129) 2,888,384 26,606,963 (607,707) -2.28% 10,772,477 1,057,830 10,170,327 (602,150) 822,104 8,527,870 1,642,457 19.26% 6,770,907 577,400 6,453,868 (317,039) 546,252 6,275,433 178,435 2.84% 178,200 7,593 130,297 (47,903) 7,750 167,407 (37,110) -22.17% 399,633 21,323 330,063 (69,571) 33,519 402,857 (72,794) -18.07% 204,459 4,922 185,979 (18,480) 20,048 187,244 (1,265) -0.68% 83,441 642 78,292 (51148) 40 71,018 7,274 10.24% 195,525 57,587 203,058 7,533 7,413 163,026 40,032 24.56% ivu,vou - 14U'010 wv,r r r/ - - 14U'010 -4.76% 19,167 221,913 19,679 199,291 (22,623) 20,095 198,201 1,090 0.55% 132,039 604,010 56,805 709,657 105,647 54,159 628,811 80,846 12.86% 21,223,456 22,514 440 6,391 (16,124) 59 7,167 (777) -10.84% 1,337,900 327,704 49,975 312,472 (15,232) 16,508 234,483 77,989 33.26% - 131,970 25,478 134,210 2,240 12,337 102,270 31,940 31.23% 7,322,602 33,513 1,822 27,135 (6,378) 2,638 30,878 (3,744) -12.12% (337,281) 468,933 41,424 436,339 (32,594) 30,727 488,898 (52,559) -10.75% -64.01% 57,750 11,281 42,780 (14,969) 510 17,133 25,647 149.70% 92,719 3,090 36,077 (56,641) 1,171 37,485 (1,407) -3.75% 27,125 (702) 6,884 (20,240) (3,590) 54,126 (47,241) -87.28% 96,875 9,977 107,579 10,704 7,256 90,993 16,587 18.23% 269,096 34,132 234,935 (34,161) 26,242 246,534 (11,599) -4.70% 606,030 345,468 3,302,312 (303,719) 236,882 3,128,530 173,782 5.55% 1,434,904 130,618 1,338,206 (96,697) 133,980 1,405,071 (66,865) -4.76% 19,167 1,421 (41,256) (60,423) 12,675 52,061 (93,317) -179.25% 1,454,070 132,039 1,296,950 (157,120) 146,655 1,457,132 (160,182) -10.99% 2,603,485 2,112,737 21,223,456 (1,380,028) 1,751,893 19,388,965 1,834,491 9.46% {,437,900 789,722 4,775,800 1,337,900 1,136,491 7,217,998 (2,442,198) 33.83% - 833,012 833,012 - 104,605 728,408 696.34% {,437,900 789,722 5,608,812 2,170,912 1,136,491 7,322,602 (1,713,790) -23.40% 5,165,360 486,477 4,834,864 (330,496) 515,432 5,172,146 (337,281) -6.52% 1,727,460) 303,245 773,948 2,501,408 621,059 2,150,457 (1,376,509) -64.01% (9,348) (168,070) (16,238) (153,190) (14,880) 9.71% 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: Total Expenses Net Position Before Capital Contributions Capital Contributions (Non -Cash Transaction - GASB 34 Compliant) Net Position Before Depreciation Depreciation & Amortization Total Net Position Capital - Direct Labor Yorba Linda Water District Sewer Fund For Period Ending April 30, 2017 (With April 30, 2016 for comparison purposes) YTD April YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR Budget Actual Actual (Under)Over Apr. Actual Actual (thru vs vs FY 2017 FY 2017 FY 2017 YTD Budget FY 2016 Apr. 2016) PY Actual $ PY Actual % $1,544,031 $155,874 $1,556,532 $12,502 $141,491 $1,381,904 $174,628 12.64% 189,551 73,143 207,661 18,110 70,438 176,217 31,444 17.84% 30,976 9,079 88,022 57,046 521 66,615 21,407 32.14% 1,764,558 238,096 1,852,215 87,657 212,450 1,624,736 227,479 14.00% 12,500 7,301 30,280 17,780 3,533 16,566 13,714 82.78% 9,938 - 72,490 62,553 - 46,669 25,821 55.33% 22,438 7,301 102,770 80,332 3,533 63,235 39,535 62.52% 1,786,996 245,397 1,954,985 167,989 215,983 1,687,971 267,014 15.82% 793,489 71,965 786,768 (6,720) 13,404 572 7,343 (6,062) 65,588 1,592 23,669 (41,919) 15,298 370 13,983 (1,315) 6,411 220 6,065 (346) 13,996 4,066 13,142 (854) 14,350 - 9,098 (5,252) 16,703 1,481 14,721 (1,983) 87,240 694 22,235 (65,005) 2 1,695 33 481 (1,215) 142,988 (3,222) 124,340 (18,648) 30,573 3,125 15,816 (14,756) 2,403 137 2,042 (361) 29,400 1,193 17,137 (12,263); 6,488 1,386 5,255 (1,233) 11,418 230 2,313 (9,106) 2,042 (82) 1,194 (848)',, 7,958 813 8,538 580 52,903 4,664 56,353 3,450 520,858 17,272 343,725 (177,133) 67,669 726,833 59,936 8.25% 583 10,497 (3,155) -30.05% 2,510 29,400 (5,731) -19.49% 1,509 13,326 657 4.93% 3 5,523 542 9.81% 436 8,089 5,053 62.47% - - 9,098 - 1,513 14,918 (197) -1.32% 256 27,194 (4,959) -18.24% 4 537 (57) -10.52% 58,469 127,267 (2,927) -2.30% 16,226 37,380 (21,563) -57.69% 195 2,034 8 0.40% 903 17,534 (397) -2.26% 277 2,521 2,734 108.46% (30) 2,537 (225) -8.85% (550) 6,567 (5,373) -81.82% 597 6,656 1,882 28.28% 4,297 44,741 11,613 25.96% 87,198 356,721 (12,997) -3.64% 1,314,346 89,237 1,130,493 (183,853)'', 154,867 1,083,554 46,939 4.33% 7,308 7,308 58 (17,968) 25,276 -140.67% 7,308 7,308 58 (17,968) 25,276 -140.67% 1,314,346 89,237 1,137 - 1,652 572,022 572,022 154,925 1,065,586 72,215 6.78% 77,867 494,155 634.61% 1,135,700 111,864 1,112,651 (23,049)1 113,570 1,139,380 (26,730) -2.35% (344) (13,626) (3,038) (19,428) 5,802 -29.87% Average Consumption by Month - All Customers by Class (Prior Year-FY16 vs. Current Year-FY17), in Billing Units 199.13 200 177.49 177.33 3.59 154.7 150 137.88 42.53€ 140.74 130. 9 127.06 112.18 4.1 102.47 103. 96.66 100 7.49 83.77 77.53 78.9 80.45 74.34 70 t-ft� 68.7 65.36 69.9 70.89 71.0 66.49 63.85 67.59 58.83 61.00 64.21 54 88 41.34 50.36 52.66 i 48.74 50 38: 49.63 45. 0' 21.27 18.21 21.58 16.18 16.38 .3 21.35 �� 10.88 17.24 38.6 17.64 16.26 14.50 13.55 0 �i-X 21.42 23.76 25.6 21.53 � 1 � � � 20.48 20.3 14.32 10.58 10.41 10.85 0 July August September October November December January February March April May June �Res Prior Year tResCurrent Year fCom Prior Year Com Current Year --41-- Irr Prior Year --41-- Irr Current Year 40 30 20 10% 0% -10% -20% -30% -40 -50% Monthly Recovery (based on average daily demand, FY 16/17 vs. FY 15/16) Actual --*—Projected 25.00 20.94 21.00 20.00 16.1 16.4 15.00 10.00 5.00 0.00 Monthly Recovery (MG) (based on average daily demand) "Bounce Back" from July 1, 2016- April 30, 2017: 13% 19.63 .42 16.93 17.33 96 15.1 .14 15.21 15.38 14.4 14.7815.1 13.5 13.07 13.4 12.65 3.01 11.29 11 k 11.6 pu 8.72 9.77 9.92 .89 19.00 =,,18.01 21.00 July August September October November December January February March April May June Prior Year Current Year I Projected f 12% Bounce Back Target Meeting Date: To: From: Presented By: Prepared By: Subject: SUMMARY: AGENDA REPORT May 23, 2017 Board of Directors ITEM NO. 9.3 Marc Marcantonio, General Manager Delia Lugo, Finance Manager Dept: Finance Kelly McCann, Senior Accountant Cash and Investment Report for Period Ending April 30, 2017 Government Code Section 530607, et. seq., requires the person delegated to invest funds to make monthly report of investments to the legislative body. DISCUSSION: The Cash and Investment Portfolio Report presents the market value and percent yield for all District investments by institution. The Cash and Investment Report Summary includes budget and actual interest and average term