HomeMy WebLinkAbout2018-08-28 - Board of Directors Meeting Agenda Packet (B)
AGENDA
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Tuesday, August 28, 2018, 6:30 PM
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
2. PLEDGE OF ALLEGIANCE
3. ROLL CALL
Al Nederhood, President
Brooke Jones, Vice President
Andrew J. Hall, Director
Phil Hawkins, Director
J. Wayne Miller, 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 the Board of Directors Regular Meeting Held July 10, 2018
Recommendation: That the Board of Directors approve the minutes as presented.
7.2. Minutes of the Board of Directors Special Meeting Held July 24, 2018
Recommendation: That the Board of Directors approve the minutes as presented.
7.3. Authorization of Director Attendance at Conferences, Seminars, and Special Events
Recommendation: That the Board of Directors approve Director attendance at the
Water Education Foundation Summit on September 20, 2018.
7.4. Vehicle Replacement for Operations Department
Recommendation: That the Board of Directors authorize the General Manager
to purchase three vehicles from George Chevrolet for $81,558.66 and $5,000 for
vehicle equipment, totaling in $86,558.66.
7.5. Payments of Bills, Refunds, and Wire Transfers
Recommendation: That the Board of Directors ratify and authorize disbursements in
the amount of $1,276,331.84.
8. 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.
8.1. MWDOC's Water Use Efficiency Programs and Initiatives (Nederhood)
8.2. Unaudited Financial Statements for the Fourth Quarter of FY18
9. REPORTS, INFORMATION ITEMS, AND COMMENTS
9.1. Directors' Reports
9.2. General Manager's Report
9.3. General Counsel's Report
9.4. Future Agenda Items and Staff Tasks
10. COMMITTEE REPORTS
10.1. Interagency Committee with MWDOC and OCWD
(Nederhood/Jones)
· Minutes of meeting held July 26, 2018 at 4:00 p.m. will be provided when available.
· Next meeting scheduled September 27, 2018 at 4:00 p.m.
10.2. Joint Agency Committee with City of Yorba Linda
(Nederhood/Jones)
· Next meeting scheduled September 10, 2018 at 4:00 p.m. at YL City Hall.
10.3. Joint Agency Committee with City of Placentia
(Nederhood/Jones)
· Next meeting yet to be scheduled.
11. INTERGOVERNMENTAL MEETINGS
11.1. MWDOC Board - August 15, 2018 (Nederhood/Jones)
11.2. OCWA Luncheon - August 15, 2018 (Jones/Miller/Nederhood)
11.3. OCWD Board - August 15, 2018 (Miller/Jones)
11.4. YL Planning Commission - August 15, 2018 (Hawkins - As Needed)
11.5. YL City Council - August 21, 2018 (Hall)
11.6. UWI Conference - August 22-24, 2018 (Jones/Nederhood)
11.7. OCSD Board - August 22, 2018 (Hawkins)
11.8. ACWA Water Quality Committee Meeting - August 23, 2018 (Miller)
12. BOARD OF DIRECTORS ACTIVITY CALENDAR
12.1. Meetings from August 29 - October 31, 2018
13. ADJOURNMENT
13.1. The next Regular Board of Directors Meeting will be held Tuesday, September 11,
2018. 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.
ITEM NO. 7.1
AGENDA REPORT
Meeting Date: August 28, 2018
Subject:Minutes of the Board of Directors Regular Meeting Held July 10, 2018
STAFF RECOMMENDATION:
That the Board of Directors approve the minutes as presented.
ATTACHMENTS:
Name:Description:Type:
2018-07-10_-_Minutes_-_BOD_(B).docx Minutes Minutes
Minutes of the YLWD Board of Directors Regular Meeting Held July 10, 2018 at 6:30 p.m. 1
2018-XXX
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS REGULAR MEETING
Tuesday, July 10, 2018, 6:30 p.m.
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
The meeting was called to order at 6:36 p.m.
2. PLEDGE OF ALLEGIANCE
3. ROLL CALL
DIRECTORS PRESENT STAFF PRESENT
Al Nederhood, President Marc Marcantonio, General Manager
Brooke Jones, Vice President Brett Barbre, Assistant General Manager
Andrew J. Hall John DeCriscio, Operations Manager
Phil Hawkins Gina Knight, HR/Risk and Safety Mgr (Arrived 6:45 p.m.)
J. Wayne Miller Delia Lugo, Finance Manager
Rosanne Weston, Engineering Manager
Annie Alexander, Exec Asst/Board Secretary
Mike Carreon, Facilities Maintenance Worker
Kaden Young, Management Analyst
ALSO PRESENT
Andrew Gagen, Partner, Kidman Gagen Law LLP
Chris Palmer, Field Affairs Coordinator, Special District Leadership Foundation (SDLF)
Deven Upadhyay, Asst GM/COO, Metropolitan Water District of Southern CA (MET)
Rob Hunter, General Manager, Municipal Water District of Orange County (MWDOC)
Karl Seckel, Asst General Manager, Municipal Water District of Orange County
4. ADDITIONS/DELETIONS TO THE AGENDA
General Manager Marc Marcantonio requested to remove Item No. 5.1. from the
agenda as the student was unable to attend.
5. INTRODUCTIONS AND PRESENTATIONS
5.1. Recognition of MWDOC Water Awareness Poster Contest Winner
5.2. Presentation of Special District Leadership Foundation District
Transparency Certificate of Excellence Renewal
Minutes of the YLWD Board of Directors Regular Meeting Held July 10, 2018 at 6:30 p.m. 2
2018-XXX
Chris Palmer from SDLF reviewed the requirements for the District
Transparency Certificate and presented the Board with a renewal through
June 2020.
5.3. Elected Official Liaison Reports
Assistant General Manager Brett Barbre, in his capacity as Director for
MWDOC and MET, reported on the recent activities of both agencies.
5.4. Status of District Investments Held in Public Agency Retirement Services
(PARS) Post-Employment Benefits Trust (Miller)
Assistant General Manager Barbre indicated this matter would need to be
rescheduled for a future meeting as the representative from PARS was
unable to attend.
5.5. Overview of Metropolitan Water District of Southern California’s (MET)
Local Resources Program and Integrated Water Resources Plan and
Municipal Water District of Orange County’s (MWDOC) Orange County
Reliability Study
Deven Upadhyay from MET and Rob Hunter and Karl Seckel from
MWDOC reviewed the above listed topics.
6. PUBLIC COMMENTS
Pat Nelson (resident), commented on recent legislation regarding long-term
standards for indoor and outdoor residential water use.
Julia Schultz (resident), commented on the same legislation and invited all to
attend a local water education meeting on July 11, 2018.
7. CONSENT CALENDAR
Director Hawkins made a motion, seconded by Director Miller, to approve the
Consent Calendar. Motion carried 5-0-0-0 with Director Hall abstaining from
voting on Item Nos. 7.2. and 7.4.
7.1. Minutes of the Board of Directors Regular Meeting Held May 22, 2018
Recommendation: That the Board of Directors approve the minutes as
presented.
Minutes of the YLWD Board of Directors Regular Meeting Held July 10, 2018 at 6:30 p.m. 3
2018-XXX
7.2. Minutes of the Board of Directors Workshop Meeting Held May 23, 2018
Recommendation: That the Board of Directors approve the minutes as
presented.
7.3. Minutes of the Board of Directors Workshop Meeting Held May 30, 2018
Recommendation: That the Board of Directors approve the minutes as
presented.
7.4. Minutes of the Board of Directors Special Meeting Held June 5, 2018
Recommendation: That the Board of Directors approve the minutes as
presented.
7.5. Payments of Bills, Refunds, and Wire Transfers
Recommendation: That the Board of Directors ratify and authorize
disbursements in the amount of $825,519.89.
7.6. Increased Assessment Affecting District Property Located in Local
Landscaping Zone L-2V of the City of Yorba Linda Street Lighting and
Landscaping Maintenance District
Recommendation: That the Board of Directors vote in favor of the
increased assessment for Assessor’s Parcel Number 352-052-10 and
authorize staff to complete and submit the ballot as required.
8. DISCUSSION ITEMS
8.1. Status of Operations Activities
Staff reviewed the status of water purchases, groundwater production, and
preventative maintenance and leak detection activities for FY18.
9. REPORTS, INFORMATION ITEMS, AND COMMENTS
9.1. Directors' Reports
None.
9.2. General Manager's Report
General Manager Marcantonio reported on staff’s work related to the
FY19 budget and his upcoming meeting attendance. He then asked each
of the managers to report on activities within their respective departments.
Minutes of the YLWD Board of Directors Regular Meeting Held July 10, 2018 at 6:30 p.m. 4
2018-XXX
9.3. General Counsel’s Report
None.
9.4. Future Agenda Items and Staff Tasks
President Nederhood requested an item on a future agenda to discuss
options for OC LAFCO dues.
10. COMMITTEE REPORTS
10.1. Interagency Committee with MWDOC and OCWD
(Nederhood/Jones)
Next meeting is scheduled July 26, 2018 at 4:00 p.m.
10.2. Joint Agency Committee with City of Yorba Linda
(Nederhood/Jones)
Minutes of the meeting held June 4, 2018 at 4:00 p.m. to be
provided when available.
Next meeting is scheduled September 10, 2018 at 4:00 p.m. at YL
City Hall.
10.3. Joint Agency Committee with City of Placentia
(Nederhood/Jones)
Next meeting yet to be scheduled.
11. INTERGOVERNMENTAL MEETINGS
The Directors noted their attendance at the following meetings and events.
