HomeMy WebLinkAbout1990-10-25 - Board of Directors Meeting MinutesPage
October 25, 1990
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
October 25, 1990
The regular meeting of the Board of Directors of the Yorba Linda Water District was
called to order by Arthur C. Korn, President, at 8:30 a.m., October 25, 1990, at the District
Headquarters, 4622 Plumosa Drive, Yorba Linda. Directors present were: Sterling Fox,
Vice President Roy Knauft and President Arthur C. Korn. Director Armstrong was
absent. Also present were William Robertson, General Manager; Cheryl Gunderson,
Business Manager; Mike Robinson, Assistant Administrator; Mike Payne, Engineering
Manager; Ray Harsma, Operations Superintendent; Barbara Bower, Secretary; Kent
Byrne, Maintenance I; John Morad, Maintenance I; and, Mike Kiddie, Mechanic. Other
visitors present was Michael Harrison representing Conrad and Associates.
INTRODUCTION OF VISITORS AND PUBLIC PARTICIPATION
Item 1. Introduction of new employee John Morad, Maintenance I and promotion of
Kent Byrne to Maintenance I. Ray Harsma, Operations Superintendent, introduced new
employee John Morad, Maintenance I, and promoted employee Kent Byrne,
Maintenance I, to the Board of Directors.
The Board took a five minute break at this point in the meeting to view the District's new
valve turning truck. Mike Kiddie, Mechanic, showed the equipment's installation in the
vehicle and described how it operates.
CONSENT CALENDAR
On a motion by Director Fox and seconded by Vice President Knauft, the Board of
Directors voted 3-0 to approve the Consent Calendar as follows:
Item 2. Approval of Minutes - Regular meeting of October 11, 1990.
Item 3. Authorization for the Directors to leave the State of California prior to next
meeting.
Item 4. Approval of the Terms and Conditions for Water and Sewer Service with Frand
and Louise Marshburn for their project located south of Marshburn Circle and east of
Richfield Road, Parcel Map 89-356, Job No. 9046.
Item S. Approval to release the Guarantee Bond with W & Z Partnership in the amount
of $1,000.00 for the improvements on Lot 10 of Tract No. 11662.
Item 6. Approval to release the cash bonds with Woodcrest Development, totaling
$11,000, for their Tract's 9989, 10314 and 11729.
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October 25, 1990
Item 7. Approval of payment to Mission Management Systems, Inc. in the amount of
$12,000 for custom service hours.
Item 8. Acceptance of the Treasurer's Report for September 30, 1990.
Item 9. Approval of damage claim by Francis McBride in the amount of $254.56.
DISCUSSION CALENDAR
Item 10. Approval to dedicate a Deed of Right-of-Way to the City of Placentia at the
southeast corner of the District's Richfield Road property - this matter was continued
from the Board's October 11, 1990 meeting. Mike Payne, Engineering Manager,
reported that a condition of development for the property south of the District's Plant No.
1 site, the developer is required to construct improvements to Richfield Road that will
encroach on District property. In order to accommodate these improvements, the District
has been asked to dedicate to the City of Placentia a 45 foot by 15 foot portion of land
for Richfield Road Right-of-Way. Mr. Payne reported that in return for dedicating the
Right-of-Way, the developer will install curb and gutter improvements in the property
deeded by the District. Following a general discussion, and on a motion by Vice
President Knauft and seconded by Director Fox, the Board of Directors voted 3-0 to
approve a Deed of Right-of-Way to the City of Placentia and authorize the President and
Secretary to execute the Deed of Right-of-Way subject to review and approval as to form
by Legal Counsel.
Item 11. Report on the proposed construction budget for the Camino De Bryant
Pipeline. Mike Payne, Engineering Manager, reported on the scope of work involved
with the Camino De Bryant pipeline project. Mr. Payne reported that, in accordance with
a reimbursement agreement, the developer secured construction bids and submitted
them to the District for approval of an overall construction budget. He then reported that
the District staff reviewed the construction bids, overall budget amount and recommend
approval by the Board. On a motion by Director Fox and seconded by Vice President
Knauft, the Board of Directors voted 3-0 to approve the proposed construction budget for
the Camino De Bryant Pipeline in the amount of $314,671.00.
Item 12. Report on Audited Financial Statements for the Years ending June 30, 1990
and 1989. Cheryl Gunderson, Business Manager, began this report by stating that the
District had received an Unqualified Opinion from Conrad and Associates, the District's
Auditors, on the District's financial statements. Mrs. Gunderson stated that the financial
statements materially represent the financial condition of the District. Mrs. Gunderson
introduced Mr. Michael Harrison of Conrad and Associates, who reviewed the assets
and liabilities with the Board. Mr. Harrison also reviewed the combined statements of
revenues, prior year adjustments of annexation revenues and new cash flow portion of
the Audit. There was a general discussion by the Board with regard to the Finance
Committee review, Management Letter, and that this is a two year audit. On a motion by
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October 25, 1990
Director Fox and seconded by Vice President Knauft, the Board of Directors voted 3-0 to
accept the Audited Financial Statements for the Years ending June 30, 1990 and 1989.