portfolio information as well as market value broken out by reserve categories. The Fair Value Measurement Report categorizes investments with the fair value hierarchy established by generally accepted accounting principles. The total yield for the month ending April 30, 2017 is 1.05%. The overall net decrease in the District's cash and investment balance from the previous month is approximately $85,000. As reported, a large decrease in the COP Revenue Bond - Reserve Fund of $801,089 is a result of the scheduled biannual Debt Service interest payment on April 1, 2017. The Water Capital Project Reserve Fund has decreased by $480,327 due to the current "Pay -As -You -Go" status for monthly payments related to capital improvements and other related capital purchases. The Conservation Reserve Fund decreased by $6,297, due to conservation related costs. The Water Operating Fund increased by $1,064,220 and Sewer Operating Fund increased by $102,300, due to the receipt of property tax apportionment payments from the County of Orange and a positive net effect between operating revenues and expenses for the reporting month of the current fiscal year. 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: Type: Invst Rpt 4-17.xlsx Backup Material Backup Material Invst Agenda Backup - April 2017.xlsx Backup Material Backup Material Fair Value Measurement Report 4-17.xlsx Backup Material Backup Material Water CIP Captial Outlay Analysis thru April 2017.pdf Backup Material Backup Material Yorba Linda Water District Cash & Investment Portfolio Report April 30, 2017 Market % Date of Percent Value Par of Total Institution Maturity Yield Checking Account: $ 523,875 $ 523,875 Wells Fargo Bank 50,842 50,842 Pershing $ 574,717 $ 574,717 1.62% Total 0.00% Money Market Accounts: $ 2,159,116 2,159,116 US Bank (Revenue Bonds) 0.15% 952,593 952,593 Bank ofthe West 0.08% 3,111,709 $ 3,111,709 8.77% Total 0.13% Federal Agency Securities: $ 498,165 500,000 Federal Home Loan Bank 06/12/18 1.00% $ 499,630 500,000 Federal Home Loan Bank 06/13/18 1.10% $ 997,795 $ 1,000,000 2.81% Total 1.05% Certificates of'Deposits $ 248,089 $ 248,000 CIT Bank, Salt Lake 05/22/18 1.19% $ 248,402 248,000 Discover 05/22/18 1.19% $ 248,089 248,000 Goldman Sachs Bank 05/22/18 1.19% $ 248,481 248,000 Beal Bank 05/23/18 0.99% $ 249,729 247,000 Barclays Bank 04/30/18 0.98% $ 248,645 248,000 State Bank of India 05/14/18 1.14% $ 248,390 249,000 Webster Bank 05/03/18 0.90% $ 248,454 248,000 American Express Centurion Bank 05/23/18 1.19% $ 247,824 248,000 GE Capital Bank 05/24/18 1.10% $ 249,010 249,000 Merrick Bank 05/24/17 0.74% $ 248,035 248,000 BMW Bank 05/24/17 0.89% $ 248,674 249,000 Oriental Bank & Trust 05/29/18 1.05% $ 248,579 249,000 Silvergate Bank 05/30/18 1.00% $ 248,534 249,000 Enterprise Bank & TR Co Lowell 05/30/18 1.00% $ 248,564 249,000 Safra National Bank 05/31/18 1.00% $ 247,534 248,000 Townebank Portsmouth 05/31/18 1.00% $ 248,539 249,000 Mascoma Savings Bank 05/29/18 1.00% $ 100,230 100,000 Ally Bank Midvale Utah 12/11/17 1.54% $ 198,504 200,000 World's Foremost Bk Sydney 05/28/19 1.30% $ 246,981 248,000 Capital One Bk USA NatlAssn 05/13/19 1.20% $ 244,812 249,000 Comenity Cap Bk Salt Lake City 06/30/21 1.67% $ 243,581 248,000 EnerBank USA Salt Lake City 08/26/20 1.32% $ 245,329 248,000 EverBank Jacksonville Fla CTF 08/30/19 1.16% $ 179,918 180,000 HSBC BK USA, NA MC Clean CTF 08/31/21 1.25% $ 241,525 248,000 Wells Fargo Bank NA Sioux Falls D 08/31/21 1.64% $ 245,469 247,000 PrivateBank & Tr Chicago Ill CTF 03/30/22 2.21% $ 250,327 249,000 JP Morgan Chase Bk NA Columbus 03/31/22 2.43% $ 6,420,247 $ 6,439,000 18.10% Total 1.22% Pooled Investment Accounts: $ 5,453,431 $ 5,453,431 Local Agency Investment Fund 0.88% 1,058,581 1,058,787 Ca1TRUST Short Term 1.06% 17,863,525 17,934,428 Ca1TRUST Medium Term 1.23% $ 24,375,537 $ 24,446,646 68.70% 1.15% $ 35,480,006 $ 35,572,072 100% Total Investments 1.05% 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. 4 �-11 rWL-'t/Yl- Kelly D. McCann, Senior Accountant 4/30/17 Cash & Investment Summary Report Below is a chart summarizing the yields as well as terms and maturities for the month of April 2017: Average # of Month Portfolio Days to of 2017 Yield Maturity April 1.05% 149 Below are charts comparing operating fund interest for current and prior fiscal years. Actuallnterest 4/30/2016 4/30/2017 Monthly - April Year -to -Date $ 30,443 $ 43,533 $ 204,323 $ 279,289 Budget 2015/2016 2016/2017 Interest Budget, April YTD $ 77,500 $ 95,833 Interest Budget, Annual $ 93,000 $ 115,000 Interest earned on investments is recorded in the fund that owns the investment. Cash & 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: Total of $35.5 million in cash and investments which is split between minimum reserve requirements and what is available to meet current year obligations (operating costs, debt service, capital costs). Reserve Cash and Requirements Investments March 2017 % Alloc April 2017 % Alloc "Conditional Available for Fund Description Balance 3/31/2017 Balance 4/30/2017 Use" CY Obligations Water Operating Reserve $ 5,846,057 16.69% $ 7,029,453 20.11% $ 4,132,257 3,039,204 Water Emergency Reserve 1,043,251 2.98% 1,043,626 2.99% 1,042,888 738 Water Capital Project Reserve 16,107,057 45.99% 15,626,730 44.70% 1,820,000 13,806,730 Water Reserve for Debt Service 2,770,639 7.91% 2,773,551 7.93% 2,723,509 50,042 Maintenance Reserve 201,165 0.57% 201,674 0.58% 200,000 1,674 Water Employee Liability Reserve 372,032 1.06% 372,040 1.06% 372,000 40 Conservation Reserve 1,329,592 3.80% 1,323,295 3.79% 0 1,323,295 COP Revenue Bond 2008 - Reserve 2,960,205 8.45% 2,159,116 6.18% 2,147,096 12,020 Sewer Operating Reserve 411,036 1.17% 411,777 1.18% 239,825 553,819 Sewer Emergency Reserve 999,120 2.85% 999,998 2.86% 1,000,000 (2) Sewer Employee Liability Reserve 28,128 0.08% 28,199 0.08% 28,000 199 Sewer Capital Project Reserve 2,955,679 8.44% 2,986,672 8.54% 345,000 2,641,672 $ 35,023,961 100.00% $ 34,956,131 100.00% $ 14,050,575 21,429,431 Wells Fargo Bank Checking Water Operating 261,184 142,008 Sewer Operating 280,308 381,867 541,492 523,875 Totals $ 35,565,453 $ 35,480,006 Yorba Linda Water District Fair Value Measurement Report April 30, 2017 Call R USllnvestment Pool Local Agency Investment Fund U.S. Government Sponsored Agency Securities Negotiable Certificates of'Deposit $ - $ 18,922,106 $ - 5,453,431 - 997,795 - 6,420,247 - $ 18,922,106 - 5,453,431 - 997,795 - 6,420,247 Total Investments S - $ 31,793,580 $ - $ 31,793,580 