11.1. OCSD Board – June 27, 2018 (Hawkins)
11.2. ISDOC – June 28, 2018 (Hawkins/Nederhood)
11.3. MWDOC Board – July 3, 2018 (Nederhood/Jones)
11.4. WACO – July 6, 2018 (Hawkins/Nederhood)
11.5. ISDOC Executive Committee – July 10, 2018 (Nederhood)
Minutes of the YLWD Board of Directors Regular Meeting Held July 10, 2018 at 6:30 p.m. 5
2018-XXX
12. BOARD OF DIRECTORS ACTIVITY CALENDAR
12.1. Meetings from July 11 – September 30, 2018
The Board made no changes to the activity calendar.
13. ADJOURNMENT
13.1. The meeting was adjourned at 9:02 p.m.
Annie Alexander
Board Secretary
ITEM NO. 7.2
AGENDA REPORT
Meeting Date: August 28, 2018
Subject:Minutes of the Board of Directors Special Meeting Held July 24, 2018
STAFF RECOMMENDATION:
That the Board of Directors approve the minutes as presented.
ATTACHMENTS:
Name:Description:Type:
2018-07-24_-_Minutes_-_BOD_(A).doc Minutes Minutes
Minutes of the YLWD Board of Directors Special Meeting Held July 24, 2018 at 5:30 p.m. 1
2018-XXX
MINUTES OF THE
YORBA LINDA WATER DISTRICT
BOARD OF DIRECTORS SPECIAL MEETING
Tuesday, July 24, 2018, 5:30 p.m.
1717 E Miraloma Ave, Placentia CA 92870
1. CALL TO ORDER
The meeting was called to order at 5:31 p.m.
2. ROLL CALL
DIRECTORS PRESENT STAFF PRESENT
Al Nederhood, President Marc Marcantonio, General Manager
Brooke Jones, Vice President Brett Barbre, Assistant General Manager
Andrew J. Hall Gina Knight, HR/Risk and Safety Manager
Phil Hawkins Annie Alexander, Executive Asst/Board Secretary
J. Wayne Miller
ALSO PRESENT
Tiffany Ackley, Attorney, Kidman Gagen Law LLP
3. PUBLIC COMMENTS
None.
4. CLOSED SESSION
The meeting was adjourned to Closed Session at 5:32 p.m. All Directors were
present. Also present were General Manager Marc Marcantonio, Assistant
General Manager Brett Barbre, HR/Risk and Safety Manager Gina Knight, and
Attorney Tiffany Ackley.
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: Irvine Ranch Water District vs. Orange County Water
District (Los Angeles County Superior Court - Case No. 00858584)
General Manager Marcantonio and Assistant General Manager Barbre left the
Closed Session at 5:37 p.m.
Minutes of the YLWD Board of Directors Special Meeting Held July 24, 2018 at 5:30 p.m. 2
2018-XXX
4.2. Public Employee Performance Evaluation
Pursuant to Section 54957 of the California Government Code
Title: General Manager
The Board reconvened in Open Session at 6:39 p.m. Attorney Ackley stated that
no action was taken during Closed Session that was required to be reported
under the Brown Act.
5. ADJOURNMENT
5.1. The meeting adjourned at 6:39 p.m.
Annie Alexander
Board Secretary
ITEM NO. 7.3
AGENDA REPORT
Meeting Date: August 28, 2018
To:Board of Directors
From:Marc Marcantonio, General
Manager
Prepared By:Annie Alexander, Executive
Assistant
Subject:Authorization of Director Attendance at Conferences, Seminars, and Special
Events
SUMMARY:
The Board routinely authorizes Director attendance at meetings and events for the purposes of
compensation.
STAFF RECOMMENDATION:
That the Board of Directors approve Director attendance at the Water Education Foundation
Summit on September 20, 2018.
ATTACHMENTS:
Name:Description:Type:
WEF_Summit.pdf Backup Material Backup Material
Water Education Foundation’s 35th Annual Water Summit
Now celebrating its 35th anniversary, the
Water Summit is the go-to event of the year!
Meet other water professionals, policymakers, farmers and
concerned citizens to learn about and discuss the most pressing
water issues facing California and the West.
At this year’s Summit:
• Hear the most current water news and views from top
policymakers, environmentalists, farmers and more.
• Catch up with colleagues and make new connections
during networking breaks.
• Enjoy a gourmet lunch and evening wine & appetizer
reception along the beautiful Sacramento River.
• Bid on fun multiday tours, lunch with key water policy wonks,
sporting events, meals at top restaurants, artwork and
more during the Water Leaders silent auction.
Critical Conversations about Water in California and the West
For more information, visit: www.watereducation.org/WEFSummit2018
#WEFSummit2018
Thursday, September 20, 2018
The Westin Sacramento
4800 Riverside Blvd., Sacramento, CA
Facing Reality from the Headwaters to the Delta
om om Save
the Date!thethe Date!Date!
Sept. 20
Facing Reality from the SEP
2o
Headwaters to the Delta
�
The Water Education
Foundation's 35th
-- Annual Water Summit
by Water Education Foundation
$100—$385
DESCRIPTION DATE AND TIME
Now celebrating its 35th anniversary,the Water Summit is the go-to Thu, September 20,2018
event of the year! 9:30 AM—6:30 PM PDT
Add to Calendar
The daylong conference will feature critical conversations about water
in California and the West revolving around the event theme:Facing
Reality from the Headwaters to the Delta. LOCATION
It is an ideal event for water district managers,staff and board The Westin Sacramento
members,state and federal agency officials,city and county 4800 Riverside Boulevard
government officials,farmers,environmentalists,attorneys, Sacramento, CA 95822
consultants,engineers, business executives and public interest View Map
groups.
ITEM NO. 7.4
AGENDA REPORT
Meeting Date: August 28, 2018 Budgeted:Yes
Total Budget:$105,000
To:Board of Directors Cost Estimate:$86,558.66
Funding Source:Water Operating
Fund
From:Marc Marcantonio, General
Manager
Presented By:John DeCriscio, Operations
Manager
Dept:Operations
Reviewed by Legal:N/A
Prepared By:Harold Hulbert, Operations
Assistant
CEQA Compliance:N/A
Subject:Vehicle Replacement for Operations Department
SUMMARY:
In the FY19 District Capital Outlay Budget, funds were approved to purchase replacement vehicles
for the Operations Department. In compliance with the District’s purchasing policy, Staff prepared
vehicle specifications and received quotes from: George Chevrolet, Guaranty Chevrolet, and
Selman Chevrolet.
STAFF RECOMMENDATION:
That the Board of Directors authorize the General Manager to purchase three vehicles from George
Chevrolet for $81,558.66 and $5,000 for vehicle equipment, totaling in $86,558.66.
DISCUSSION:
During the budget process, the District’s Mechanical Services Division determined that two (2) full
size pickup trucks for the Production Division and two (2) full size pickup trucks for the Water
Maintenance Division would needed to meet the divisions’ needs. One of the four trucks has already
been purchased in FY18. As such, the Department will move forward with the purchase of three (3)
additional trucks as outlined in FY19 Budget.
The quote from the dealerships are for three (3) 2019 Chevrolet Silverado C1500 Double Cab
Trucks. These new vehicles will replace the following trucks:
• Ops 156- A 2003 Ford 1/ 2 ton F150 with 99,000 miles
• Ops 164- A 2004 GMC ½ ton Sierra with 106,000 miles
• Ops 172- A 2006 Ford F150 ½ ton pickup with 104,000 miles (requires major repairs)
The quotes that Staff received are listed per unit and total cost:
• George Chevrolet: $27,186.22 per unit;
$81,558.66 Total Cost
• Selman Chevrolet: $28,916.78 per unit;
$86,750.34 Total Cost
• Guaranty Chevrolet: $29,559.84 per unit;
$88,679.52 Total Cost
An additional $5,000 would be spent on a tool boxes, safety lighting and miscellaneous equipment
for all of the trucks.
ITEM NO. 7.5
AGENDA REPORT
Meeting Date: August 28, 2018 Budgeted:Yes
To:Board of Directors Cost Estimate:$1,276,331.84
Funding Source:All Funds
From:Marc Marcantonio, General
Manager
Presented By:Delia Lugo, Finance Manager Dept:Finance
Reviewed by Legal:N/A
Prepared By:Richard Cabadas, Accounting
Assistant I
CEQA Compliance:N/A
Subject:Payments of Bills, Refunds, and Wire Transfers
SUMMARY:
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 $1,276,331.84.
DISCUSSION:
The items on this disbursement list include: a check of $43,239.68 to CalCard US Bank for July
2018 credit card transactions; a check of $65,323.62 to Kidman Law for July 2018 legal services; a
check of $53,849.68 to Pacific Hydrotech Corporation for Fairmont Booster Pump Station Progress
Payment #20; a wire of $56,782.54 to So. California Edison for July 2018 electricity charges at
multiple locations; a wire of $41,118.05 to So. California Gas Co. for July 2018 gas charges at
multiple locations; and a wire of $576,112.04 to MWDOC for June 2018 water purchases. The
balance of $131,151.25 is for routine invoices.
The Accounts Payable Check Register total is $967,576.86 and Payroll No. 16 total is $308,754.98,
where the total of all listed disbursements for this agenda report is $1,276,331.84. A summary of
the disbursements is attached.
PRIOR RELEVANT BOARD ACTION(S):
The Board of Directors approves bills, refunds and wire transfers semi-monthly.
