HomeMy WebLinkAbout1992-12-08 - Board of Directors Meeting MinutesPage -
December 8, 1992
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS ADJOURNED REGULAR MEETING
December 8, 1992
The December 8, 1992, Adjourned Regular Meeting of the Yorba Linda Water District Board of
Directors was called to order by Paul R. Armstrong, President, at 8:30 a.m. The meeting was
held at the District Headquarters located at 4622 Plumosa Drive, Yorba Linda.
Directors =ent at Roll Call:
President Paul R. Armstrong
Vice President Sterling L. Fox
Michael J. Beverage
Arthur C. Kom
Carl T. Scanhn
Directors absent at Roll Call:
None.
Staff present:
William Robertson, Secretary/General Manager
Barbara Bower, Secretary to the General Manager
Charles Gray, Engineering Manager
Ray Harsma, Operations Superintendent
Roger Lubin, Executive Ass't to General Manager
Beverly Meza, Business Manager
Michael Payne, Assistant General Manager
Michael Robinson, Assistant Administrator
Visitors Present:
Nancy Lemieux, North Tahoe Public Utilities District
SPECIAL. RECOGNITION
Item 1. President Paul R. Armstrong formally welcomed Michael J. Beverage to the Board of
Directors.
CONSENT CALENDAR
Prior to voting on the Consent Calendar, General Manager Robertson reported that Item No. 5
was incorrectly shown on the Consent Calendar and it is Item No. 8 on the Action Calendar. On
a motion by Director Beverage, seconded by Director Scanlin, the Board of Directors voted 5-0
to approve Consent Calendar as follows:
Item 2. Minutes of the Adjourned Regular meeting of November 24,1992.
Item 3. Authorization for the Directors to leave the State of California prior to next meeting.
Item 4. Payment of bills, payroll and refunds in the amount of $426,258.51 on Check Nos.
12455 through 12519; and Payroll Check Nos. 4331 through 4396; and one wire to MWDOC in
the amount of $246,346.85 dated December 12, 1992.
Item 5. Deleted from Consent Calendar because it appears as Item No. 8 on the Action
Calendar,
Item b. Approval to release the Cash Bond in the amount of $2,700.00 with Shinnyo-En of
California for the water facilities located at 18111 Bastanchury Road.
ACTION CALENDAR
Item 7. Consideration of reimbursement of construction costs for the installation of a 12 inch
transmission water main and Zone 3-2 pressure reducing station in Fairmont Boulevard. Charles
Gray, Engineering Manager, reported the actual cost to install the transmission water pipe and
pressure reducing station were greater than estimated in the agreement, therefore, staff
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December 8, 1992
recommended amending the agreement. W. Gray also reported the project is completed to the
District's satisfaction. The Board discussed the estimated cost shown in the Five Year Plan. Mr.
Gray reported the project was underestimated.
On a motion by Director Korn, seconded by Vice President Fox, the Board of Directors voted 5-
0 to amend the water service agreement with Lusk Company by increasing the reimbursement
amount with Section No. 2 to $81,413.00 and approve payment to the Lusk Company for
reimbursement of construction costs for the 12 inch transmission water main and Zone 3-2
pressure reducing station in Fairmont Boulevard.
Item 8. Consideration of payment to L&S Construction, Incorporated and filing of a Notice of
Completion for water improvement in Main Street. Charles Gray, Engineering Manager,
reported the Main Street project is now complete and ready for final approval. Mr. Gray reported
extra costs included lowering a fire hydrant at the Districts request and paying $1,400, which is
one-half, of the contractors cost for extra liability insurance. There was a general discussion
about the four inch water line that was abandoned and paying insurance costs. Mr. Gray also
reported that all homeowners were offered the opportunity to connect to the sewer while the
street was under repair but that no one wanted to connect.
On a motion by Vice President Fox, seconded by Director Korn, the Board of Directors voted 5-
0 to authorize payment to L&S Construction, Incorporated, in the amount of $46,528.20; file a
Notice of Completion; release Labor and Material Bond and 10 percent retention totaling
$5,169.80, 35 days after the Notice of Completion has been recorded, if no liens have been filed
and, release the Faithful Performance Bond in one year if no defects have been found, Job No.
9216.
Item 9. Consideration of the Financial Statements for the four months ended October 31, 1992.
Beverly Meza, Business Manager, reviewed the financial statements. Ms. Meza reported the
water fund was affected by increased imported and groundwater costs, all funds are affected by
lower interest earnings, new water rates are not in effect, and the loss of property tax will show
up after January 1, 1993. Director Korn thanked staff for the new format and staff's report on
interpretation of the data. The Board then discussed billing/revenue cycles.
On a motion by Director Korn, seconded by President Armstrong, the Board of Directors voted
5-0 to accept the Financial Statements for the four months ended October 31, 1992, as presented.
Item 10. Consideration to solicit proposals for a three year Fuel Purchase Contract(s). Ray
Harsma, Operations Superintendent, reported it is time to solicit proposals to renew the three
year fuel contract(s). Mr. Harsma reviewed details of the current contracts. The Board
discussed discounts and process to solicit proposals.
On a motion by Director Beverage, seconded by Director Korn, the Board of Directors voted 5-0
to authorize staff to solicit proposals for a gasoline and/or diesel fuel contract for the next three
year period.
Item 11. Consideration to solicit proposals for a one year Paving Contract. Ray Harsma,
Operations Superintendent, reported it is time to solicit proposals to renew the one year paving
contract. Mr. Harsma went on to review details of the current contract.