Quoted Observable Unobservable Prices Inputs Inputs Investments Level 1 Level 2 Level 3 Total Call R USllnvestment Pool Local Agency Investment Fund U.S. Government Sponsored Agency Securities Negotiable Certificates of'Deposit $ - $ 18,922,106 $ - 5,453,431 - 997,795 - 6,420,247 - $ 18,922,106 - 5,453,431 - 997,795 - 6,420,247 Total Investments S - $ 31,793,580 $ - $ 31,793,580 Fiscal Year 2017 Water CIP & Capital Outla $25.5M= As of June 36 2016 - $7.OM LOC Payment (Sept. 2016) - $2.9M = CIP & Capital Outlay Payments - 52.7M = CIP & Capital Outlay Committed $12.9M Projected Capital Reserve(FYE17) - 51.8M =Minimum Reserve Requirement $11,01 M Available for Future FYs CIP & Ca ital Outlay Payments $983K Fairmont Booster Pump Station $685K 2015 Waterline Replacement $613K Richfield Road Pipeline $360K Well #21 $214K Vehicle and Capital Outlay $12K Wells #22 >12K Pressure Reducing Station Rehab. $2.9M CIP & Capital Outlay Meeting Date: May 23, 2017 Subject: Directors' Reports ATTACHMENTS: Name: Meeting Report.pdf MWD Briefing.pdf ITEM NO. 10.1 AGENDA REPORT • Special Briefing: Making Conservation a Way of Life - May 22, 2017 (Jones/Miller/Nederhood) Description: Type: Backup Material Distributed Less Than 72 Hours Prior to Backup Material the Meeting Backup Material Distributed Less Than 72 Hours Prior to Backup Material the Meeting Backup Material Distributed Less Than 72 Hours Prior to the Meeting To All ... Meeting held today on What Does "Making Conservation a Way of Life" Mean for Decision Makers? by WaterNow Alliance DESCRIPTION Governor Brown issued Executive Order B-37-16 a year ago elevating water conservation as a key strategy in California's long-term plan to become water secure and resilient. A draft plan was issued in November, and the state has now released its Final Framework. This strategy will be implemented primarily at the local level - what does this mean exactly for public water utilities and their board members? Speakers include: • Max Gomberg, Climate and Conservation Manager, State Water Board • Peter Brostrom, Urban Water Efficiency Manager, Department of Water Resources • Joe Grindstaff, General Manager, Inland Empire Utilities Agency --> Was ill today • Joone Lopez, General Manager, Moulton Niguel Water District • Sue Mosburg, CA -NV AWWA & Chair, Water Loss Control Collaborative • Moderator, Cynthia Koehler, Executive Director, WaterNow Alliance The key changes were: • The Governor's Framework calls for strengthened efficiency standards, rather than across the board % reduction in water use • Budgets are customized to local conditions and give more authority to local decision makers on how to meet those budgets. In a word, doing away with % reductions and looking for equitable targets/budgets that factor in the locale conditions for the 400 water urban water suppliers. While an equation is set to calculate total use, there is a lot of discussion and data needed before the interim standards for each of the 4 categories are converted to final. EFFICIENCY STANDARDS: WHAT'S COVERED? ----> Workshops needed to set equitable standards Residential indoor Water system losses Outdoor irrigation CII Uses (commercial, industrial, institutional Suppliers to Interim standards Refined standards calculate water Final compliance adopted targets 2018 ==* 2020 2021 2025 MATERIALS SUBMITTED BY: J. Wayne Miller, PhD MEETING DATE: May 23, 2017 Other observations.... 1. Oct 2017 ...reports on losses due 2. Moulton Niguel.... people want to conserve so need to provide them with more tools and information on how to conserve.MN was surprised on the level of potential conservation. 3. My question on who sets budget for fire zones --> join CII and bring up since undecided. 4. Does SW have standards for air surveys and list of vendors meeting those standards. No; might talk with Patrick Atwater. 5. Interim standards are not enforceable; just guidelines/checkpoints for district to get ready. 6. ? Compliance tools ... same as before; come at 3 levels. 1) State asks for data on conservation program or... 2) issue conservation order; eg. audit large users; increase conservation budget ...3)cease/desist order & fine. 4 agencies fined last time for $60K each. 3 used the fines to improve conservation .. Considered if >5% high 7. Data for climate and population change is considered in the equation Bottom line.... Framework in place; however, there are many important details missing so get involved in the standards setting process. MAKING WATER CONSERVATION A CA WAY OF LIFE MAY 22, 2017 11:30AM-2:OOPM METROPOLITAN WATER DISTRICT Cynthia Koehler, Executive Director THANKS TO OUR PARTNERS Inland Empire Utilities Agency WATER 0. T A MUNICIPAL WATER DISTRICT 0�00op C A L I F O R N I A Water Boards STATE W A TER HE SOURCES CON TROL BOARD REGIONAL WATER ORALITY CONTROL BOARDS C nvulton niguel water district IIII��III�����;�IIIII Local Government; American'�I1fater WcAs Association �!\\� Commission water leaders. resilient solutions. �Ioors c» • Convey the basics about the Executive Order (EO) and conservation Framework • Provide utility perspectives on the Framework • Answer your questions or concerns Clouds �( 25 km �', R - - 4t Sierra Nevada Snow Pack Spring 2010 Average year Spring 2014 34% of average Spring 2015 5% of average Source: NASA Earth Observatory STATE OROUGNT EMERGENCY oft OECLAREO �s a docnix.V6 the Va tv wrr'Oum of rain� �l and flr4 on wo aka"reK�' *' & Wryan ink" v r� om wu 2r O,c a t�4,�., in the 20th #�siu�ES g2 ehouw .►. ..r 9i toVl� 4waternow alliance 2014 I 2015 I 2016 January 17, 2014: Gov. Brown declares state of emergency SWCRB issues curtailment order April 1, 2015: Executive order directing SWRCB to enact first-ever mandatory conservation Requirement to achieve a 25% reduction in ca urban water use Water Boards STATE WATER RESOURCES CONTROL BOARD REGIONAL WATER QUALITY CONTROL BOARDS May 16, 2016: SWRCB adopts new "stress test approach" to regs that replace percentage reductions with locally developed conservation standards that are agency specific waternow alliance dater 22.5% cum ui sarin%s rrrtlor Departitirtit #tutu of Crafforitia EXECUTIVE ORDER B-37-16 MAKING WATER CONSERVATION A CALIFORNIA WAY OF LIFE WHEREAS California has stiffered through a severe multi-year drought that has threatened the water supplies of communities and residents, devastated agriGUItural production in many areas, and harmed fish, animals and their environmental habitats; "Californians stepped up during this drought and saved