Item 13. Report on the Financial Statements for the one month ended July 31, 1990.
Cheryl Gunderson, Business Manager, reviewed the Financial Statements for the one
month period ended July 31, 1990 and reported that the District's financial position after
the first month was better than last year. The loss shown for Improvement District No. 1
and 2 was due to the fact that tax revenues have not arrived yet and will improve as tax
revenues arrive from the County. Following a general discussion with regard to the
increase in assets and accrual method of accounting for tax revenue, and on a motion
by Director Fox and seconded by Vice President Knauft, the Board of Directors voted 3-0
to accept the Financial Statements for the one month ended July 31, 1990.
Item 14. Consideration of the Association of California Water Agency's 1991
membership dues. Michael Robinson, Assistant Administrator, reported that ACWA's
invoice for 1991 membership dues, in the amount of $4,789, is $789 more than the
amount allocated in the Adopted 1990-91 Annual Budget. The Board was very
concerned about the increase and noted preference to pay for special projects as they
come up instead of increasing membership dues. Following a general discussion of
ACWA's role, and on a motion by Vice President Knauft and seconded by Director Fox,
the Board of Directors voted 3-0 to renew the District's 1991 membership in ACWA in
the amount of $4,789.
GENERAL MANAGER'S REPORT
Item 15. General Manager's oral report and comments. William Robertson, General
Manager, reported on the District's plans for the upcoming Fiesta Days Parade and
confirmed that Vice President Knauft and Director Fox will join Director Armstrong on the
float. In addition, Mr. Robertson reviewed a letter addressed to the Board from Ms.
Greeninger protesting the $10 door tag fee, and a draft of the District's response which
discusses the purpose of the fee.
STANDING COMMITTEE REPORT
Item 16. No Executive-Administrative-Organizational Committee report was
scheduled.
Item 17. Report on Finance-Accounting Committee meeting of October 10, 1990. The
Committee noted that written minutes of the October 10th Finance Committee meeting
were included in the Agenda packet.
Item 18. Authorization for Payment of Bills. On a motion by Vice President Knauft and
seconded by Director Fox, the Board of Directors voted 3-0 to approve payment of bills,
payroll and refunds in the amount of $720,980.53 on Check Nos. 5538, 5539, 5560
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October 25, 1990
through 5564 and 6612 through 6712; and Payroll Check Nos. 4669 through 5919; and
two wires, one dated October 29, 1990 to ACWA in the amount of $13,365.24 and one
dated October 31, 1990 to Bank of America in the amount of $551,798.75.
Item 19. Report on Personnel Committee meeting of October 8, 1990 . The Committee
noted that written minutes of the October 8th Personnel Committee meeting were
included in the Agenda packet.
Item 20. Report on Planning-Engineering-Operations Committee meeting of October 9,
1990. The Committee noted that written minutes of the the October 9th
Planning-Engineering-Operations Committee meeting were included in the Agenda
packet.
Item 21. No Public Information Committee meeting report was scheduled.
INTERGOVERNMENTAL MEETINGS
Item 22. Report on the CSDA meeting, October 12. President Korn had no report.
Item 23. Report on the City Council meeting, October 16. Vice President Knauft
reported that nothing of interest to the District was discussed at the October 16th City
Council meeting.
Item 24. Report on MWDOC meeting, October 17. Vice President Knauft had no report.
Item 25. Report on OCWD meeting, October 17, 1990. Director Fox had no report.
Item 26. Report on Planning Commission, October 24, 1990. President Korn reported
that nothing of interest to the District was discussed at the October 24th Planning
Commission meeting.
BOARD MEMBER COMMENTS
Item 27. Director Armstrong: Director Armstrong was absent.
Item 28. Director Fox: Director Fox had no comments.
Item 29. Vice President Knauft: Vice President Knauft had no comments.
Item 30. President Korn: President Korn had no comments.
BOARD OF DIRECTORS ACTIVITY CALENDAR
The Board filled in assignments for the period between October 25, 1990 and November
8, 1990. Assignments after November 8, 1990 will be made at the November 8th Board
meeting.
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October 25, 1990
CLOSED SESSION
There was no closed session.
ADJOURNMENT
On a motion by Vice President Knauft and seconded by Director Fox, the Board of
Directors voted 3-0 to adjourn the meeting at 9:20 a.m.
General Manager/Secretary