ATTACHMENTS:
Name:Description:Type:
18-CS_0828.pdf CAP SHEET Backup Material
CkReg082818.pdf CHECK REGISTER Backup Material
18_CC_0828.pdf CREDIT CARD SUMMARY Backup Material
Summary of Disbursements
August 28, 2018
CHECK NUMBERS & WIRES:
Computer Checks 72750—72824 $ 293,564.23
____________
$ 293,564.23
WIRES:
W081418 So. California Edison $ 56,782.54
W081418A So. California Gas Co. $ 41,118.05
W081518 MWDOC $ 576,112.04
____________
$ 674,012.63
TOTAL OF CHECKS & WIRES $967,576.86
PAYROLL NO. 16:
Direct Deposits $ 193,788.97
Third Party Checks 7005—7011 $ 22,188.18
Payroll Taxes $ 53,071.34
EFT – CalPERS Payroll #16 $ 39,706.49
$ 308,754.98
TOTAL OF PAYROLLS $308,754.98
----------------------------------------------------------------------------------------------------------------------
DISBURSEMENT TOTAL: $1,276,331.84
==================================================================
APPROVED BY THE BOARD OF DIRECTORS MINUTE ORDER AT BOARD
MEETING OF AUGUST 28, 2018
==================================================================.
Check No.Date Vendor Name Amount Description
72773 08/28/2018 Advanced Infrastructure 868.38 TOOLS & EQUIPMENT
72774 08/28/2018 Albert A. Webb Associates 10,281.26 J09-22#22 - PROFESSIONAL ENGINEERING SERVICES
72770 08/28/2018 AMERIPACIFIC INDUSTIRAL CORP 379.91 CUSTOMER REFUND
72756 08/28/2018 ANN STEFANO 83.45 CUSTOMER REFUND
72775 08/28/2018 Annie Alexander 38.67 REIMBURSEMENT - OFFICE SUPPLIES
72776 08/28/2018 Aqua-Metric Sales Co.4,628.94 OPERATION WORK MATERIAL
72782 08/28/2018 ARC 321.78 J14-11 & J17-24 - PW DOC/BID MANAGEMENT
72778 08/28/2018 AT & T - Calnet3 1,893.70 ATT CALNET3
72777 08/28/2018 ATS Communications 1,120.00 PROFESSIONAL SERVICES - 04/18 - 08/18
72760 08/28/2018 BRIAN WILDHAGEN 114.38 CUSTOMER REFUND
72779 08/28/2018 BrightView Tree Care Services Inc.1,824.70 LANDSCAPE SERVICE - AUGUST2018
72784 08/28/2018 C. Wells Pipeline 148.70 ULTRA FLEX END CAPS
72780 08/28/2018 CalCard US Bank 43,239.68 CREDIT CARD TRANSACTIONS - JULY 2018
72772 08/28/2018 CALIFORNIA REAL ESTATE RESOURCES 61.49 CUSTOMER REFUND
72781 08/28/2018 CDW Government, Inc 105.60 DATACARD LAMINATE 1.0 MIL CLEA
72757 08/28/2018 CHARLES LANE 37.19 CUSTOMER REFUND
72759 08/28/2018 CLARA CREPPS 60.00 CUSTOMER REFUND
72762 08/28/2018 CLARENCE YOSHIKANE 5.40 CUSTOMER REFUND
72783 08/28/2018 Culligan of Santa Ana 448.00 EQUIPMENT - INSTALL & LEASE
72766 08/28/2018 DAROLD BUSKIRK 225.00 CUSTOMER REFUND
72785 08/28/2018 Dell Marketing L.P.23,693.95 POWEREDGE R740XD SERVER
72786 08/28/2018 Delta Wye Electric, Inc.8,156.55 J18-17 - RTU REPLACEMENT DISTRICT WELL #15
72787 08/28/2018 DuCharme, McMillen & Associates 145.00 REFUND OF FY18/19 FOG PERMIT
72755 08/28/2018 EDEN Y MEI 68.76 CUSTOMER REFUND
72788 08/28/2018 Eisel Enterprises, Inc.3,054.71 METER BOX & LIDS
72789 08/28/2018 Flex Advantage 270.00 FLEX ADVANTAGE - JUNE & JULY 2018
72790 08/28/2018 Fullerton Paint & Flooring 387.13 BLUE CAUTION PAINT
72771 08/28/2018 GMC 85.80 CUSTOMER REFUND
72791 08/28/2018 Haaker Equipment Co.907.76 TIGER TAIL & ROTATING NOZZLE
72750 08/28/2018 HASIB NAWABI 35.84 CUSTOMER REFUND
72765 08/28/2018 HOME RANCH COMMUNITY CENTER LLC 566.28 CUSTOMER REFUND
72792 08/28/2018 Infosend Inc.12,914.16 BILLING & POSTAGE - CUSTOMER BILLING
72793 08/28/2018 Jackson's Auto Supply - Napa 149.79 VEH. MAINTENANCE - UNIT #E219
72761 08/28/2018 JENNY NOSKOFF 50.69 CUSTOMER REFUND
72764 08/28/2018 KANG KAE LEE 102.68 CUSTOMER REFUND
72794 08/28/2018 Kidman Law 65,323.62 LEGAL SERVICE - JULY 2018
72767 08/28/2018 KRC PROPERTY MGMT I INC 247.89 CUSTOMER REFUND
72795 08/28/2018 Marc Marcantonio 55.86 MILEAGE REIMBURSEMENT - JULY 2018
72751 08/28/2018 MATT EVANS 5.23 CUSTOMER REFUND
72796 08/28/2018 Mc Fadden-Dale Hardware 66.16 TOOLS & EQUIPMENT
72769 08/28/2018 MELANIE DIMARUCUT 58.46 CUSTOMER REFUND
72797 08/28/2018 Minuteman Press 335.09 DOOR HANGERS
72798 08/28/2018 Morton Salt, Inc.2,902.30 COARSE SALT
72799 08/28/2018 Municipal Water District 284.07 TURF REMOVAL PROGRAM
W081518 08/15/2018 Municipal Water District 576,112.04 WATER PURCHASES - JUNE 2018
72800 08/28/2018 NatPay Online Business Solutions 63.67 DOCULIVERY - MAY & JULY 2018
72801 08/28/2018 Nickey Kard Lock Inc 7,405.90 FUEL - 07/15/18 - 07/31/18
72802 08/28/2018 Office Solutions 1,799.24 AP CHECKS, OFFICE SUPPLIES & TONER
72803 08/28/2018 Omni Enterprise Inc.5,980.00 JANITORIAL SERVICE - JUNE & JULY 2018
72807 08/28/2018 P.T.I. Sand & Gravel, Inc.2,026.88 ROAD MATERIAL
72824 08/28/2018 Pacific Hydrotech Corporation 53,849.68 J10-11B - FAIRMONT PUMP STATION UPGRADE PROGRESS PAY #20
72804 08/28/2018 Pacific Western Bank 2,834.20 J10-11B -FAIRMONT PUMP STATION UPGRADE - RETENTENTION #20
72806 08/28/2018 Praxair Distribution 159.92 WELDING SUPPLIES
72754 08/28/2018 PULTE HOMES 833.50 CUSTOMER REFUND
72808 08/28/2018 Quinn Company 5,062.60 STATIONARY ENGINE MAINTENANCE
72810 08/28/2018 R.E. Michel Company, LLC 1,171.35 TOOLS & EQUIPMENT
72809 08/28/2018 RACHEL PADILLA 190.44 REIMBURSEMENT - TRAVEL EXPENSE
72768 08/28/2018 REBECCA STEELMAN 60.85 CUSTOMER REFUND
72811 08/28/2018 RKI Engineering, LLC 3,200.00 J10-11B - SCADA SUPPORT - PROGRAMMING
72812 08/28/2018 Rosanne Weston 1,098.30 REIMBURSEMENT - TRAVEL EXPENSE
72814 08/28/2018 S&J Supply Co.1,485.65 OPERATION WORK MATERIAL
72813 08/28/2018 Saira Hernandez 19.40 MILEAGE REIMBURSEMENT - JULY 2018
W081418 08/14/2018 Southern California Edison Co.56,782.54 ELECTRICITY CHARGES - MULTIPLE LOCATIONS - JULY 2018
Yorba Linda Water District
Check Register
For Checks Dated: 08/15/2018 thru 08/28/2018
W081418A 08/14/2018 Southern California Gas Co.41,118.05 GAS CHARGES - MULTIPLE LOCATIONS - JULY 2018
72815 08/28/2018 Stater Bros. Markets 87.88 MEETING SUPPLIES
72816 08/28/2018 Step Saver Inc 492.37 SALT
72753 08/28/2018 STEPHANIE RIPLEY 115.09 CUSTOMER REFUND
72752 08/28/2018 SUSAN HOLMES 93.75 CUSTOMER REFUND
72817 08/28/2018 The Shredders 22.00 ON SITE SHRED SERVICE
72818 08/28/2018 Time Warner Cable 188.38 SPECTRUM BUSINEES TV - MIRALOMA
72819 08/28/2018 Underground Service Alert 316.90 DIGALERT - JULY 2018
72820 08/28/2018 United Industries 3,055.00 PPE EQUIPMENT & CLEANING SUPPLIES
72821 08/28/2018 United Water Works, Inc.7,767.21 OPERATION WORK MATERIAL
72758 08/28/2018 VINCE YIANG 42.13 CUSTOMER REFUND
72822 08/28/2018 Web Cam Pro Shop 2,596.80 AXIS Q1765-LE NETWORK CAM & INSTALLATION
72805 08/28/2018 WinCan LLC 1,891.00 SUPPORT - ADVANCE & OFFICE ENTERPRISE SUPPORT
72823 08/28/2018 YO Fire 3,712.20 OPERATION WORK MATERIAL
72763 08/28/2018 YUEJUN JIANG 187.93 CUSTOMER REFUND
967,576.86
08-09-2018 PAYROLL #16 - EMPLOYEE DIRECT DEPOSIT 193,788.97
08-09-2018 PAYROLL #16 - PAYROLL TAX PAYMENT 53,071.34
08-09-2018 PAYROLL #16 - CALPERS EFT 39,706.49
7005 08-09-2018 COLONIAL LIFE & ACCIDENT 107.10
7006 08-09-2018 FLEX ADVANTAGE 2479.09
7007 08-09-2018 LINCOLN FINANCIAL GROUP 4375.16
7008 08-09-2018 NATIONWIDE RETIREMENT SOLUTIONS 14135.30
7009 08-09-2018 CALIFORNIA STATE DISBURSEMENT UNIT 366.92
7010 08-09-2018 CALIFORNIA STATE DISBURSEMENT UNIT 339.69
7011 08-09-2018 CALIFORNIA STATE DISBURSEMENT UNIT 384.92
308,754.98
Payroll Checks #16
Vendor Name Amount Description
Grainger 249.43 Electrical supplies
Village Nurseries 316.89 Sod - Landscape repair
Dan Copp Crushing Corp.500.00 Road material disposal
Home Depot 4.22 Hardware supplies
Government Finance Officers 160.00 Annual memberhsip renewal - Lugo
Amazon.com 66.99 Supplies - Mendum's retirement
San Diego Convention Center 3.00 Travel expense - GIS Conference - Vargas, A