more water than ever before. But now we know that drought is becoming a regular occurrence and water conservation must be a part of our everyday life." ,perry Brown, Governor of California kYXSX AC WA PACIFIC INSTITUTE Association of California Water Agencies Inland Em ire Utilities Agency A MUNICIPAL WATER DISTRICT 16�t aternow alliance OF EAIGUE FORNIA CTIESsm W r # r California Landscape :3 Contractors TM Association EBMUD SONOMA C 0 U N T Y WATER IIIA G E N C Y II 111 moulton niguel water district CALIFORNIA AMERICAN WATERT COMMUNITY WATER CENTER F,l, CFNTRO COMUNITARIO POR EI_ AQUA CB111. California Building Industry Association MUNICIPAL WATER DISTRICT OF ORANGE COUNTY moulton niguel water district CALIFORNIA AMERICAN WATERT COMMUNITY WATER CENTER F,l, CFNTRO COMUNITARIO POR EI_ AQUA CB111. California Building Industry Association Making Water Conservation a California Way of Life Implementing Executive order B-37-16 PUBLIC REVIEW DRAFT November 2016 Making Water Conservation a California flay of Life Implementing Executive order B-37-1 FINAL REPORT April 2017 • Conservation is not a drought response but a key management strategy going forward • The hidden drought is not over - Groundwater recharge will take years 40 j,"'aternow alliance GROUNDWATER LEVEL CHANGE FALL 2011 TO FALL 2016 #nyfiN Pn�'w�e Owp sigh OW-I*h x1.30• Groundwater Level Change Increase 1 5D!eel Increase 16 to 50 feet CrAnge 10 feet Dqmas� r to 50 test • Deerew* > 50 feel Groundwater Basin C4unLy Boundary Valor KrgN" Vidor Canal A 1 180 1 b 1.40 a+ 1)0 02 N L q) 100 O 80 SJ 4 �JQ 40 20 EV Department of Water Resources California Cooperative Snow Surveys April 1 Statewide Conditions 2004 2005 2006 2007 2008 20D9 2010 2011 Year r�+sra 2ag3 2014 201`, MA,Li, 201b 2417 11111111anowpack MRrecipitation mRunoff Reservoir Storage EFFICIENCY OPTIONS HIGH -EFFICIENCY TOILET TODAY Com,. OXY ..� [none STs S": At '.eOA-A'w_ S.i[i Y} � �+ t L.F. �� i:.S.- � �`� 5 � •. a s. yA 7 # �+r fi=t ..,'° ./`� 1k tf,6�-`,�.r-_i.��,•, �:.. ol N, DI a am • a � s�.cs,�,�g�:.� k �'`r�' '' i�{ � � `°�" � � ; ' � �€ J�. .�` S�..x,s. � a *.'. r i , i Peter Brostrom_ Dp-nt_ nt WatPr R ►:t16 [*]1110124 r• 1. Use Water More Wisely 2. Eliminate Water Waste 3. Strengthen Local Drought Resilience 4. Improve Agricultural Water Use Efficiency and Drought Planning Alakna JA 161ko 1. Develop new water use efficiency target " customized to the unique conditions of each water agency" 2. Propose higher levels of conservation 3. Improve data through monthly agency reporting (use, conservation & enforcement.) WATER CONSERVATION ACT OF 2009 SB 7x7 Established statewide goal of reducing urban water per capita use 20% by 2020 10 year average 1996-2005 = 200 GPCD 20% by 2020 target =160 GPCD 2015 statewide average = 133 GPCD 40waternow alliance Budgets are customized to local conditions and give more authority to local decision makers on how to meet those budgets. Residential indoor Water system losses EFFICIENCY STANDARDS: WHAT'S COVERED? I Outdoor irrigation CII Uses (commercial, industrial, institutional) NEW Framework Approach to C11.0 Change from SB 7x7 9 SB 7x7 required 10% across the board reductions in per capita CII r 11 water use M Framework moves away from this Ccmmercial, Industrial, Institutional Water Uses volumetric approach to a best practices approach • Recognizes diversity of businesses, institutions and industry in CA WATER FOR COMMERCIAL, INDUSTRIAL, INSTITUTIONAL PURPOSES CII Uses 1. Dedicated irrigation accounts for large CII landscapes • 3 performance measures for utilities serving CII customers 2. Classification of CII accounts using e.g., North American Industry Classification System 3. Water audits or management plans for large CII accounts EFFICIENCY STANDARDS: THE BASIC PROPOSAL Residential indoor Outdoor irrigation Water system losses Indoor + Outdoor + System Loss Budgets = Utility's "Overall Water Use"" Target INDOOR RESIDENTIAL USE CALCULATION Residential indoor 55 GPCD GALLONS PER CAPITA/DAY This is the existing indoor residential standard set through SB 7x7 ILVDIO-101 ilk WT "DI Residential indoor Example: You have 170,319 people in your service area ■OUTDOOR IRRIGATION STANDARD Outdoor irrigation Framework would establish outdoor water "budget" for each water provider based on the total amount of outdoor landscaping based local evapotranspiration rates (Eto) 40waternow alliance ET°V 1 e WHAT IS ETo? The amount of water a plant needs based on the weather and type of plant. 8.6 6.0 3.4 40waternow FMr alliance OUTDOOR IRRIGATION STANDARD: HOW WILL THIS WORK? LANDSCAPE AREA MEASURMENT: REMOTE SENSING • Service that the state provides to local water utilities • Not mandatory OPPORTUNITIES FOR SAVINGS kop_,.Fbl - T F� s r x�'-_ •.<'#k '14 - i iri �}'r. •-rFs a . _ y �.-Fr:r __'t. ; �. �t.�"` _ _ �. t i, ��c k`"i"47=` ti+ �i More attention to local conditions t.111 like geography& weather h New standards measurements will ; j be more accurate and data -driven IV- s WATER EFFICIENCY STANDARDS: THE BASIC PROPOSAL Residential indoor Outdoor irrigation Water system losses Indoor + Outdoor + System Loss Budgets = Utility's "Overall Water Use"" Target o: iQAmerican Water Works Association California -Nevada Section n O "0 x'41' SON SS CONTROL VO CO<<,q 0,0 EDUCATION SUE MOSIBURG, CA -NV AWWA Chair, Water Loss Control Collaborative WATER SYSTEM LOSSES Water system losses lk SB 555 Requires water loss performance standard to be in place by 2020 EXISTING REQUIREMENTS: • Annually compile & submit validated water loss audits • DWR to establish rules & technical standards • State assistance to urban water providers SUCCESSESFUL COLLABORATION a Activities Underway: P- C �CeNiOmla-Nevadaho Sacn `► Water Loss TAP • California Water Loss CollaborativeOVERVIEW UTILITY STATUS RESOURCES CONTACT US NAWL2017 i • Water Loss TAP The Water Loss Technical Assistance Program (Water Loss TAP) aids urban Water suppliers In complying with California Senate Bill 555, requiring utilities to submit a completed and Level 1 validated water loss audit annually to the California Department of Water Resources (DWR). 