On a motion by Vice President Fox, seconded by Director Korn, the Board of Directors voted 5-
0 to authorize staff to solicit proposals for a one year paving contract.
Item 12. Consideration of Association of California Water Agencies and California Special
Districts Association annual membership dues - continued from November 12, 1992, Board of
Directors meeting. William Robertson, General Manager, reported the Board wanted to defer
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December 8, 1992
consideration of 1993 annual ACWA and CSDA membership dues until after the ACWA Fall
Conference so that Directors could have the opportunity to discuss this matter with other
agencies. The Board held a lengthy discussion of the value received by each association and cost
of dues.
On a motion by Director Beverage, seconded by President Armstrong, the Board of Directors
voted 5-0 to authorize payment of 1993 annual ACWA and CSDA membership dues in the
amount billed by each association.
GENERAL MANAGER'S REPORT
Item 13. General Manager's oral report and comments. William Robertson, General Manager,
discussed the following:
1. Latest information from MWD is that they will continue with IICP Stage 1, Voluntary,
conservation measures for the foreseeable future. MWD's total water supply will be from
increased Colorado River deliveries, local conservation, groundwater pumping and SWP
deliveries will be augmented with purchases from farmers, if necessary.
2. Distributed a revised copy of Art Bruington's report.
3. Mike Payne reported the recent rains caused the Corps. of Engineers to open the flood
gates at Prado Dam much earlier and wider than usual.
LEGAL COUNSEL'S REPORT
Item 14. Legal Counsel's oral report and comments. Mr. Arthur G. Kidman reported that
recent court decisions may make meetings of standing Committees subject to the Brown Act so
the Board may wish to consider action in that direction. Mr. Kidman went on to report on
legislative matters, the tax shift legal challenge and that OCWD filed a lawsuit against upstream
water reclamation agencies who wanted to sell reclaimed water outside the Orange County basin.
STANDING COMMITTEE REPORTS
Item 15. Report on Executive-Administrative-Organizational Committee held on November 6.
The Committee discussed the Section 125 Administrator problems, S&S land swap, Board
reorganization issues, Board Goals Workshop and Director Knauft's retirement event.
President Armstrong assigned Director Beverage to the Finance-Accounting and Personnel-Risk
Management Committee's.
Item 16. A Finance-Accounting meeting was scheduled for Friday, December 18 at 9:00 a.m..
Item 17. No Personnel Committee meeting was held.
Item 18. No Planning-Engineering-Operations Committee meeting was held.
Item 19. No Public Information Committee meeting was held.
INTERGOVERNMENTAL. MEETINGS
Item 20. Report on Yorba Linda Planning Commission meeting, November 12. Director
Scanlin reported the Planning Commission discussed the General Plan, there will not be a
meeting on December 30, and the Commission received the District's Annual Report.
Item 21. Report on Yorba Linda City Council meeting, November 17. Director Scanlin
reported that nothing of interest to the District was discussed at the November 17, Council
meeting.
Item 22. Report on OCWD meeting, November 18. Director Scanhn reported that OCWD is
drilling new wells to monitor sea water intrusion, the staff will fill 4 out of 18 vacant positions
and the cost for SWP water this year is about $1000 per acre foot.
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December 8, 1992
Item 23. Report on Yorba Linda Planning Commission meeting, December 1. Director Scanlin
did not attend.
Item 24. Report on SDWCA meeting. Director Korn reported that the District can look
forward to more mandatory OSHA compliance, all workers compensation claims are down
compared to last year and our premium will go up beginning next year, and stay up for the next
three years, because of our extraordinary workers compensation claim.
BOARD MEMBER COMMENTS
Item 25. Director Beverage did not have any comments.
Item 26. Director Korn did not have any comments.
Item 27. Director Scanlin reported on the ACWA Public Affairs committee meeting and the
California Water awareness school program.
Item 28. Vice President Fox reported on the ACWA Personnel Committee activities and that
Roger Lubin did a very good job with his presentation at the conference.
Item 29. President Armstrong reported on the ACWA Financial Committee activities and the
District received an award for low liability claims.
President Armstrong declared a recess beginning at 10:06 a.m. and stated the meeting will
reconvene into closed session.
CLOSED SESSION
The meeting reconvened into Closed Session at 10:18 a.m. All Directors, and General Manager,
Executive Assistant to the General Manager, Business Manager and District legal counsel
attended the Closed Session.
Item 30. Consideration of Action against the Administrator of the District's 125 Plan for MSC
Employees. On a motion by Director Beverage, seconded by Vice President Fox, the Board of
Directors voted 5-0 to come out of closed session at 11:15 a.m.
On a motion by Vice President Fox, seconded by Director Scanlin, the Board of Directors voted
4-1, President Armstrong voted no, to authorize: the District to pay employees for unpaid claims
they filed with Delft Corp./Pacific Datapath Inc.; action in small claims court for balance of
money owed to District employees by Delft Corp./Pacific Datapath Inc. if they fail to perform;
the staff to administer the Section 125 Plan on an interim basis; and, staff to complete
investigations of outside administrators and present a recommendation to the Board at a later
date.
BOARD OF DIRECTORS ACTIVITY CALENDAR
The Board of Directors reviewed the Activity Calendar and made assignments through January
13, 1993.
ADJOURNMENT
On a motion by Director Korn, seconded by Director Beverage, the Board of Directors voted 5-
0, at 11:24 a.m., to adjourn to Tuesday, December 22, 1992, at 8:30 a.m., at the District
headq on Plumo Drive.
Wi am J. o rtson
General Manager/Secretary