Jimbos 16.94 Travel expense - GIS Conference - Vargas, A
Ralphs 8.15 Travel expense - GIS Conference - Vargas, A
Tocaya Organica 19.87 Travel expense - GIS Conference - Vargas, A
Light Bulbs Etc 86.09 Electrical supplies for facilities
Costco 793.32 Breakroom & cleaning supplies
Hollinger - Metal Edge 410.57 Archival supplies - Historical documents
County of Orange 4.00 Travel expense - OC LAFCO Meeting - Dir. Nederhood
Ralphs 6.91 Travel expense - GIS Conference - Vargas, A
The Kebab Shop 16.77 Travel expense - GIS Conference - Vargas, A
San Diego Convention Center 3.00 Travel expense - GIS Conference - Vargas, A
Barleymash 22.47 Travel expense - GIS Conference - Vargas, A
7-Eleven 5.50 Travel expense - GIS Conference - Vargas, A
San Diego Convention Center 40.00 Travel expense - GIS Conference - Vargas, A
Village Nurseries 73.49 Sod for landscape repair
SWISS CLEANERS 10.00 Traffic sign repair
CSDA 575.00 Travel expense - Board Secretary Conference - Alexander
Dunkin Donuts 18.31 Meeting supplies - ESCO RFQ
VONS 31.03 Meeting supplies - ESCO RFQ
Kleen-Rite 90.99 Foam brush kit
San Diego Convention Center 3.00 Travel expense - GIS Conference - Vargas, A
Jimbos 16.15 Travel expense - GIS Conference - Vargas, A
Warewold American Pub 16.50 Travel expense - GIS Conference - Vargas, A
BRISTOL HOTEL 78.00 Travel expense - GIS Conference - Vargas, A
BNI Building News 202.97 2018 Greenbook - Standards Specifications for Public Works
USA Blue Book 726.66 (4) 45lb D-Chlor tabs
Mc Master-Carr Supply Co.37.36 O-rings - Production
ZoHo Corporation 595.00 Software - Microsoft Exchange
Home Depot 688.58 Soil topper & Quickrete cement
Praxair Distribution 32.39 Welding cutting tip
Replacementparts.com 31.02 Vehicle maintenance
Amazon.com 72.19 ID badge hole puncher
Amazon.com 221.97 Server part - CISCO system
Amazon.com 40.00 Cell phone supplies
Amazon.com 16.32 Cell phone supplies
Amazon.com 24.50 Cell phone supplies
Fullerton Paint & Flooring 349.87 (5) Gal - Hydrant paint
Mc Master-Carr Supply Co.235.45 Wall mount shelf - Production
PARMA 350.00 Travel expense - 2019 PARMA Conference - Knight
Amazon.com 295.00 Vehicle maintenance - Unit #168
Energy Environmental Soln, Inc 2,400.00 Emissions testing - Well 18
Costco 53.85 Thermoflask 40oz bottles
Mc Master-Carr Supply Co.751.22 CL2 Parts - Production
28-Aug-18
Cal Card Credit Card
U S Bank
Ralphs 33.14 Meet supplies - Longevity Wellness Seminar - (33) attendees
The Rugged Store 509.20 Laptop mount - Unit #219
Orchard Supply Hardware 53.85 (2) Toilet seats for facilities
Mc Master-Carr Supply Co.640.92 CL2 Parts - Production
ARMA International 215.00 ARMA Membership - International Chapter - Arambarri
Placentia Disposal #676 529.50 (2) Front loads - Richfield Rd.
Verizon Wireless 4,476.34 Verizon Wireless - 05/21/18 - 06/20/18
Answer One Communications 494.58 Virtual reception service - After hours
ONLINE Information Services, Inc.525.90 Online utility exchange report & collection transactions
Smart & Final 175.69 Supplies - Mendum's retirement
Northgate Markets 33.99 Supplies - Mendum's retirement
CalPERS 349.00 Travel expense - CalPERS education forum - Segura, J
Costco 108.28 Supplies - Mendum's retirement
Kenny's Donuts 33.95 Donuts for safety meeting
Innovyze 5,750.00 InfoWater floating licenses - InfoCare
ACWA-Assn Of Ca Water Agencies 699.00 Travel expense - ACWA Conference - Marcantonio
Orange County Water Assn 45.00 Travel expense - OCWA luncheon - Dir. Miller
Orange County Water Assn 45.00 Travel expense - OCWA Luncheon - Dir. Nederhood
ACWA-Assn Of Ca Water Agencies 699.00 Travel expense - ACWA Conference - Dir. Nederhood
Stater Bros. Markets 20.14 Supplies - Mendum's retirement
Home Goods 16.13 Supplies - Mendum's retirement
Trader Joes 29.01 Supplies - Mendum's retirement
Francisco Meat Co 54.04 Supplies - Mendum's retirement
KFC Restaurants 86.16 Supplies - Mendum's retirement
Harrington Industrial 125.28 CL2 Parts - Production
Home Depot 32.29 50' Garden hose
Konica Minolta Business 2,322.78 Copy charges -03/2018 - 06/2018
AWWA - CA-NV Section 445.00 Travel expense - ACWA Conference - Marcantonio
AWWA - CA-NV Section 445.00 Travel expense - AWWA Conference - Dir. Nederhood
Best Value Tire & Wheel 47.27 Vehicle maintenance - Unit #199
Pavilions 8.17 Meeting supplies - Board of Directors
Target 37.06 Meeting supplies - Board of Directors
AWWA - CA-NV Section 445.00 Travel expense - AWWA Conference - Dir. Jones
El Farolito 77.83 Lunch meeting - Succession planning (5) attendees
Stater Bros. Markets 8.58 Breakroom supplies
Orange County Water Assn 45.00 Travel expense - OCWA Luncheon - Dir. Jones
ACWA-Assn Of Ca Water Agencies 699.00 Travel expense - ACWA Conference - Dir. Jones
OfficeChairUSA.com 312.00 Ergonomic office chair
Home Depot 207.21 Water quality supplies
United Rentals - Fullerton 220.13 Concrete mix & mixer
Trench Shoring 273.69 Swivel lifting eye for shoring
Roseburrough Tool Company 228.68 Concrete & supplies
Uline 345.41 Safety - reflective tape
Tri State Seminar 99.00 Travel expense - Tri State Water & Sewer - Marcantonio
Sams Club 3,015.92 Fireproof file cabinet
Home Depot 325.19 Electrical supplies for facilities
Tri State Seminar 99.00 34th Annual Tri-State Seminar
Mc Master-Carr Supply Co.477.30 CL2 parts for production
Boston Donuts 34.09 Donuts for administrative meeting
CDW Government, Inc 106.91 Samsung 850 EVO SSD - Computer maintenance
Southwest Airlines 88.98 Travel expense - Tri State Conferemce - DeCriscio, J
Office Solutions 305.99 (6) cases of copy paper
AWWA - CA-NV Section 465.00 Travel expense - AFC 2018 Conference - DeCriscio, J
Home Depot 25.70 Lumber - concrete repair
Amazon.com 139.90 Water quality supplies
Hotel Quickly 190.44 Travel expense - ACWA/JPIA Leadership Institute - Lugo
PASMA 149.00 Travel expense - 2018 PASMA Conference - Knight
Patty's Cakes and Desserts 35.00 Meeting supplies - Engineering department
AWWA - CA-NV Section 285.00 Travel expense - Water Education Seminar - Hong & Logsdon
Harrington Industrial 245.14 CL2 parts for production
Smart & Final 99.91 Supplies - All hands meeting
Costco 104.54 Supplies - All hands meeting
Harrington Industrial 238.06 CL2 repair parts for Prodruction
Home Depot 827.91 (3) pallets - concrete mix
Home Depot 84.96 Miscellaneous tools - hydrant truck
Amazon.com 451.47 Ergotron - sit stand desk
Panera 15.99 Meeting supplies - OC Public Works
Pavilions 23.09 Meeting supplies
Amazon.com 171.27 Brake bleeder kit
Harrington Industrial 380.14 CL2 repair parts for Prodruction
Harrington Industrial 74.48 CL2 repair parts for Prodruction
Orchard Supply Hardware 41.16 Miscellaneous PVC parts - Landscape repair
Praxair Distribution 135.01 Welding supplies
ACWA-Assn Of Ca Water Agencies 555.00 Travel expense - OCWA Conference - Dir. Miller
Smart & Final 81.73 Supplies - All hands meeting
Francisco Meat Co 270.06 Supplies - All hands meeting
Hotel Quickly 190.44 Travel expense - ACWA/JPIA Leadership program - Knight
PASMA 298.00 PASMA Safety Conference - Knight & Smith
Home Depot 389.76 Tools & equipment - Operations
43,239.68
ITEM NO. 8.2
AGENDA REPORT
Meeting Date: August 28, 2018
To:Board of Directors
From:Marc Marcantonio, General
Manager
Presented By:Delia Lugo, Finance Manager Dept:Finance
Prepared By:Saira Hernandez, Accountant
Subject:Unaudited Financial Statements for the Fourth Quarter of FY18
SUMMARY:
Presented are the Unaudited Financial Statements for the Period Ending June 30, 2018 for the
District.