555 Rulemaking We, TMqqLmy rlttemctpMrMloo•nueawqs4rt.MmnmpErtgtwKn4e<amEmltwmnls fwvee�oOsrrta me. e SAW6N<MCay 1M1Rmcmdftii1d•SB ------ --• . •Relevant Technical Training r e • WRF research projects 111n • CEC Leak Detection Equipment Study � • Water Auditor Va I i d ato r (WAV) Certificate Person Remote Work In Person Remote Work Session Session Work Session Vaiidatio Session a WHAT ABOUT RECYCLED WATER? Efficiency standards allow recycled water to be used at higher volume levels than non -recycled watera* PROPOSED TIMELINE Achieving improved urban water efficiency on a statewide will take time. Suppliers to Interim standards Refined standards calculate water Final compliance adopted targets 2018 2020 2021 2025 4waternow alliance INTERIM STANDA DS The 2018 Interim targets would be in place until refined standards are adopted in 2021 PURPOSE: 1. To allow time for EO agencies to collect data that will inform final standards 2. Allows water suppliers and users to plan and adjust to approach before final standards ADDITIONAL ELEMENTS OF THE FRAMEWORK 41M J ELIMINATING WATER WASTE 1 • DROUGHT CONTINGENCY AG WAT E R MANAGEMENT ACTIVITI ES PLANNING PLANNING Identify and prohibit specific practices that constitute " waste" such as: L" EM D]:i6UICI :ItS[• `J W. Seeks to have local urban water suppliers be more pro- active with their contingency planning for drought. Dl:i6lIICI :ItK• !ffs r 4 LNG a NO]; I* '01 La L w It 5 year drought planning Establishes 10 elements to be included in shortage plans J:ie1V 10 [CIACI:J [NI1 in K II:L• The Framework set new reporting requirements for Ag Water Management Plans EXAMINING THE FRAMEWORK FROM A UTILITY PERSPECTIVE JOONE LOPEZ, MOULTON NIGUEL WATER DISTRICT moulton nig I water district DATA -DRIVEN DECISION MAKING MW • Better management • Clarity in dialoguey • Bringing frontier AL chores -��� into decision making — the new it -W Emphasizes fairness while putting local conditions and local decision making first Supports and promotes economic Data powers smart decisions and smart Elevates efficiency as a reliable and prosperity investments resilient strategy Deepens public's relationship with water I 61113.'1 1 [• CONTACT US! Cynthia Koehler, WaterNow Alliance ck@waternow.org (415) 360-2999 Meeting Date: Subject: ATTACHMENTS: ITEM NO. 11.2 AGENDA REPORT May 23, 2017 Joint Agency Committee with City of Yorba Linda (Miller/Hawkins) • Minutes of the meeting held March 13, 2017 at 4:00 p.m. • Next meeting scheduled June 12, 2017 at 4:00 p.m. at YL City Hall. Name: Description: Type: 2017-03-13 - Minutes - YLWD-City of YL.pdf Minutes Minutes CITY OF YORBA LINDA Land of Gracious Living YORBA LINDA WATER DISTRICT/ CITY COUNCIL JOINT ADVISORY COMMITTEE MEETING MINUTES March 13, 2017 4:00 p.m. CALL TO ORDER The Yorba Linda Water District/City Council Joint Advisory Committee meeting convened at 4:09 p.m. in the Council Chambers at 4845 Casa Loma Avenue, Yorba Linda. PLEDGE OF ALLEGIANCE Councilwoman Beth Haney ROLL CALL Committee Members City Council: Beth Haney, Tom Lindsey (arrived at 4:32 p.m.) Water District: J. Wayne Miller, Phil Hawkins Staff Members: Marc Marcantonio, Mark Pulone PUBLIC COMMENTS None YLWD/CC Joint Advisory Committee Minutes March 13, 2017 Page 1 of 4 ACTION CALENDAR 1. Minutes of the YLWD/City Council Joint Advisory Committee meeting held on October 26, 2016. The YLWD/City Council Joint Advisory Committee approved the minutes of the October 26, 2016 meeting. DISCUSSION ITEMS 2. Drought Response, Water Conservation/Drought Penalty Ordinances, and Community Outreach Efforts General Manager Marc Marcantonio reported that for the month of February the water savings was at 54% and the cumulative savings from June 2015 through February 2017 was a total of 31.4%. He also said that the State Water Resources Control Board (SWRCB) extended the Emergency Drought Declaration until after the snow pack measurement on April 1. Julia Schultz, resident, asked about the Proposition 1 Bonds from 2015 and what the State would do with them. General Manager Marcantonio responded and said that the monies had not been dispersed yet as there were several projects competing for the funding. 3. Impact of Senate Bill 814 — Drought: Excessive Water Use: Urban Retail Water Suppliers General Manager Marcantonio stated that SB 814 was signed into law last year. He said the bill will require each urban retail water supplier to establish a method to identify and discourage excessive water use by using rate structures that include block tiers, water budgets, rate surcharges, and establish administrative penalties up to $500 per unit of water. The Water District's prior Administrative Penalty system charged only $10 for per 10 units of excess water. These new regulations would be in effect during drought conditions. Board President J. Wayne Miller commented that Orange County is the largest water recycler in the nation but does not receive any credit from the SWRCB for it. 4. District Revised Budgeted Positions for Remainder of FY 2016/2017 General Manager Marcantonio informed the committee members that the revised Budgeted Positions item was continued during the last YLWD meeting to a future meeting. He said the District was considering changing the Communications Manager position to an Assistant General Manager position for succession planning; this position would supervise the management team and perform the duties of the previous Communications Manager. YLWD/CC Joint Advisory Committee Minutes March 13, 2017 Page 2 of 4 5. District Budget to Actual Financial Statements for Month Ending January 31, 2017 Councilman Lindsey asked what the new Board had found during their initial review of the Water District's financials. General Manager Marcantonio stated that the new board has been extremely busy learning governing principals, the Brown Act, touring different state water projects as well as local infrastructure and getting ready to start budget workshops. Board President Miller stated that his main concern was the decline of the District's long standing AAA rating with Standard & Poor which was downgraded to AA. He said the Board would also be looking at reserves, replacement of R&R, Capital Budgets, staffing and water rates and that they expect to have a new budget in July. General Manager Marcantonio provided a brief review of the District's financials and stated that they prepare an Income Expense Statement which includes information on their present net position; the District uses Governmental Accounting Standards Board (GASB) accounting principles. Councilwoman Beth Haney inquired about Income Expense Statements and if there was a tool that could be used to make it quicker and easier for busy people to interpret. General Manager Marcantonio responded that the District was researching improved methods of communication so that in the future the public doesn't misunderstand the financial position of the Water District. Julia Schultz, resident, said she appreciated Councilwoman Haney's comment and agreed there was a lot of information on the District website from which the public could learn. She said she was glad to help get the word out and inform residents. 6. City Council Actions to Vacate Easements in Underfunded Landscape Maintenance Assessment District (LMAD) Zones Councilman Lindsey briefly discussed the current process before Council of vacating certain easements in LMAD zones which could mean significantly less water use in these areas. Discussion ensued regarding estimating water usage, the potential different scenarios of landscape easement vacations and irrigation systems. 7. Improper Disposal of Pool Plaster Material General Manager Marcantonio requested the City's assistance with an issue that developed recently. He explained that some residents were complaining of sewer blockages on their property. After the District investigated by running a camera through the sewer line it was discovered that one or more pool re -plastering contractors were disposing of excess plaster material by pumping it into the sewer. YLWD/CC Joint Advisory Committee Minutes March 13, 2017 Page 3 of 4 City Manager Pulone suggested that a pamphlet with information on proper disposal procedures be disseminated through the City's Building Department to all contractors who pull permits. Community Development Director David Brantley agreed that his department would work with the District to identify sewer blockage areas and try to match them with recently filed pool permits. 8. Future Meeting Dates and Times Board President Miller suggested bimonthly meetings and Councilwoman Haney suggested quarterly meeting. Discussion ensued in regards to holding bi-monthly or quarterly meetings. The Committee agreed to meet quarterly with the option of calling a special meeting if necessary. 9. Potential Future Agenda Items General Manager Marcantonio suggested a continued discussion regarding projections from the City on anticipated future water use. ADJOURNMENT City Manager Pulone adjourned the meeting at 5:36 p.m. to the next Yorba Linda Water District/City Council Advisory Committee Joint meeting on Monday, June12, 2017 at 4:00 p.m. YLWD/CC Joint Advisory Committee Minutes March 13, 2017 Page 4 of 4 Meeting Date: Subject: ATTACHMENTS: AGENDA REPORT May 23, 2017 Meetings from May 24, 2017 - July 31, 2017 Name BOD - Activities Calendar.pdf Description: Backup Material ITEM NO. 13.1 Type: Backup Material Board of Directors Activity Calendar Event Date Time Attendance by: May 2017 OCWD Wed, May 24 5:OOPM Jones OCSD Wed, May 24 6:OOPM Hawkins/Jones Yorba Linda Planning Commission Wed, May 24 6:30PM Hawkins (As Needed) Santa Ana River Watershed Conference Thu, May 25 9:OOAM Jones/Nederhood Interagency Committee Meeting with MWDOC and OCWD Thu, May 25 4:OOPM Miller/Nederhood District Offices Closed Mon, May 29 7:OOAM Jones (All Directors PA) June 2017 Sun, Jul 9 5:OOPM WACO Fri, Jun 2 7:30AM Jones (All Directors PA) Yorba Linda City Council Tue, Jun 6 6:30PM Miller MWDOC Wed, Jun 7 8:30AM Nederhood OCSD Operations Committee Wed, Jun 7 5:OOPM Hawkins OCWD Wed, Jun 7 5:30PM Jones Board of Directors Workshop Meeting Thu, Jun 8 4:OOPM Hawkins (As Needed) Joint Committee Meeting with City of Yorba Linda Mon, Jun 12 4:OOPM Miller/Hawkins Board of Directors Regular Meeting Tue, Jun 13 6:30PM Nederhood LAFCO Wed, Jun 14 8:OOAM Nederhood (As Needed) Yorba Linda Planning Commission Wed, Jun 14 6:30PM Hawkins (As Needed) OC Water Summit Fri, Jun 16 7:30AM Jones/Nederhood Board of Directors Workshop Meeting Mon, Jun 19 4:OOPM Hawkins (As Needed) YL City Council Tue, Jun 20 6:30PM Nederhood MWDOC Wed, Jun 21 8:30AM Nederhood OCWD Wed, Jun 21 5:30PM Jones Board of Directors Regular Meeting Tue, Jun 27 6:30PM OCSD Wed, Jun 28 6:OOPM Hawkins/Jones Yorba Linda Planning Commission Wed, Jun 28 6:30PM Hawkins (As Needed) ISDOC Thu, Jun 29 11:30AM Hawkins (All Directors PA) July 2017 District Offices Closed Tue, Jul 4 7:OOAM Yorba Linda City Council Tue, Jul 4 6:30PM Hall MWDOC Wed, Jul 5 8:30AM Nederhood OCSD Operations Committee Wed, Jul 5 5:OOPM Hawkins OCWD Wed, Jul 5 5:30PM Jones WACO Fri, Jul 7 7:30AM Jones (All Directors PA) CSDA SDLA Conference Sun, Jul 9 5:OOPM CSDA SDLA Conference Mon, Jul 10 8:30AM CSDA SDLA Conference Tue, Jul 11 8:30AM Board of Directors Regular Meeting Tue, Jul 11 6:30PM LAFCO Wed, Jul 12 8:OOAM Nederhood (As Needed) CSDA SDLA Conferece Wed, Jul 12 8:30AM Yorba Linda Planning Commission Wed, Jul 12 6:30PM Hawkins (As Needed) YL City Council Tue, Jul 18 6:30PM Hawkins MWDOC Wed, Jul 19 8:30AM Nederhood OCWD Wed, Jul 19 5:30PM Jones Board of Directors Regular Meeting Tue, Jul 25 6:30PM OCSD Wed, Jul 26 6:OOPM Hawkins/Jones Yorba Linda Planning Commission Wed, Jul 26 6:30PM Hawkins (As Needed) Interagency Committee Meeting with MWDOC and OCWD Thu, Jul 27 4:OOPM Miller/Nederhood 5/18/2017 9:42:17 AM ITEM NO. 14.1 AGENDA REPORT Meeting Date: May 23, 2017 Subject: Special Briefing: Making Conservation a Way of Life - May 22, 2017 CSDA Special District Leadership Academy Conference - July 9-12, 2017 UWI Annual Conference - August 16-18, 2017 STAFF RECOMMENDATION: That the Board of Directors approve and/or ratify Director attendance at these events ATTACHMENTS: Name. Description: Type: Briefing at MWDSC.pdf Backup Material Backup Material SDLA Conf.pdf Backup Material Backup Material UWI Conf.pdf Backup Material Backup Material A CA WAY OF LIFE" r-1EAN FOR LOCAL DESCRIPTION Governor Brown issued Executive Order B-37-15 a year ago elevating water conservation as a key strategy in California's long-term plan to become water secure and resilient. A draft plan was issued in November, and the state has now released its Final Framework. This strategy will be implemented primarily at the local level - what does this mean exactly for public water utilities and their board members? Jain us to learn more_ Speakers include: Max Gomberg, Climate and Conservation Manager, State Water Board Peter Brostrom. Urban Water Efficiency Manager, Department of Water Resources Joe Grindstaff, General Manager, Inland Empire Utilities Agency Joone Lopez, General Manager, Moulton Niguel Water District A-1 A y 22 What Does "Making Conservation a Warr of Life" Mean for Decision Makers? by WaterNow Alliance Free DATE AND TIME Mon, May 22. 