DISCUSSION:
For the period ending June 30, 2018, staff is presenting “unaudited” statements in the CAFR
format. We have included a Statement of Net Position, a Debt Service Ratio Calculation, a
ProForma Use of Funds Statement for the Water Fund, a Consolidated Budget to Actual Statement,
as well as the individual Water and Sewer Budget to Actual Statements. Please note, within the
submitted Unaudited Combining Schedule of Net Assets report, the June 2017 results do not match
those included in the received and filed CAFR for the Year Ended June 30, 2017. Staff has taken
the initiative restate the results due to the implementation of GASB 75, the recording of the Net
OPEB liability, that had the effective date of June 15, 2017.
As reported in the Schedule of Net Assets, the District’s Unaudited Net Position for June 30, 2018
reflects a more positive result when compared to that of the same reporting period of the prior fiscal
year by approximately $1.4 million.
Cumulative Volumetric Water Revenue, as reported through the Period Ending June 30, 2018,
reflects an average rebound of 13.73% as compared to prior year for the same reporting period.
Landscape classified customer connections have had the largest rebound in consumption sales for
this reporting period.
Total Variable Water Costs results reflect 18.23% increase when compared to prior year for the
same reporting period. The increase in costs is reflective of an increase in demand as well as a
higher cost per acre foot.
With the issuance of the Refunding Revenue Bonds, Series 2017A the District covenanted “?to fix,
prescribe and collect rates and charges for Water Service which will be at least sufficient to yield
during each Fiscal Year, Net Revenues equal to 125% of the Debit Service for such Fiscal Year.”
To confirm the covenant is upheld, staff calculates the Debt Service Ratio quarterly and is received
and filed by the Board of Directors. Accordingly, the “unaudited” Debt Service Ratio Calculation for
the Period Ending June 30, 2018 is being reported at 263%. This demonstrates the District’s strong
financial health.
STRATEGIC PLAN:
G2 3B - Regularly assess net position and steps to meet strategic goals.
ATTACHMENTS:
Name:Description:Type:
4th_Qtr_Unaudited_Financial_Statements.pdf 4th Qtr 2018 Unaudited Financials Backup Material
ASSETS June 2018 June 2017
CURRENT ASSETS:
Cash and cash equivalents 33,742,498$ 33,181,291$
Investment 3,710,774 6,920,955
Accounts receivable - water and sewer services 4,153,375 4,329,815
Accrued interest receivable 51,039 47,841
Notes Receivable - 78,567
Prepaid expenses & other deposits 170,557 289,987
Inventory 248,489 265,833
TOTAL CURRENT ASSETS 42,076,732 45,114,290
NONCURRENT ASSETS:
Bond issuance costs 375,558 400,389
Deferred Pension Plan 2,749,826 1,966,284
Deferred OPEB Plan 399,599 355,672
Capital assets:
Non-depreciable 10,788,120 5,848,629
Depreciable, net of accumulated depreciation 183,473,003 184,811,581
TOTAL NONCURRENT ASSETS 197,786,106 193,382,555
TOTAL ASSETS 239,862,838 238,496,845
LIABILITIES
CURRENT LIABILITIES:
Accounts payable 5,493,687 4,745,631
Accrued expenses 2,076 2,616
Accrued OPEB 1,743 3,993
Accrued interest payable 405,264 286,669
Certificates of Participation - current portion - 945,000
Refunding Revenue Bond(s) - current portion 1,140,000 295,000
Compensated absences 438,816 404,913
Customer and construction deposits 553,128 650,848
Deferred revenue 268,592 300,263
TOTAL CURRENT LIABILITIES 8,303,306 7,634,933
LONG-TERM LIABILITIES (LESS CURRENT PORTION):
Deferred annexation revenue 13,607,976 14,103,022
Compensated absences 1,316,446 1,214,740
Net Pension Liability 8,575,054 7,240,999
Net OPEB Liability 2,273,415 2,459,157
Deferred Pension Plan 639,586 753,101
Deferred OPEB Plan 44,966 -
Deferred Inflow - Gain on Bond 103,171 108,265
Refunding Revenue Bond(s) 39,122,056 40,518,033
Certificate of Participation - -
TOTAL LONG TERM LIABILITIES (LESS
CURRENT PORTION)65,682,670 66,397,317
TOTAL LIABILITIES 73,985,976 74,032,250
NET ASSETS:165,876,862$ 164,464,595$
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF NET ASSETS
June 30, 2018
(With June 30, 2017 Actuals for comparison only)
June 2018 June 2017
OPERATING REVENUES:
Water sales 32,082,152$ 29,326,565$
Sewer revenues 2,330,809 2,099,947
Other operating revenues 840,305 1,061,095
TOTAL OPERATING REVENUES 35,253,266 32,487,607
OPERATING EXPENSES
Variable water costs 15,028,132 12,710,857
Personnel services 9,874,215 8,913,640
Supplies and services 4,298,863 4,504,051
Depreciation and amortization 7,465,977 7,147,368
TOTAL OPERATING EXPENSES 36,667,187 33,275,916
OPERATING INCOME/(LOSS)(1,413,921) (788,309)
NONOPERATING REVENUES (EXPENSES):
Property taxes 1,749,957 1,687,384
Investment income 518,600 377,205
Interest expense (1,106,515) (1,552,896)
Other nonoperating revenues 467,250 596,426
Other nonoperating expenses (151,377) (381,951)
TOTAL NONOPERATING REVENUES/EXPENSES 1,477,915 726,168
NET INCOME/(LOSS) BEFORE CAPITAL
CONTRIBUTIONS, SPECIAL/EXTRAORDINARY ITEM(S)63,994 (62,141)
SPECIAL ITEM(S) - CONSERVATION CREDIT (1,105,809) -
SPECIAL ITEM(S) - RATE CREDIT (1,100,039) -
CAPITAL CONTRIBUTIONS 3,554,123 2,665,461
CHANGES IN NET ASSETS 1,412,270 2,603,320
NET ASSETS - BEGINNING OF YEAR 164,464,592 161,861,275
NET ASSETS - FOR PERIOD END JUNE 30, 2018 165,876,862$ 164,464,595$
YORBA LINDA WATER DISTRICT
UNAUDITED COMBINING SCHEDULE OF REVENUES, EXPENSES
AND CHANGES IN NET ASSETS
June 30, 2018
(With June 30, 2017 for comparison only)
YTD Debt Prior YTD PY Debt
Actual Service Actual Service
FY18 Calculation FY17 Calculation
Revenue (Operating):
Water Revenue (Residential)$16,151,210 $16,151,210 $14,076,334 $14,076,334
Water Revenue (Commercial & Fire Det.)1,897,346 $1,897,346 1,802,132 $1,802,132
Water Revenue (Landscape/Irrigation)4,031,103 $4,031,103 3,327,132 $3,327,132
Water Revenue (Service Charge)10,002,493 $10,002,493 10,120,967 $10,120,967
Other Operating Revenue 763,068 763,068 890,593 890,593
Total Operating Revenue:32,845,220 32,845,220 30,217,158 30,217,158
Revenue (Non-Operating):
Interest 444,371 444,371 335,786 335,786
Property Tax 1,749,957 1,749,957 1,687,384 1,687,384
Other Non-Operating Revenue 477,630 (17,415) 483,684 (11,361)
Total Non-Operating Revenue:2,671,958 2,176,913 2,506,854 2,011,809
Total Revenue 35,517,178 35,022,133 32,724,012 32,228,967
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)15,028,132 15,028,132 12,710,857 12,710,857
Salary Related Expenses 8,840,190 8,840,190 7,937,905 7,937,905
Supplies & Services 3,865,733 3,865,733 4,078,260 4,078,260
Depreciation 6,098,375 5,809,681 -
Total Operating Expenses 33,832,430 27,734,055 30,536,703 24,727,022
Expenses (Non-Operating):
Interest on Long Term Debt 1,106,515 - 1,552,896 -
Other Expense 109,821 109,821 374,563 374,563
Total Non-Operating Expenses:1,216,336 109,821 1,927,459 374,563
Total Expenses 35,048,766 27,843,876 32,464,162 25,101,585
Net Position Before Capital
Contributions/Special Items 468,412 7,178,257 259,850 7,127,382
Special Item - Conservation Credit 2,205,847 - - -
Transfers (To)/From - - - -