2017 11;30 AM — 2:00 PM PDT Add to Calendar LOCATION Metropolitan 'Water District - Room 102 700 North Alameda Street Los Angeles. CA 90012 View Map FRIENDS WHO ARE G01NG 00 Connect toFacebook "As a new board member, I truly enjoyed attending the Governance foundations workshop. the material was informative, and I recommend this workshop to anyone serving as an elected official." Why attend? Local boards are the reason why local control is local. Special district boards are the voices of the community and they are also a large reason why special districts exist. The truth is that every elected or appointed public official needs to worry about governance; governance is what boards do. It's what they bring to the table. Governance is taking the wishes, needs, and desires of the community and transforming them into policies that govern the district. Attendees will learn • Working as a team: The roles of the board and staff in your district. • Attributes and characteristics of highly effective boards. • How culture, norms, values, and operating styles influence the district. • Specific jobs that the board must perform. • How individual values, skills, and knowledge help shape how effective boards operate. • The importance of moving from "I" to "we" as the governance team. • The board's role in setting direction for the district. • The board's role in finance and fiscal accountability. • Much more! — Shiva Frentzen, Director, Cameron Park Community Services District Where to stay February 26 — March 1, 2017 Embassy Suites La Jolla 4550 La Jolla Village Drive San Diego, CA 92122 ROOM RESERVATIONS Room reservations are available at CSDA rate of $159 plus tax, single or double occupancy by calling 1-800-362-2779 and using the group code XLE. The CSDA rate also includes discounted parking and complimentary guest room internet. The room reservation cut- off is January 27, 2017, however, space is limited and may sell out before this date. EARLY BIRD DISCOUNT The early bird discount for this location requires registration on or before Friday, January 27, 2017. CANCELLATIONS Cancellations must be in writing and received by CSDA no later than February 13, 2017at 5.00 p.m. All cancellations received by this date will be refunded less a $75 cancellation fee. There will be no refunds for cancellations made after February 13, 2017. Substitutions are acceptable and must be done in writing no later than February 20 at 5:00 p.m. Please submit any cancellation notice or substitution requests to meganhQcsda.net or fax to 916-520-2465. April 23 — 26, 2017 Embassy Suites San Luis Obispo 333 Madonna Road San Luis Obispo, CA 93405 ROOM RESERVATIONS Room reservations are available at CSDA rate of $120 plus tax, single or double occupancy by calling 805-549-0800 and using the group code XCO. There is complimentary self -parking at this location. The room reservation cut-off is March 24, 2017, however, space is limited and may sell out before this date. EARLY BIRD DISCOUNT The early bird discount for this location requires registration on or before Friday, March 24, 2017 CANCELLATIONS Cancellations must be in writing and received by CSDA no later than April 10, 2017 at 5:00 p.m. All cancellations received by this date will be refunded less a $75 cancellation fee. There will be no refunds for cancellations made after April 10, 2017 Substitutions are acceptable and must be done in writing no later than April 17 at 5:00 p.m. Please submit any cancellation notice or substitution requests to meganhQcsda.net or fax to 916-520-2465. July 9 — 12,2017 Embassy Suites Napa Valley 1075 California Blvd. Napa, CA 94559 ROOM RESERVATIONS Room reservations are available at CSDA rate of $169 plus tax, single or double occupancy by calling 1 -800 -HILTONS and using the group code CAS. The room reservation cut-off is June 9, 2017, however, space is limited and may sell out before this date. EARLY BIRD DISCOUNT The early bird discount for this location requires registration on or before Friday, June 9, 2017. CANCELLATIONS Cancellations must be in writing and received by CSDA no later than June 26, 2017 at 5:00 p.m. All cancellations received by this date will be refunded less a $75 cancellation fee. There will be no refunds for cancellations made after June 26, 2017 Substitutions are acceptable and must be done in writing no later than July 3 at 5:00 p.m. Please submit any cancellation notice or substitution requests to meganhQcsda.net or fax to 916-520-2465. Demonstrate your commitment to good governance. 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. 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 In this informational session, the instructor will lay the ground work 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 effective board members. • What good governance means and how to effectively put it into practice • How to move your board from "I" to "we," including how to become an effective team, establish team standards, and essential conditions for team building. This session covers Module 1 of the Special District Leadership Academy.- Governance Foundations. n�h"Helped clarify my role as a new director." .1-10 — 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 This session will highlight the importance of setting the direction for your district. Learn the critical components of direction setting for your district along with how to avoid planning pitfalls. Attendees will walk through the steps of establishing and fulfilling your district's mission, vision, values, and strategic goals and how to communicate those objectives to your constituents. This session covers Module Z of the Special District Leadership Academy. - Setting Direction/Community Leadership. 5:30 — 7:00 p.m SIP AND SAVOR EVENING RECEPTION Join us for a lively evening of networking and refreshments. Sponsored by Special District Risk Management Authority SDRMA You must attend all education sessions to earn your graduation certificate at the conclusion of the conference. 8:30 —10:00 a.m. GET THE WORD OUT! BEST PRACTICES FOR COMMUNICATION AND OUTREACH This session looks at common communication breakdowns and potential areas for improvement in public agency communications. It will discuss proper and effective communication methods to be aware of as a governing official including: • 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 AND STAFF ROLES AND RELATIONSHIPS PART 1 This conference session will teach participants how to determine the Human Resource health of their district and what areas to focus on as a board and individual governing official including: • Identifying the board's role in human resources. • Recognizing HR red flags and positive indicators. • Developing and maintaining essential HR 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. 