Capital Contributions (Non-Cash Transaction -1,907,644 - 1,556,801 -
GASB 34 Compliant)
Net Position 170,209$ 7,178,257$ 1,816,651$ 7,127,382$
DEBT SERVICE RATIO CALCULATION:
Net Revenues 7,178,257$ 7,127,382$
Debt Service 2,729,799$ 2,716,884$
%263% 262%
Yorba Linda Water District
Unaudited Debt Service Ratio Calculation
For Period Ending June 30, 2018
FY18 Annual
Budget
YTD Actuals thru
June 2018
YTD % of
Budget
Water Revenue (Residential)14,278,688$ 16,151,210$ 113.11%
Water Revenue (Commercial & Fire Det.)2,071,031$ 1,897,346$ 91.61%
Water Revenue (Landscape/Irrigation)3,079,054$ 4,031,103$ 130.92%
Service Charges 10,106,238$ 10,002,493$ 98.97%
Other Operating Revenue 769,106$ 763,068$ 99.21%
Total Operating Revenue 30,304,117$ 32,845,220$ 108.39%
Revenue (Non-Operating):
Interest 275,000$ 444,371$ 161.59%
Property Taxes 1,710,000$ 1,749,957$ 102.34%
Other Non-Operating Revenue 604,646$ 477,630$ 78.99%
Total Non-Operating Revenue 2,589,646$ 2,671,958$ 103.18%
Total Revenue 32,893,763$ 35,517,178$ 107.98%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)
Water-Related Costs 11,240,088$ 12,571,670$ 111.85%
Fixed Costs 1,443,355$ 1,202,259$ 83.30%
Power-Related Costs 1,285,413$ 1,254,203$ 97.57%
Variable Water Costs Related Expenses Total 13,968,855$ 15,028,132$ 107.58%
Salary Related Expenses 8,859,867$ 9,079,568$ 102.48%
Reduction for Capital Project Labor (215,000)$ (239,378)$ 111.34%
Salary Related Expenses Total 8,644,867$ 8,840,190$ 102.26%
Supplies & Services
Communications 189,565$ 138,958$ 73.30%
Contractual Services 519,653$ 400,827$ 77.13%
Data Processing 235,322$ 228,103$ 96.93%
Dues & Memberships 80,492$ 78,219$ 97.18%
Fees & Permits 264,641$ 244,196$ 92.27%
Insurance 263,506$ 250,493$ 95.06%
Materials 797,347$ 720,410$ 90.35%
District Activities, Emp Recognition 22,506$ 27,010$ 120.01%
Maintenance 339,342$ 398,511$ 117.44%
Non-Capital Equipment 104,678$ 123,995$ 118.45%
Office Expense 39,662$ 40,087$ 101.07%
Professional Services 650,108$ 674,815$ 103.80%
Training 61,728$ 32,350$ 52.41%
Travel & Conferences 102,493$ 78,429$ 76.52%
Uncollectible Accounts 17,205$ 4,155$ 24.15%
Utilities 158,100$ 169,758$ 107.37%
Vehicle Expenses 286,811$ 255,417$ 89.05%
Supplies & Services Sub-Total 4,133,160$ 3,865,733$ 93.53%
Total Operating Expenses 26,746,882$ 27,734,055$ 103.69%
Expenses (Non-Operating)
Other Expense 15,220$ 109,821$ 721.56%
Total Non-Operating Expenses 15,220$ 109,821$ 721.56%
Total Expenses 26,762,102$ 27,843,876$ 104.04%
Net Revenues 6,131,661$ 7,673,302$ 125.14%
Less: Debt Service (Principal & Interest)2,729,799$ 2,729,799$ 100.00%
Less: Committed Capital Expenditures (PayGo)2,635,755$ 2,215,726$ 84.06%
Less: Special Item - Conservation Credit 1,105,809$ 0.00%
Less: Special Item - Rate Credit -$ 1,100,038$ 0.00%
Transfer to/(from) Reserves 766,108$ 521,930$ 68.13%
Net -$ -$
Yorba Linda Water District
Water Enterprise
FY18 ProForma - Use of Funds
June 2018
Yorba Linda Water District
Summary Financial Report
Water & Sewer Funds
For Period Ending June 30, 2018
Annual YTD June YTD YTD Actual Prior Year Prior Year YTD Actual YTD Actual
Budget Budget Actual Actual (Under) Over June Actual Actual (thru vs vs
FY18 FY18 FY18 FY18 YTD Budget FY17 June 2017)PY Actual $PY Actual %
Revenue (Operating):
Water Revenue (Residential)$14,278,688 $14,278,688 1,963,705$ 16,151,210$ 1,872,522$ $2,155,183 $14,076,334 $2,074,876 14.74%
Water Revenue (Commercial & Fire Det.)2,071,031 2,071,031 159,395 1,897,346 (173,685)185,403 1,802,132 95,214 5.28%
Water Revenue (Landscape/Irrigation)3,079,054 3,079,054 369,660 4,031,103 952,049 422,979 3,327,132 703,971 21.16%
Water Revenue (Service Charge)10,106,238 10,106,238 834,485 10,002,493 (103,745)832,972 10,120,967 (118,474)-1.17%
Sewer Charge Revenue 2,032,245 2,032,245 182,407 2,064,083 31,838 170,203 1,884,094 179,989 9.55%
Locke Ranch Assessments 223,000 223,000 4,748 266,726 43,726 1,068 215,853 50,873 0.00%
Other Operating Revenue 866,161 866,161 100,183 840,305 (25,856)264,639 1,061,095 (220,790)-20.81%
Total Operating Revenue:32,656,417 32,656,417 3,614,583 35,253,266 2,596,849 4,032,447 32,487,607 2,765,659 8.51%
Revenue (Non-Operating):
Interest 310,000 310,000 65,199 518,600 208,600 67,631 377,205 141,395 37.48%
Property Tax 1,710,000 1,710,000 32,775 1,749,957 39,957 45,480 1,687,384 62,573 0.00%
Other Non-Operating Revenue 624,521 624,521 129,553 467,250 (157,271)147,651 596,426 (129,176)-21.66%
Total Non-Operating Revenue:2,644,521 2,644,521 227,527 2,735,807 91,286 260,762 2,661,015 74,792 2.81%
Total Revenue 35,300,938 35,300,938 3,842,110 37,989,073 2,688,135 4,293,209 35,148,622 2,840,451 8.08%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)13,968,855 13,968,855 1,441,991 15,028,132 1,059,277 1,368,506 12,710,857 2,317,275 18.23%
Salary Related Expenses 9,643,124 9,643,124 1,224,115 9,874,215 231,091 1,060,087 8,913,640 960,575 10.78%
Supplies & Services 4,621,895 4,621,895 499,554 4,298,861 (323,034)463,211 4,504,051 (205,190) -4.56%
Total Operating Expenses 28,233,874 28,233,874 3,165,660 29,201,208 967,334 2,891,804 26,128,548 3,072,660 11.76%
Expenses (Non-Operating):
Interest on Long Term Debt 1,489,796 1,489,796 (150,237) 1,106,515 (383,281) 221,299 1,552,896 (446,381) -28.75%
Other Expense 15,220 15,220 206,162 151,377 136,157 425,565 381,951 (230,574) -60.37%
Total Non-Operating Expenses:1,505,016 1,505,016 55,925 1,257,892 (247,124) 646,864 1,934,847 (676,955) -34.99%
Total Expenses 29,738,890 29,738,890 3,221,585 30,459,100 720,210 3,538,668 28,063,395 2,395,705 8.54%
Net Position Before Capital Contributions 5,562,048 5,562,048 620,525 7,529,973 1,967,925 754,541 7,085,227 444,745 6.28%
Special Item - (2,205,847) (2,205,847) - - (2,205,847) 0.00%
Capital Contributions (Non-Cash Transaction -- - 4,853 3,554,122 3,554,122 403,486 2,665,461 888,661 0.00%
GASB 34 Compliant)
Net Position Before Depreciation 5,562,048 5,562,048 625,378 8,878,248 7,727,893 1,158,027 9,750,688 (872,440)-8.95%
Depreciation & Amortization 7,182,000 7,182,000 625,262 7,465,978 283,978 601,956 7,147,368 318,610 4.46%
Total Net Position ($1,619,952)($1,619,952)116 1,412,270 $7,443,915 $556,071 $2,603,320 ($1,191,050)-45.75%
(With June 30, 2017 for comparison purposes)
Annual YTD June YTD YTD Actual Prior Year Prior YTD YTD Actual YTD - CUR
Budget Budget Actual Actual (Under)Over June Actual Actual (thru vs vs
FY18 FY18 FY18 FY18 YTD Budget FY17 June 2017) PY Actual $PY Actual %
Revenue (Operating):
Water Revenue (Residential)$14,278,688 $14,278,688 1,963,705$ 16,151,210$ 1,872,522$ $2,155,183 $14,076,334 $2,074,876 14.74%
Water Revenue (Commercial & Fire Det.)2,071,031 $2,071,031 159,395 1,897,346 (173,685) 185,403 1,802,132 95,214 5.28%
Water Revenue (Landscape/Irrigation)3,079,054 $3,079,054 369,660 4,031,103 952,049 422,979 3,327,132 703,971 21.16%
Water Revenue (Service Charge)10,106,238 10,106,238 834,485 10,002,493 (103,745) 832,972 10,120,967 (118,474) -1.17%
Other Operating Revenue 769,106 769,106 98,336 763,068 (6,038) 188,672 890,593 (127,525) -14.32%
Total Operating Revenue:30,304,117 30,304,117 3,425,581 32,845,220 2,541,103 3,785,209 30,217,158 2,628,062 8.70%
Revenue (Non-Operating):
Interest 275,000 275,000 49,462 444,371 169,371 58,680 335,786 108,585 32.34%
Property Tax 1,710,000 1,710,000 32,775 1,749,957 39,957 45,480 1,687,384 62,573 3.71%
Other Non-Operating Revenue 604,646 604,646 122,401 477,630 (127,016) 114,622 483,684 (6,054) -1.25%
Total Non-Operating Revenue:2,589,646 2,589,646 204,638 2,671,958 82,312 218,782 2,506,854 165,104 6.59%
Total Revenue 32,893,763 32,893,763 3,630,219 35,517,178 2,623,415 4,003,991 32,724,012 2,793,166 8.54%
Expenses (Operating):
Variable Water Costs (G.W., Import & Power)13,968,855 13,968,855 1,441,991 15,028,132 1,059,277 1,368,506 12,710,857 2,317,275 18.23%
Salary Related Expenses 8,644,867 8,644,867 1,114,480 8,840,190 195,323 942,865 7,937,905 902,285 11.37%
Supplies & Services:
Communications 189,565 189,565 12,987 138,958 (50,607) 16,410 156,860 (17,902) -11.41%
Contractual Services 499,653 499,653 20,418 400,827 (98,826) 53,670 410,650 (9,823) -2.39%
Data Processing 235,322 235,322 53,245 228,103 (7,219) 17,989 252,819 (24,716) -9.78%
Dues & Memberships 80,492 80,492 805 78,219 (2,273) 478 85,801 (7,582) -8.84%
Fees & Permits 264,641 264,641 29,980 244,196 (20,445) 38,473 250,021 (5,825) -2.33%
Board Election - - - - - 120,873 (120,873) -100.00%
Insurance 263,506 263,506 21,242 250,493 (13,013) 19,921 238,965 11,528 4.82%
Materials 797,347 797,347 56,478 720,410 (76,937) 57,542 854,396 (133,986) -15.68%
District Activities, Emp Recognition 27,506 27,506 3,268 27,010 (496) 3,408 10,179 16,831 165.35%
Maintenance 339,342 339,342 35,607 398,511 59,169 31,106 387,583 10,928 2.82%
Non-Capital Equipment 114,678 114,678 20,406 123,995 9,317 5,434 150,346 (26,352) -17.53%
Office Expense 39,662 39,662 6,715 40,087 425 7,688 36,453 3,634 9.97%
Professional Services 650,108 650,108 117,602 674,815 24,707 107,464 587,855 86,960 14.79%
Training 61,728 61,728 5,690 32,350 (29,378) (4,836) 38,962 (6,612) -16.97%
Travel & Conferences 107,493 107,493 19,822 78,429 (29,064) 4,537 46,005 32,424 70.48%
Uncollectible Accounts 17,205 17,205 24 4,155 (13,050) 360 7,703 (3,548) -46.06%
Utilities 158,100 158,100 14,858 169,758 11,658 18,321 148,529 21,229 14.29%
Vehicle Equipment 286,812 286,812 22,093 255,417 (31,395) 33,006 294,260 (38,843) -13.20%
Supplies & Services Sub-Total 4,133,160 4,133,160 441,240 3,865,733 (267,427) 410,971 4,078,260 (212,527) -5.21%
Total Operating Expenses 26,746,883 26,746,883 2,997,711 27,734,055 987,173 2,722,342 24,727,022 3,007,033 12.16%
Expenses (Non-Operating):
Interest on Long Term Debt 1,489,796 1,489,796 (150,237) 1,106,515 (383,281) 221,299 1,552,896 (446,381) -28.75%
Other Expense 15,220 15,220 162,491 109,821 94,601 425,485 374,563 (264,742) -70.68%
Total Non-Operating Expenses:1,505,016 1,505,016 12,254 1,216,336 (288,680) 646,784 1,927,459 (711,123) -36.89%
Total Expenses 28,251,899 28,251,899 3,009,965 28,950,391 698,493 3,369,126 26,654,481 2,295,910 8.61%
Net Position Before Capital Contributions 4,641,864 4,641,864 620,254 6,566,787 1,924,922 634,865 6,069,531 497,256 8.19%
Special Item - - (2,205,847) (2,205,847) - (2,205,847) 0.00%
Capital Contributions (Non-Cash Transaction -- - - 1,907,644 1,907,644 231,269 1,556,801 350,843 22.54%
GASB 34 Compliant)
Net Position Before Depreciation 4,641,864 4,641,864 620,254 6,268,584 6,038,413 866,134 7,626,332 (1,357,748)-17.80%
Depreciation & Amortization 5,832,000 5,832,000 510,767 6,098,375 266,375 488,820 5,809,681 288,694 4.97%
Total Net Position (1,190,136) (1,190,136) 109,487 170,209 5,772,038 377,314 1,816,651 (1,646,442) -90.63%
Yorba Linda Water District
Water Fund
For Period Ending June 30, 2018
(With June 30, 2017 for comparison purposes)
Annual YTD June YTD YTD Actual Prior Year Prior Year YTD Actual YTD - CUR
Budget Budget Actual Actual (Under)Over June Actual Actual (thru vs vs
FY18 FY18 FY18 FY18 YTD Budget FY17 June 2017)PY Actual $PY Actual %
Revenue (Operating):
Sewer Charge Revenue $2,032,245 $2,032,245 182,407$ 2,064,083$ $31,838 $170,203 $1,884,094 $179,989 9.55%
Locke Ranch Assessments 223,000 223,000 4,748 266,726$ 43,726 1,068 215,853 50,873 0.00%
Other Operating Revenue 97,055 97,055 1,847 77,237$ (19,817)75,966 170,503 (93,266) -54.70%
Total Operating Revenue:2,352,300 2,352,300 189,002 2,408,046$ 55,746 247,237 2,270,450 137,596 6.06%
Revenue (Non-Operating):
Interest 35,000 35,000 15,737 74,229$ 39,229 8,950 41,419 32,810 79.22%
Other Non-Operating Revenue 19,875 19,875 7,152 (10,380)$ (30,255)33,029 112,742 (123,122)-109.21%
Total Non-Operating Revenue:54,875 54,875 22,889 63,849$ 8,974 41,979 154,161 (90,312) -58.58%
Total Revenue 2,407,174 2,407,174 211,891$ 2,471,895$ 64,720 289,216 2,424,611 47,283 1.95%
Expenses (Operating):
Salary Related Expenses 998,257 998,257 109,635 1,034,025 35,769 117,221 975,735 58,290 5.97%
Supplies & Services:
Communications 12,010 12,010 978 8,676 (3,334)1,231 9,339 (663)-7.09%
Contractual Services 28,237 28,237 1,425 29,493 1,256 3,978 29,672 (179)-0.60%
Data Processing 15,078 15,078 3,865 16,965 1,887 1,280 18,940 (1,975)-10.43%
Dues & Memberships 6,053 6,053 61 6,045 (8)33 6,627 (582)-8.79%
Fees & Permits 17,474 17,474 648 10,636 (6,839)1,331 15,010 (4,375)-29.14%
Board Election - - - - - 9,098 (9,098)-100.00%
Insurance 19,834 19,834 1,599 18,743 (1,091)1,499 17,707 1,036 5.85%
Materials 51,653 51,653 465 38,460 (13,194)1,958 26,062 12,398 47.57%
District Activities, Emp Recognition 1,694 1,694 246 2,023 329 257 766 1,257 164.11%
Maintenance 170,559 170,559 29,044 140,363 (30,197)26,593 152,343 (11,981)-7.86%
Non-Capital Equipment 20,147 20,147 7,210 26,187 6,040 3,201 23,357 2,830 12.11%
Office Expense 2,963 2,963 520 2,994 31 553 2,718 276 10.14%
Professional Services 40,417 40,417 4,976 35,565 (4,853)7,094 26,433 9,132 34.55%
Training 6,782 6,782 430 5,399 (1,383)(445) 5,196 203 3.91%
Travel & Conferences 12,752 12,752 1,380 5,753 (6,998)227 2,847 2,906 102.09%
Uncollectible Accounts 1,295 1,295 4 456 (839)44 1,339 (883)-65.95%
Utilities 12,600 12,600 1,119 13,299 699 1,174 11,474 1,825 15.90%
Vehicle Equipment 69,188 69,188 4,346 72,075 2,887 2,230 66,866 5,209 7.79%
Supplies & Services Sub-Total 488,735 488,735 58,316 433,130 (55,604) 52,238 425,794 7,336 1.72%
Total Operating Expenses 1,486,991 1,486,991 167,951 1,467,155 (19,836) 169,459 1,401,529 65,626 4.68%
Expenses (Non-Operating):
Interest Expense - - - - - - - - -
Other Expense - - 43,671 41,556 41,556 81 7,389 34,166 -
Total Non-Operating Expenses:- - 43,671 41,556 41,556 81 7,389 34,166 0.00%
Total Expenses 1,486,991 1,486,991 211,622 1,508,711 21,720 169,540 1,408,918 99,793 7.08%
Net Position Before Capital Contributions 920,183 920,183 269 963,184 43,001 119,676 1,015,693 (52,509) -5.17%
Capital Contributions (Non-Cash Transaction -- - 4,853 1,646,479 1,646,479 172,217 1,108,661 537,818 48.51%
GASB 34 Compliant)
Net Position Before Depreciation 920,183 920,183 5,122 2,609,663 1,689,480 291,893 2,124,354 485,309 22.85%
Depreciation & Amortization 1,350,000 1,350,000 114,495 1,367,602 17,602 113,136 1,337,687 29,915 2.24%