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 AND STAFF ROLES AND RELATIONSHIPS PART 2 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? This session will provide a review and insight of important financial concepts, reports, and policies specific to public agencies including special districts. Attendees will learn: • How to ask the right questions. • How to link the finance process to the district mission and goals. • Budget process, budget assessment, and 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 At the completion of the conference attendees will be awarded a certificate of completion for the Special District Leadership Academy. Attendees must attend all education sessions to receive credit. "The workshop on Setting Direction/Community Leadership was out -standing. The instructor defined roles and responsibilities which were essential to productive and conscientious board members. The Leadership Academy should be a requirement for all new board members." — Dave Kulchin, Board Member, Leucadia Wastewater District (Use one form per registrant) SDLO2017 Registration Form Special District Leadership Academy Conference Three Ways to Register • Register online by visiting the Special District Leadership Academy Conference website at leadershipacademy.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 the number listed above. Registration fees include: • 2.5 days of education and materials • 2 luncheons • 2 receptions NamefTitle: District: Address: City: State: Zip: Phone: Fax: ❑ Member ❑ Non-member Email: Emergency Contact - Name & Phone: 1111 111 1111 1111 1 • FEBRUARY 26 - MARCH 1, 2017 - LA JOLLA APRIL 23-26, 2017 - SAN LUIS 0BISPO An• JULY 9-12, 2017 - NAPA EARLY BIRD DISCOUNT: JANUARY 27 EARLY BIRD DISCOUNT: MARCH 24 EARLY BIRD DISCOUNT: JUNE 9 ❑ CSDA Member $600 ❑ CSDA Member $600 ❑ CSDA Member $600 ❑ Non -Member $900 ❑ Non -Member $900 ❑ Non -Member $900 AFTER JANUARY 27 AFTER MARCH 24 AFTER JUNE 9 ❑ CSDA Member $650 ❑ CSDA Member $650 ❑ CSDA Member $650 ❑ Non -Member $975 ❑ Non -Member $975 ❑ Non -Member $975 SEND • •DISCOUNTED PRICING! ADDITIONAL ATTENDEE FROM THE SAME DISTRICT ADDITIONAL ATTENDEE FROM THE SAME DISTRICT BEFORE EARLY BIRD DISCOUNT AFTER EARLY BIRD DISCOUNT ❑ CSDA Member $400 ❑ CSDA Member $450 ❑ Non -Member $600 ❑ Non -Member $675 ❑ Check ❑ Visa ❑ MasterCard ❑ Discover ❑ American Express Acct. name: Acct. Number: Expiration date: Authorized Signature: Special needs ❑ Vegetarian ❑ Other: URBAN WATER INSTITUTE, INC. dw—A Non -Profit Organizaor M - tion Urban mater Institute's Annual Water Conference "Risk, Crisis & Uncertainty: Are We Ready??" Confirmed Topics: (List in Formation) Oroville - An Engineering & Policy Perspective Infrastructure Legislative Leadership & Policy California Water Fix Ethics & Crisis Management The Water/Energy Nexus Updating the Bay -Delta WQCP Colorado River Confirmed Speakers: (Listin Formation) Marty Adams, Los Angeles Department of Water and Power Marc Bracken, SWAN North America Jennifer Buckman, Bartkiewicz, Kronick & Shanahan Bill Croyle, CA Department of Water Resources David A. Gutierrez, PE, GE, GEI Consultants Jeanne Kuttel, CA Department of Water Resources Pat Mulroy, William S. Bovd School of Law, UNLV Don Polese, Vectis Strategies Jack Safely, Metropolitan Water District of Southern California Eric Sapirstein, ENS Resources Jamie Weisman, OpTerra Energy - August 16-18, 2017—Hilton San Diego Resort & Spa 1775 East Mission Bay Drive, San Diego, CA 92109 For more information please contact the Urban Water Institute at (949) 679-9676 or eva@urbanwater.com URBAN WATER INSTITUTEINC. URBAN WATER INSTITUTE'S ANNUAL WATER CONFERENCE AUGUST 16-18,2017 1 REGISTRATION FORM NAME: TITLE: ORGANIZATION: ADDRESS: CITY/STATE/ZIP PHONE WORK MOBILE: EMAIL: CONFERENCE REGISTRATION FEES Registration fees include handouts, breakfasts, luncheon, breaks and receptions. Note: Self parking for hotel guests is complimentary $375 Urban Water Member Registration Fee for Conference August 16-18, 2017 (Must be a member of the Urban Water Institute with 2017 dues paid in full, for more information on memberships please contact the Urban Water Institute at (949) 679-9676 or evaeurbanwater.com) $475 Non -Member Registration Fee for Conference August 16-18, 2017 $100 Spouse Registration - Includes breakfasts, luncheon, breaks and receptions. Spouse Name For Nametag REGISTRATION INFORMATION LOCATION The 24th Annual Water Conference will be conducted at the Hilton San Diego Resort & Spa located at: 1775 E Mission Bay Dr, San Diego, CA 92109 WILL YOU STAY AT THE HILTON SAN DIEGO RESORT & SPA? Please contact the hotel directly to reserve your room, we have a special conference rate of $219 per night plus tax. To make your room reservations, call the Hilton San Diego Resort & Spa directly at (619) 276-4010 and reference Urban Water Institute. Please note the cut-off date for the group rate is July 26, 2017. Reservations can also be made online at www.Hton.com. CONFERENCE REGISTRATION (All Registrations Should Be Made In Advance) To pay by credit card visit our website www.urbanwater.com. You can register online and pay with a Visa, MasterCard or American Express. To pay by check, please complete the Registration Form and send it along with a check made payable to: Urban Water Institute: 24651 Evereve Circle, Suite 1, Lake Forest, CA 92630. After August 11, 2017 registrations will be accepted at the door on a space available basis, with an additional $25 administrative charge. CANCELLATION POLICY Cancellations must be received in writing by August 2, 2017. Faxes are accepted at (949) 305-9919. Registration fee will be refunded, less a $50 administrative charge if received by August 2, 2017. Substitutes are accepted. No refunds after August 2, 2017. The Institute reserves the right to substitute announced speakers and assumes no responsibility for personal expenses. EXHIBITOR & SPONSORSHIP INFORMATION Information on exhibiting and sponsoring may be obtained by calling (949) 679-9676 or can be found on the Urban Water Institute Website www.urbanwater.com. MAIL CONFERENCE REGISTRATION CHECKS PAYABLE TO: Urban Water Institute: 24651 Evereve Circle, Suite 1 • Lake Forest, CA 92630 Tax ID # 33-0578523 For More Information Contact the Urban Water Institute at (949) 679-9676 or eva(kurbanwater.com