Total Net Position (429,817) (429,817) (109,373) 1,242,061 1,671,878 178,757 786,667 455,394 57.89%
Yorba Linda Water District
Sewer Fund
For Period Ending June 30, 2018
(With June 30, 2017 for comparison purposes)
$31,500,793
$29,845,683
$33,050,080 $32,724,012
$35,517,178
8.54%
$26,641,743
$25,096,899
$23,296,906
$26,654,481
$28,950,391
8.61%
$-
$5,000,000
$10,000,000
$15,000,000
$20,000,000
$25,000,000
$30,000,000
$35,000,000
$40,000,000
Jun. 2014 Jun. 2015 Jun. 2016 Jun. 2017 Jun. 2018
Water Revenues & Expenses -4th Qtr 2018
(excludes Depreciation, Special Items, and Contributed Capital )
Total Revenue Total Expenses
$1,957,190 $1,974,552 $2,046,945
$2,424,611
$2,471,895
1.95%
$1,198,612 $1,219,939 $1,288,720
$1,408,918
$1,508,711
7.08%
$-
$500,000
$1,000,000
$1,500,000
$2,000,000
$2,500,000
$3,000,000
Jun. 2014 Jun. 2015 Jun. 2016 Jun. 2017 Jun. 2018
Sewer Revenues & Expenses -4th Qtr 2018
(excludes Depreciation, Special Items, and Contributed Capital)
Total Revenue Total Expenses
ITEM NO. 12.1
AGENDA REPORT
Meeting Date: August 28, 2018
Subject:Meetings from August 29 - October 31, 2018
ATTACHMENTS:
Name:Description:Type:
BOD_-_Activities_Calendar.pdf Backup Material Backup Material
Board of Directors Activity Calendar
Event Date Time Attendance By
August
YL Planning Commission Wed, Aug 29 6:30 PM Hawkins
September
District Offices Closed Mon, Sep 3 7:00 AM
ISDOC Executive Committee Tue, Sep 4 7:30 AM Nederhood
YL City Council Tue, Sep 4 6:30 PM Miller
MWDOC Wed, Sep 5 8:30 AM Nederhood/Jones
OCSD Operations Committee Wed, Sep 5 5:00 PM Hawkins
OCWD Wed, Sep 5 5:30 PM Miller/Jones
WACO Fri, Sep 7 7:30 AM TBD
Joint Committee Meeting with City of Yorba Linda Mon, Sep 10 4:00 PM Nederhood/Jones
Board of Directors Regular Meeting Tue, Sep 11 6:30 PM
LAFCO Wed, Sep 12 8:15 AM Nederhood (As Needed)
YL Planning Commission Wed, Sep 12 6:30 PM Hawkins (As Needed)
YL Mayor's Prayer Breakfast Thu, Sep 13 6:45 AM Hawkins/Jones/Nederhood
YL City Council Tue, Sep 18 6:30 PM Nederhood
MWDOC Wed, Sep 19 8:30 AM Nederhood/Jones
ACWA Water Treatment Webinar Wed, Sep 19 11:00 AM Miller
OCWD Wed, Sep 19 5:30 PM Miller/Jones
WEF Water Summit Thu, Sep 20 9:30 AM Nederhood
ACWA Groundwater Committee Thu, Sep 20 10:00 AM Jones
CSDA Annual Conference Mon, Sep 24 8:00 AM Nederhood
CSDA Annual Conference Tue, Sep 25 8:00 AM Nederhood
Board of Directors Regular Meeting Tue, Sep 25 6:30 PM
CSDA Annual Conference Wed, Sep 26 8:00 AM Nederhood
OCSD Wed, Sep 26 6:00 PM Hawkins
YL Planning Commission Wed, Sep 26 6:30 PM Hawkins (As Needed)
CSDA Annual Conference Thu, Sep 27 8:00 AM Nederhood
Interagency Committee Meeting with MWDOC and OCWD Thu, Sep 27 4:00 PM Nederhood/Jones
October
ISDOC Executive Committee Tue, Oct 2 7:30 AM Nederhood
YL City Council Tue, Oct 2 6:30 PM Jones
MWDOC Wed, Oct 3 8:30 AM Nederhood/Jones
OCSD Operations Committee Wed, Oct 3 5:00 PM Hawkins
OCWD Wed, Oct 3 5:30 PM Miller/Jones
WACO Fri, Oct 5 7:30 AM TBD
Board of Directors Regular Meeting Tue, Oct 9 6:30 PM
LAFCO Wed, Oct 10 8:15 AM Nederhood (As Needed)
YL Planning Commission Wed, Oct 10 6:30 PM Hawkins (As Needed)
YL City Council Tue, Oct 16 6:30 PM Hawkins
MWDOC Wed, Oct 17 8:30 AM Nederhood/Jones
OCWD Wed, Oct 17 5:30 PM Miller/Jones
CA-NV AWWA Fall Conference Mon, Oct 22 8:00 AM Jones/Nederhood
CA-NV AWWA Fall Conference Tue, Oct 23 8:00 AM Jones/Nederhood
CA-NV AWWA Fall Conference Wed, Oct 24 8:00 AM Jones/Nederhood
MWDOC/OCWD Joint Planning Committee Wed, Oct 24 8:30 AM Jones/Miller/Nederhood
OCSD Wed, Oct 24 6:00 PM Hawkins
YL Planning Commission Wed, Oct 24 6:30 PM Hawkins (As Needed)
CA-NV AWWA Fall Conference Thu, Oct 25 8:00 AM Jones/Nederhood
ISDOC Thu, Oct 25 11:30 AM TBD
As of August 9, 2018
BACKUP MATERIALS DISTRIBUTED LESS THAN 72 HOURS PRIOR TO THE MEETING
Orange County’s Water Use Efficiency Programs
Joe Berg, Director of Water Use EfficiencyMunicipal Water District of Orange County
August 28, 2018
ITEM NO. 8.1.
How Water Use Efficiency
Programs are implemented
Why are programs implemented
regionally
What programs are available
Future opportunities
YLWD water savings and funding
Conclusions
Presentation Content ITEM NO. 8.1.
Regionally by Metropolitan
Standardized programs broadly
available throughout southern
California
Sub-regionally by MWDOC
Emerging programs available
throughout Orange County
Research and evaluation
By retail water agencies
Local, customized programs
tailored to an agencies needs
How are WUE Programs Implemented
in Southern California?
ITEM NO. 8.1.
From Metropolitan
Toilets & Urinals
Smart Irrigation Timers
Sprinkler Nozzles
Clothes Washers
Cooling Tower Controllers
Ice Machines
Connectionless Food Steamers
Water Savings Incentive Program (WSIP)
From MWDOC
Turf Removal Rebate (aka Landscape Transformation Program)
Spray to Drip
Landscape Design Assistance
California Sprinkler Adjustment Notification
Water Loss Control
Budget Based Tiered Rate Technical Assistance
School Program
What WUE Programs are Available?
Note: Programs listed above are for example,
other programs are also available.
ITEM NO. 8.1.
Regional agency staff become an extension of local agency staff
Economies of scale
Consistent messaging to consumers across the region
Better access to grant funding
US Bureau of Reclamation
California Department of Water Resources
Strengthened market transformation opportunity
Why are WUE Programs Implemented in this Manner?
ITEM NO. 8.1.
6
Landscape transformation
50% of all water supplies in OC are used to irrigate landscapes
Advanced metering infrastructure
Pressure regulation and leak detection
Customer and distribution system
Education and demonstration
Waterless woks and dipper wells
Efficiency standards
Codes & standards
Future Opportunities ITEM NO. 8.1.
7
ITEM NO. 8.1.
8
ITEM NO. 8.1.
9
Year Met Grant Vendor Fees
Total Ouside
Funding
AFY
Savings
AF Life
Savings Cost Per AF
2013 25,211.00$ 1,582.00$ 2,777.60$ 29,570.60$ 10 134 220.68$
2014 80,161.33$ 6,005.61$ 3,671.50$ 89,838.44$ 25 301 298.47$
2015 631,622.89$ 9,524.89$ 10,494.90$ 651,642.68$ 79 995 654.92$
2016 659,417.87$ 7,049.53$ 4,848.64$ 671,316.04$ 69 708 948.19$
2017: Jan-Nov 83,302.47$ 17,356.07$ 21,969.38$ 122,627.92$ 52 566 216.66$
1,479,715.56$ 41,518.10$ 43,762.02$ 1,564,995.68$ 236 2,704 578.77$
5-Year Participation History
Yorba Linda Water District
Choice Water Use
Efficiency Program
ITEM NO. 8.1.
10
A broad variety of cutting edge water saving opportunities are available to all YLWD customer classes
Focus on program promotion including
Bill stuffers & bill messages
Social media
Target high users
Direct mailers
News letters
Counter displays
Community events
Landscape classes
Minimal technical staff resources are needed
Conclusions ITEM NO. 8.1.
physical address
18700 Ward Street, Fountain Valley CA 92708
mail address
P.O. Box 20895, Fountain Valley CA 92728
website
www.mwdoc.com
main office
(714) 963-3058
MUNICIPAL WATER DISTRICT OF ORANGE COUNTY
Thank you for your attention.
Please let us know if you have questions.
Joe Berg
Director of Water Use Efficiency
(714) 593-5008
jberg@mwdoc.com
ITEM NO. 8.1.